Shorted into the FOMC rally, have taken on an oversized position.. watching like hawk. Short 35 SPY 446 calls, long 35 QQQ 370, IWM 222, DIA 343 puts, all October strikes, bear spreads short legs in the weeklies.
My largest position to date and maybe a big mistake.
Pulled 6k out of short legs todady and rolled all.