I’ve completed 15 trades SO FAR using a mix of basic options strategies
- Sell Put – to collect premium with the intention to buy at a lower price
- Bull Put Spread – a more defined-risk strategy for bullish-to-neutral market
- Bear Call Spread – a more defined-risk strategy for bearish-to-neutral market
A quick summary for this week as below:

🎯 My goal isn’t to “hold until expiry” — it’s to manage risk and secure consistent profit where possible
Please refer back to my post earlier for the reason why I closed the trades before expiry.
💰 Outcome (Still maintaining 100% Win rate so far):
So far, I’m maintaining a 100% win rate on my closed trades. My focus remains on discipline, consistency and risk management.
For now, I’m continuing to log each trade and refine my system quietly behind the scenes. As promised earlier, if this win rate continues to hold over the next few months, I’ll share a detailed breakdown of the exact rules, trade filters, and exit strategies I’m using to maintain it. For now, I am still adding criteria to refine the filters.