What was your overall gain/loss during the project?
What was your strategy?
How did the following affect your profits: ?
Trading commissions
Bid/Ask spread
"Moneyness" of the option (how far in/out of the money)
Time to expiration of the option
Price of the underlying equity
Volatility of the underlying
If, instead of using options, you had used your capital to buy or sell short the underlying, would you have made a greater or lesser profit?