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Thanks!! Played tomorrow's $AAPL 230 puts wrong earlier this morning. I got shaken out on a brief bounce after being up nicely. I did make all of ~5% profit. Position would have looked nice right around now.
I did. Bought yesterday. Big mistake of course. Road it out and added some this morning. Managed about a 25% gain. Terrible trade, but I got lucky. That late day rip on SPY was reaaaaaal suspicious to me. You doing alright?
Scalped $NVDA 130 puts for a 105% gain in seven minutes.
MSFT getting smashed. Did you get puts?
I'm going to leave it alone for a bit.
Market at all time highs hard for me to buy calls.
Good day got some of my MSFT losses from yesterday.
Sold QQQ and SPY calls, mostly too early.
I would expecct some sort of dip before close the econ news tomorrow could be iffy. It's an unknown . I don't think "they" get the number early but I do think they have computers evaluating the same components.
SPY puts tomorrow for now, trying to straddle but only if I can get in better than now.
Yeah should move good one way or the other but a coin toss
No clue LOL Just dont forget that its tomorrow. I only say that because I'm terrible at remembering that stuff. It somehow never works in my favor when I have an overnight position
Beware of a hot reading?
MSFT puts for the win. Should've stayed in them longer though. Hope all yall are doing well
Thanks! I'm thinking about getting back into those
Good timing!
STC SPY 555 P@1.02
SOB no MSFT, they ran up too fast
Long SPY and QQQ
$AA Out Friday's 42 calls from .31, in yesterday, to .55, ~77% gain.
Yesterday's volume was nearly 14K. Today's OI is 6.5K+ and volume, in less than ten minutes, is 5.3K+. Something is probably going on here. There was news last week which is probably the catalyst. I may have gotten out early, but profit is profit.
It could be an opening position and OI will rise tomorrow
$AA Friday's 42 calls showing more than 12K volume, on OI of 346, while other strikes show peanuts. Anyone have an idea why this is so?
Will be interesting to see tomorrow's OI on these 42 calls.
Go MSFT !!!
Long tomorrow QQQ c 480@ 1.70
NVO friday 145 @ 1.40
Out of calls again -paper hand for another $5k . Preparing for long leap for real now
This next drop from the peak again NQ 20270 or 20450 will be epic in proportion
And out of puts. I think they’ll make another run at the top before real drop
And the peak is : NQ 20269 ish lol leaps 2-3 weeks out puts
How ‘em dip and calls guys? $8k in 20 mins
Here is the morning dip, get ready to shop for the rip when NQ 20050 now 20150 amzn, nvda, tsla, snow, msft, aapl, qqq, iwm,spy call
AMZN $200 reached. Dip and rip to ATH tomorrow NQ 20269 me think
If we keep printing money trillions will be the new billions so I can see another split, maybe 4 or 5 to 1
I doubt it. But I'll be pleased with 300. A major move has been made and I doubt a 10 bagger again.
Since split it is more attractive but more shares in float. Think it can get back to 1k per share in say 2 or 3 years?
Out $ZI 19JUL24 12.5 calls at .90 from .45 (entered yesterday) for an exact double.
$ZI 19JUL24 12.5 calls have OI of 23K+, about all of yesterday's volume plus yesterday's OI. Seems like everyone who bought these calls is holding.
NVDA will look nice in your long term
Sold @.38
$ZI $25K+ thrown at the 19JUL24 calls at .75, the ask.
$ZI Nice move up since lunchtime; still holding calls.
Sold SPY puts @.82
Yesterday I started buying NVDA shares.
NVO was a hit but again sold early,I expected a dip
$ZI Nothing but calls on the 19JUL24 12.5 strike:
https://x.com/MWM76/status/1805606870985343387
I picked up some at .45.
(First post here in over a year. Hope y'all are doing great.)
Seemed to me that this move was a little extreme. Sold SPY calls for a gain but too early?
Holding MSFT calls that really turned around
AMZN $200 incoming imo. Prime day in 3 weeks I think
of course I bot MSFT next week 450's
STC @.08 Had a chance to take a small gain and didn't take it
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