I am doubling up on this pairs trade as low volatility has offered scant opportunities elsewhere.

Adjusted Cost Basis: Sold /ZB Mar 158′ 24 (corrected) and bought 2 x /ZN Mar 129′ 20

Added: Sold /ZB Mar 159′ 30 and bought 2 x /ZN Mar 129′ 255

New Adjusted Cost Basis: Sold /ZB Mar 159′ 11 and bought 2 x /ZN Mar 129′ 23

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