Hi folks, This is what I do - IVP on the higher side (50+) - No events like earnings, major macro events etc - Minimal movement (<2% on either side) I sell a strangle in liquid stock options under this criteria 40 mins post market open and close it around market closing never overnight or when my P&L goal hits while I keep my SL at 100% of my PL goal, Been trading for this around 20 days, had my SL hit twice and profit around 6-10 days other days being around Breakeven or slight profit, overall decent profit Any recommendations on how to make this strategy better or is this horrible strategy just giving some seasonal sucess lol ?? submitted by /u/ashu_6921 [link] [comments]