Fixing errant MU spread trade info. 1) theres a discrepancy in the notes since I went off OPC not actual entry prices (dur) and 2) NVSTLY defaulted to whatever the asking price was when I switched expirations and I didn’t notice. So Based on screenshot of actual entry prices: 84.70-77.95=6.75(debit paid) 20-6.75=13.25 (max profit) 13.25/6.75=1.96 times the entry price Max profit=$1,325 Max loss= $6.75 Potential return on debit paid= 196% or 1.96x