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AMZN 1823 currently pre market.. you appear to be safe ITM for now
I am in SPXL as well I have Jan21 48c @1.01 average been legging into them
I think were finally capitulating another dead cat, a higher low tomorrow with a long wick followed by a massive bear rally (7-10 days) and then the BIG drop
Looks like a "once in a generation" set up but so many extraneous variables
Hi Nolerman,
Looks like it came true for you. I see that it has bounced off a long term support on Monday.. what is your take from here?
I am confident we open green, maybe my underwater hedges will come to life LOL.. have a good nite
Hello all!
Would love to hear some takes on where we head from here, and potential set up plays.
I started taking call positions in UUP this week, September/Jan expiry.
I am thinking calls short term (~1-2week) on the indices IWM/SPY/QQQ and blue chips that have good set ups.
I got into some KO 62.5 calls today jan 21 expiry
Hope everyone is doing well and profiting from this moment in history we are witnessing.
I believe Friday we start the bear rally gdl has been calling for the last week.. the action at close was indicative of capitulation for the next dead cat.. everything is speculation at this point of the move with all the extraneous variables
Edit:
I think we gap up, and drop but a higher low, then we begin the move. So I think you're safe but that isn't reassuring haha!
Yup they’re wild.. I think that one was 7.5 and we were like 50 miles from epicenter.. I was in asadabad
Sorry phone is jacked and had to run out.. I hope that made sense I can only see like half my screen until the new iPhone comes out this fall I refuse to get the 11
I added GLD and LO longs today and UVXY shorts for Jan 21
I was in Afghanistan in 2005-2006 on the Pakistani border. Peshawar haf a 7. Something it was crazy it was like being on the ocean it lasted like 15 minutes
bro I just made 10k on overnight SPY puts (butt clenching 50 contracts).. and yes TSLA looking great!! lol
Halted.. pop lock and drop expected to 2300.. we will see!
FEMA camps the new norm?
Gold is putting ina bearish reversal.. perhaps the dollar will become the safe haven.. I did grab 10 UUP Jun 28c yesterday as a starter.. I was down 15% at close.
Well you were wrong about Oil... I saw this coming I actually can't believe it took most of the night to break 27.. Gold got clapped, I did not expect that happening, but with bonds getting crushed overnight as well, Gold will become the safe haven.
Oil futures strong bounce off 27.. will be watching for the breakdown.. saudis want it at $20 anyway
IDK what else they can throw into the mix?
they did a work on the bond yield, TLT was punished.. how many more trillions to stabilize the markets?
Watch for OIL futures to break down tonight.. if that comes true we could open limit down twice this week
nice trade.. I dont like messing with big premiums, very nice hold for ya..
I added shorts around 410 before the index closed to average down on the puts I bought earlier from a rolled over straddle I made $$ on.. wild times ahead!
I forgot to link it, also forget how to imbed on Ihub..
I do my wild plays on RH
https://imgur.com/a/4nJAYPn
I have the 105p on 9/18 at 2.20 .. bought it 2 weeks ago — they were lagging for a while
a lot of panic rumors flying.. like borders closing.. im not buying it.. but would likely crush any long positions
I keep adding shorts.. the fed blew its wad and still down 6%.. good luck on your calls.. watch oil gold and bonds for moves.. the index trends are hard to analyze right now
those SPXL's are up 100% as well.. madness.. I have puts and calls up 100% good lukc boys.. trade well.. good entires..
Down .30 on GLD calls for May.. but TLT not moving I think GLD will pump
those SPXL's are up 100% as well.. madness.. I have puts and calls up 100% good lukc boys.. trade well.. good entires..
Down .30 on GLD calls for May.. but TLT not moving I think GLD will pump
did you see how 1937-1938-1939 behaved.. it is similar action
my June SPY puts are up 100% since Friday.. even with the rip from 240 to 250.. just a fun fact..
I did alright.. I got out of those at 2.25 -- tried holding but it never dipped under 2400 again.. bought calls.. holding them still and bought some puts as well here at 2520 for march 27th
https://imgur.com/a/Ld8AwAE
Yeah makes me wish i pulled the trigger to average down on this position.. I bought them a little early but should see premium spike at open
futures halted
There is nothing else they can do to save the market last shot fired
0% rates and QE infinity
The gambling site weekend wall street showing down 4% lol.. perhaps we will see a retracenebt Monday
couldnt agree more
yeah going long is like knife juggling lol.. I am going to sidelines and buy divi stocks and play spreads around my target... have to mitigate the risk because premiums are sooooo high
I have had 2150 pegged for some time.. we will get there by Monday.. and biggest dead cat in history late Monday or tuesday.. that will reset the $VIX for you.. but it will hit $80 before then.. all speculation.. we are witnessing history
sold at .75.. riding rest free
also added next week UVXY calls 175c @ .35 just now
made a little on the run up NVDA calls mar 20 285 .24 to .40 .. and bought more SPY puts May 15 120p .25 and bought and sold BA puts mar 20 125p 2.44 to 3.75
still holding the descending triangle
the one day I actually watch the forum in weeks no one posts lol
making an attempt to VWAP (255.60).. being bearish I would like to see it touch so we can go back down