re: position
My 155 GTC stink bid added 25% to my position.
Long Jan 08 140, 160 and 180 Calls.
Short Jan 08 150 Puts.
Have a tertiary Apple derivative, AVN, that pays 3%/Q and is not callable for one year. So far, I've recieved one dividend and it's up another 7% from it's August $25 offering.
I have enough cash to take the 140s and 160s.
So far, so good.
Will AAPL too big as a growth stock at $300?