hey everyone - just finished a piece of quick research for another trader - if anyone has anything you'd like me to look at for you, drop it below.
here are the prior pieces:
\- [https://www.reddit.com/r/options/comments/1u4dgcz/0dte\_spx\_iron\_condor\_study](https://www.reddit.com/r/options/comments/1u4dgcz/0dte_spx_iron_condor_study)
\- [https://www.reddit.com/r/options/comments/1u63m6i/spx\_iron\_fly\_research\_results/](https://www.reddit.com/r/options/comments/1u63m6i/spx_iron_fly_research_results/)
current research question from u/[taesty1](https://www.reddit.com/user/taesty1/)
>I have one I would do myself if I had the data - what's the daily and cumulative PNL (say, last 3 years) of a strategy selling the next-day 2% and 3% downside puts in QQQ and holding it to close? This is two separate strategies, one selling 2% downside and the other selling 3% downside. So if today is June 15th, the strategy would sell the June 16th expiry 2% and 3% downside puts in QQQ, and do it again the next day and on and on.
results:
https://preview.redd.it/7u09c8biyc7h1.png?width=1920&format=png&auto=webp&s=6896a6c97b58c0b9784b12fa548fee47bf398d1a
https://preview.redd.it/p6tjmm3jyc7h1.png?width=1920&format=png&auto=webp&s=cea1c8a197d977f06579c7468e2f9b838d2dd49a
https://preview.redd.it/867rk5qjyc7h1.png?width=1920&format=png&auto=webp&s=ae263d1c9e7a23c78aeaff44feba9d51574eddf3
https://preview.redd.it/iv0u23ckyc7h1.png?width=1920&format=png&auto=webp&s=7cd8c9a2b15491c8553b9115b18b2113c348ff34
https://preview.redd.it/x3lu92skyc7h1.png?width=1920&format=png&auto=webp&s=263abb9521f2efd8525ae340e24b82533562a913