Today, I am going to suggest you book the profit on the AMN debit spread.
We can close the position after two days and capture just over 50% of the maximum profit on the position.
The cash return for the two days will be 50%.
Here is how you close the trade.
Sell to Close July 17th - $45.00 call @ $4.20
Buy to Close July 17th - $50.00 call @ $2.10
The net credit will be $2.10 per spread. The debit when the trade was initiated was $1.40.
This results in a profit of $70 per spread. If you traded the suggested 8 lot, the total cash gain will be $560 for two days.