assume you're talking CQP? The bid/ask spreads have been frustrating....I got out with 50% loss on 1/3 yesterday. holding the rest to see what the rest of the week has to offer, but as I said in a previous post, I may be holding past EX as well.
Sold yesterday - broke even (slight profit) on PAA, but absorbed a 56% loss in CQP (about $12,000) and bought ARR @ 7.02 with some of the freed up cash. Will be working to gain that $12k back till Dec & see what happens. Could have been a LOT worse but PAA recovered enough to get out cleanly at least. Managed to sell EPD at a large profit when it was over $55 briefly, sold ETP at a nice profit as well so have not had to dip into principal at least.
olee - I don't know about you, but for me it's back to things that are more consistent like AGNC, ARR, etc for a while. I still like options very much but will be more careful as I learn more from now on. Best of luck to you and I hope you manage to hang in there & pull back up swiftly!