Recently made a post about Sharpe ratio. You can see we had a short exchange on that with Eric. At the same time there has been some posts / exchange on LULU. I wrote about my bull put spread trade that Eric commented to as risky.
Do you guys want to have a discussion on risk management and use LULU as an example?
Collectively analyze LULU from the time Eric made a pre-earning post and where we are now.