Update: June 19th, 2018
Rolling put spreads higher and adding a hedge.
Update: July 13th, 2018
Closing the trade for some nice profits.
P/L And Margin Explanation
Original Trade
Sell to Open Jul 1515/1505 Put Spread @0.90
Sell to Open Jul 1720/1730 Call Spread @0.90
Credit: 1800
Margin: 8200
First Adjustment
Buy to Close Jul 1515/1505 Put Spread @0.25
Sell to Open Jul 1595/1585 Put Spread @0.80
Realized Profit: 650
Margin: 7550
Second Adjustment
Buy to Open Jul/Aug 1730 Call Calendar @8.40
Margin: 9230
Closing Trades
Buy to Close Jul 1595/1585 Put Spread @0.10
Realized Profit: 700
Buy to Close 80% Jul