Long time on ET here ... just my new handle to turn the page, as it were. I'm heavily leveraged long a shitload of Kospi April calls ... wondering if anyone has experience or could conveniently check what Kospi had typically done around a North Korean Missile launch. I want to exit Monday so trying to establish my targets this weekend. (The options are currently OTM and expire at EOD Thurs, so I'm definitely looking for the exit.) Any quantitative insights/thoughts most appreciated. Just preoccupied with my position a little this Sunday. Soros once said about his killin' in the British Pound, 'There are times when you must be a pig.' Sound advice, I think. Its the 'times' part that can be tricky.