Ad astra per aspera...
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lol, to me 200-400 bucks is lotto more or less. but if my 300 bucks in those puts turn out big i'll take it :)
FIO got 20 contracts of 22.5 Dec Puts as lotto :)
Everything's possible. But i'm still thinking more like a short term top was formed despite this bounce off lows now: http://investorshub.advfn.com/boards/read_msg.aspx?message_id=69680021
SPY the BTFD so far working :) - Annoying for us Putz'lers though.
I dont know. Who would go short with a couple million dollars on a pinky pump? Seems more likely fake bid/ wash trades by the pumpers/ co.
The 7 million WDCO-bid might also just be wash trades from the pumpers/ company to dump at a later time again.
bid what? 70 million shares at bid at once of .52??? like $35 million dollars? impossible
lol u sure buddy? that would be quite the trade of shares at once. 70 million shares? = $35 million dollars at once? IMPOSSIBLE buddy, especially in a pinksheet's pump like AMWI trading at .50's
AMR: Holy chit, the .50 calls are now .40 x .42 and like a week ago they were .02/.03 when AMR was .20-.30 and now almost 1.00
lol, maybe for a couple minutes before lower again :)
SPY 124's! Almost. Weeeeeeeeeeeeeeee
QIHU: "Andrew Left from Citron will be on CNBC Asia Squawk Box today at 5:30 est to describe the massive fraud at QIHU...Tune in"
AMR touched almost 1.00 today! WOW
Ok then :) let's see where SPY lands today and next 2 days.
loading why? I see/ saw a little top there for now and there are few big gaps below :)
http://investorshub.advfn.com/boards/read_msg.aspx?message_id=69680021
That said you never know, there can be a harsh turn any time with another pump. These markets so unpredictable at times, very schizophrenic :)
SPY here cometh 124's it looks like
No Santa-rally yet :) More likely the 121-122 gap close in SPY first or so i'm thinking/ hoping since yesterday when i got the 122 Weekly Puts. Hope we see 121-122 by/ on Friday...
But then again any little pump from EU can send it the other way.
Sayonara SPY :)
You should maybe learn all the fundamentals of Options trading first before trading (or paper trading). We posted many links in the past weeks but you can use google to find all the newbie stuff.
Cheers
nope, only when it's in the money
lol
And now there's the ECB pump
SPY touched 125.5 just before! Weeeee! Maybe my estimation of 122-121 gap fill by Friday will work, let's see!
lol, Metallica 'could move' 2013 tour dates because of Euro: http://www.bbc.co.uk/newsbeat/16070353
Well, everybody has their own preferences and thoughts. Some say the markets will rip through the 130's this week while some like me say a dip to gap 122-121 possible and thus i got SPY/ GOOG Puts.
Let's see what tomorrow brings.
Futures ripping a little. Hope SPY still red tomorrow
lolz $317, that's better than the most epic pump in the past years aka LEX* which had I believe 0 in the bank account and went from .50 (or lower) to 10.00's
Evil naked shorts going to get squeezed to 100.00 pps (or to da moon)
lol i bought Dec Calls @.01 of this POS when it was at .22 as souvenir but at this rate they might end up profitable. The big question is: "Who is buying this AMR now and why?" lol. I thought the Q was following soon and a delist to pink sheets, no?
It's Timothy Sykes new subscription/ alert newsletter. He has now like what, 3 or 4 of them to scam his followers out of their $?
Funny how he rails against penny stock "promoters" when he's nothing else than a promoter constantly promoting his subscription services (profitly, tim-alerts, buyinalerts) and DVD's.
And now he needs hot chicks to sell the goods, lol
Funny Youtube comment:
I follow these twitter for high volume Call/ Puts activity: https://twitter.com/#!/Livevol_Pro & https://twitter.com/#!/RMBrenna
In ThinkOrSwim there's also a widget/ section to see the Calls/ Puts activities and where the volume shift is of a certain stock but i haven't found anything specific or a specific scan to alert me of stocks with unusual activities.
Well well well... there's no much reason to be all too cheerful either, right? :) EU is still not fixed, S&P downgrades looming, more possible bad news from EU, Greece/ Italy and then we also have the middle-east theater with Israel/ Iran... if they (Israel/ US) decide to attack Iran we'll have some big oil-doom and economy-doom when Iran blocks off the Strait of Hormuz.
That said if those very bad things don't happen (yet) I still believe we first see a dip to 122-121 gap before a reversal and stupid fake-ass Santa rally into end of year :)
Just my opinion. Anything goes in these schizophrenic markets :)
"In this market, whats the difference between a good bullish call and a good bearish call? Answer: 30 minutes!"
by @traderstewie
SPY dipped to almost 125's AH quite the dumpage in last 1 hour! Doesn't mean anything for tomorrow though but who knows. I'm rooting for a nice correction :)