AMEX:UVXY   ProShares Trust Ultra VIX Short Term Futures ETF
Long UVXY 48C Oct 1 3.05 debit

Possible VIX Compression cycle breakout
Trade active:
Long 5x my position Oct 1 48C @ 1.98 debit
Trade active:
BlackRock has sold 90% of their $SPY position.

Barclays - 27%
Morgan Stanley - 37%,
JP Morgan - 4.55%,
Goldman - 4.85%.
Bridgewater - 37%.

What does everyone know except retail?
Trade active:
Added to position 1.60 debit
Comment:
Added 1.20 debit
Trade active:
Long Sep 17 23C @ 2.75 debit
Trade active:
Added Sep 17 23C 2.08 debit
Trade active:
Long Oct 15 23C 3.45 debit
Trade active:
Sold the Sept 17 23 C @ 0.90 credit (-67% loss), there was too much hope in this trade for deleveraging before OpEx and was entered too early
Trade closed manually:
Closed the Oct calls for 3.65 credit (small gain), wanting to enter november closer to OpEx
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