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added more spy feb calls today
Added a few more spy calls today on that bogus dip eod
Closed the put side of my Feb Spy straddle this morning, did pretty good on it, got one cent from the daily high on it.
It is a spy straddle, Feb. We hope to see violent directional movement in both directions, thus, selling each leg at the appropriate times. And there are a lot of other options too, you can sell calls / puts on the losing leg, etc.
I believe we are going to see a violent move this week, but honestly I don't know which way, I am leaning to the positive, but don't feel extremely confident; that is why I went with a straddle.
I also have a few spy lottos too, and will buy some spy lotto puts if the spy gets over 130.
what does that mean? how do u profit from that
Also bought some SPY lottos yesterday too, lol
SPY Feb 18 2012 141.0 Call SPY 10 0.58 0.61 580.00 0.00 540.00 40.00 7.41 0.55 0.523249
Sold my spy call put spread for $100 gain, lol, and bought a spy straddle, feb
Filled Buy to Open 5 SPY Feb 18 2012 126.0 Call Net Debit 5.58 -- -- 13:26:16 12/06/11
Order No. 8246665679 SPY Feb 18 2012 126.0 Call Entered:13:26:12 12/06/11
Filled Buy to Open 2 SPY Feb 18 2012 126.0 Put Net Debit 5.97 -- -- 13:26:17 12/06/11
Order No. 8246665680 SPY Feb 18 2012 126.0 Put Entered:13:26:12 12/06/11
Filled Buy to Open 3 SPY Feb 18 2012 126.0 Put Net Debit 5.97 -- -- 13:26:17 12/06/11
What u mean? It's a simple copy and paste!!!
I don't have time douchette
Post these trades on the rags board too douche
The key to take out of this was that the trade did not originally go our way and we still made money on the play.
This was a Bull call spread but the market tanked right after we bought it. We took advantage of the side we sold being down in price that it was almost a no brainer to buy back at .40 -.70. Think of it like doubling down on a stock in a losing position.
Insider
nice losing, i need to get that options book. it's so confusing
Quick breakdown of the Spy Call spread we just did, profit of $4,040.
Purchased Dec 17th call spread, bought 25 $124 contracts for $10,500, sold 25 $126 contracts for $7,650==Net Debit of $2850.
Market tanked, and we bought back our $126 calls we sold, (5 @ .40, 5 @.46, 5 @ .41, and 10 @ .75) total cost of $1,385.
Now we have $4,235 in the play.
The market rebounded last week, and we then bought 10 weekly puts for protection of our current profits for $890.
Now we have $5,125.
Closed out all of our $124 calls today, for a total of $9,165.
thus, we have a cost basis of $5,125, sold for $9,165===Profit of $4,040.
SPY put spread:
Filled Buy to Open 25 SPY Feb 18 2012 127.0 Put Net Debit 5.98 -- -- 13:05:02 12/05/11
Order No. 8242339646 SPY Feb 18 2012 127.0 Put Entered:13:05:00 12/05/11
Filled Sell to Open 25 SPY Feb 18 2012 124.0 Put Net Debit 4.80 -- -- 13:05:02 12/05/11
OUR NOVEMBER MICRO INSIDER PICS / RESULTS
The purpose of showing all the picks that meet our trading matrix is to show how we trade. Our software picks up hundreds of insider buys, we look at each one, and only post the ones that meet our trading matrix. Actually some of the lottos we post we only buy small amounts of, because we like to stay will big board stuff. You can do your own calculations. Obviously, we are posting the high price and it is impossible to sell at the high, but as you can see almost all of them had a 5%-10%-15%-20% gain with-in a small amount of time, and the ones that didn't do anything you can sell, hold, sell some of the postion for a very minimal loss. I like to put between $10,000 to $20,000 in each one (except lottos), and if you do the math, pays very well, and I still manage my company and Insider still does his normal job (and guess what, we are not tagged as daytraders). We are able to do this on our cell phones basically. If I had any advise, it would be to not get an emotional tie and do not get hung up on message board jargon. A lot of these stocks don't make money, maybe you wouldn't normally buy them. But guess what, we are getting what is considered positive news once it is recorded with the SEC, and you can usually over 75% of the time, based on our statistics, catch a 5%-10%-15%-20% gain with-in 5 to 15 trading days!!
AFTER A SLOW, BUT GOOD MONTH OF OCTOBER, WE DID WHAT NORMALLY HAPPENS AFTER AN EARNINGS MONTH, WE HAD A HUGE VOLUME MONTH.
WINNERS HAVE A 10% GAIN POTENTIAL / NEUTRALS HAVE A 5% GAIN POTENTIAL / LOSERS DID NOT HAVE A 5% RETURN.
Remember, if Insider or I post the pick, it has made our software matrix strick guidelines, and we actually buy the stock when we post, no pump n dump, no front-loading, etc. Everybody has the same chance of success as us. The bottom line is these numbers report are actual numbers, find your sweetspot, make profitable trades, cut losses early (but give them at least 5 to 10 trading days at a minimum to start their move), you will be successful! TAKE NOTE TO THE % OF THE LOSERS VERSUS THE GAINS OF THE WINNERS.
THIS IS ALL MY OPINION AND MY TRADING STRATEGY, DO WITH IT WHAT YOU WANT. I AM NOT AN INVESTMENT ADVISOR, WE ARE JUST HELPING OTHERS BY SHOWING WHAT WE DO!
WINNERS
MERU--This was alerted on 11/04/11 and was trading at $4.99. The stock traded for a high of the month on 11/14/11 at $5.80 (a 16.2% increase). The closing price November 30th was $4.70 (a 5.8% decrease).
EGHT--This was alerted on 11/04/11 and was trading at $3.67. The stock traded for a high of the month on 11/08/11 at $4.25 (a 15.8% increase). The closing price November 30th was $3.68 (a 0% decrease).
COCO--This was alerted on 11/08/11 and was trading at $2.66. The stock traded for a high of the month on 11/08/11 at $2.99 (a 12.4% increase). The closing price November 30th was $2.63 (a 1.1% decrease).
GTIV--This was alerted on 11/08/11 and was trading at $4.60. The stock traded for a high of the month on 11/15/11 at $6.33 (a 37.6% increase). The closing price November 30th was $5.82 (a 26.5% increase).
KEYW--This was alerted on 11/09/11 and was trading at $7.18. The stock traded for a high of the month on 11/30/11 at $8.13 (a 13.2% increase). The closing price November 30th was $8.13 (a 13.2% increase).
ATPG--This was alerted on 11/15/11 and was trading at $6.50. The stock traded for a high of the month on 11/17/11 at $7.85 (a 20.8% increase). The closing price November 30th was $7.32 (a 12.6% increase).
CBEY--This was alerted on 11/18/11 and was trading at $6.60. The stock traded for a high of the month on 11/30/11 at $7.41 (a 12.3% increase). The closing price November 30th was $7.41 (a 12.3% increase).
CALX--This was alerted on 11/23/11 and was trading at $7.93. The stock traded for a high of the month on 11/30/11 at $9.17 (a 15.6% increase). The closing price November 30th was $9.02 (a 13.5% increase).
NEUTRAL (COULD OF MADE OR LOST / NOT GREAT NOT BAD)
RSYS--This was alerted on 11/03/11 and was trading at $5.40. The stock traded for a high of the month on 11/08/11 at $5.72 (a 5.9% increase). The closing price November 30th was $4.34 (a 19.6% decrease).
END--This was alerted on 11/07/11 and was trading at $7.48. The stock traded for a high of the month on 11/08/11 at $7.91 (a 5.8% increase). The closing price November 30th was $6.91 (a 7.6% decrease).
NPSP--This was alerted on 11/10/11 and was trading at $5.42. The stock traded for a high of the month on 11/11/11 at $5.81 (a 7.2% increase). The closing price November 30th was $5.68 (a 4.8% increase).
IRDM--This was alerted on 11/15/11 and was trading at $7.00. The stock traded for a high of the month on 11/16/11 at $7.54 (a 7.7% increase). The closing price November 30th was $7.11 (a 1.6% increase).
CERS--This was alerted on 11/16/11 and was trading at $2.84. The stock traded for a high of the month on 11/22/11 at $3.05 (a 7.4% increase). The closing price November 30th was $2.99 (a 5.3% increase). This is still in play in my portfolio.
MLNK--This was alerted on 11/23/11 and was trading at $4.25. The stock traded for a high of the month on 12/01/11 at $4.69 (a 9.2% increase). The closing price November 30th was $4.35 (a 2.4% increase). This is actually a winner in my book.
LOSERS
OSTK--This was alerted on 11/04/11 and was trading at $8.36. The stock traded for a high of the month on 11/15/11 at $8.66 (a 3.6% increase). The closing price November 30th was $8.26 (a 1.2% decrease).
SQNM--This was alerted on 11/08/11 and was trading at $4.24. The stock traded for a high of the month on 11/14/11 at $4.38 (a 3.3% increase). The closing price November 30th was $4.18 (a 1.4% decrease).
EXAM--This was alerted on 11/10/11 and was trading at $7.23. The stock traded for a high of the month on 11/14/11 at $7.50 (a 3.7% increase). The closing price November 30th was $6.72 (a 7.1% decrease).
OPK--This was alerted on 11/17/11 and was trading at $5.32. The stock traded for a high of the month on 11/18/11 at $5.18 (a 2.6% decrease). The closing price November 30th was $4.96 (a 6.8% decrease).
MYRX, AMCC, MRGE, UCTT (THESE ARE ALL STILL AND PLAY AND WERE CALLED ON 11/30/11)
TO SEE OCTOBER'S MONTHLY RESULTS GO TO:
http://investorshub.advfn.com/boards/read_msg.aspx?message_id=68576501
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http://investorshub.advfn.com/boards/read_msg.aspx?message_id=67607372
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TO SEE FEBRUARY'S MONTHLY RESULTS GO TO:
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TO SEE SEPTEMBER'S MONTHLY RESULTS GO TO:
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To SEE MAY'S MONTHLY RESULTS GO TO:
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ALL OF OUR INSIDER DATA COMES FROM WWW.SCUMFISH.COM
fyi, an insider just purchased 1mil doll hairs worth of AAPL, hmmmm
bought a little put protection for tonight, JIC market tanks overnight to protect my remaining 20 call contracts
Filled Buy to Open 4 SPY Dec 02 2011 124.0 Put Limit 0.89 -- -- 15:14:16 11/30/11
Order No. 8229714661 SPY Dec 02 2011 124.0 Put Entered:15:14:16 11/30/11 Reuse
Filled Buy to Open 6 SPY Dec 02 2011 124.0 Put Limit 0.89 -- -- 15:14:16 11/30/11
Sold 5 contracts of my 25 spy calls, this one should pay off nicely
Filled Sell to Close 5 SPY Dec 17 2011 124.0 Call Limit 2.65 -- -- 15:11:36 11/30/11
turkey day was great at drew's house this year. yourself?
Wow, Options board was hoping yesterday, lol
Did everybody have a good turkey day?
Yeah we had about 80 calls each at one point didn't we?
hell no, disgusting, and overpriced....I'll stick to running around Times Square with my camera out lol.
I am going out drinking on Stone St Thursday night with some of the other traders...I'll probably feel the most like a tourist then
get a dirty water dog, grab some chestnuts and go ice skating in rockefeller center. you wont look like a tourist then lmao
i know, holy shitballs bro! i want my $8/$9 calls back lol
I'm coming up on the 15th and 16th for work, and the wife is coming up on Friday night so we can be tourists for the weekend lol
Look at SPPI....weeeeeeeeeeeeee!!!
I've seen them too...and I would agree
lmao, takin the wife to see the tree?
I was being sarcastic. I've seen Vinny's trades and I promise he doesn't need any tips on how to make money
ive been listening to bluebucks too much lately. market most likely drops 200 tomorrow,just nuts. i will be parking my $ in some nice high yield stocks until the market gets back to earth. sometimes you need to just tweak your trading style.
Like Monk knows anything about options
Monkinars = Jerry's piggy bank
Who said anything about charts? Oh, and I'll be in NYC in a few weeks...I'm going to come kick you in the nuts
Vinny should have went to a Monkinar....sighhhh
lol easy bro. its a casino, win some lose some no matter how good your charts are. charts dont control the insanity of this market. gl
gotta quit gamblin' on those directional trades! Find a beaten down stock, buy some leaps, and sell calls any time it rallies or the vix skyrockets
I believe Losing is doing this with AAPL (well not sure if he's selling premium...)
hasn't been a good last few months for me options wise. going to take a break with them until the new year. best of luck losing/insider!!!
ZSL, bought some Jan 12 puts
Filled Buy to Open 4 ZSL Jan 21 2012 14.0 Put Limit 2.55 -- -- 12:36:21 11/17/11
AAPL, added another jan 12 call to my stash
Filled Buy to Open 1 AAPL Jan 21 2012 425.0 Call Limit 6.75 -- -- 12:30:40 11/17/11
WPRT bought a lotto call for congress bill
Filled Buy to Open 5 WPRT Dec 17 2011 35.0 Call Limit 0.60 -- -- 10:11:23 11/17/11
SPY vertical bull spread, just opened
SPY Dec 17 2011 124.0 Call SPY 25 4.23 4.24 10,575.00 0.00 10,500.00 75.00 0.71 4.24 4.997321
SPY Dec 17 2011 126.0 Call SPY -25 3.09 3.10 -7,750.00 0.00 -7,650.00 -100.00 -1.31 3.08 3.730699
Nice douchesac
playing CNQR earnings...heavy volume on the dec $50/$55 calls.
Buy Open
10
CNQR Dec 17 '11 $50 Call
Limit Day 2.00 2.00
Executed
DAR .50x.55...
Closed my spy puts, for neutral trade
heavy volume on the $25 URBN puts. disappointing earnings in 2mins??? we shall see...
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