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Agreed. Perfect storm with corona creating huge budget shortfalls for states. Will make legalization a priority.
Really impressive bounce from the low this morning.
Wow
Nice exhibition of strength this morning.
Source?
Is AMZN not gonna climb into earnings next week? Hard to believe.
Holler
Nice!
Ok, I hope you prove me wrong. Patience on a monument over here.
This stock is such a broken-ass dog.
Nice buy. Went all-in too soon at 34, but looking ok now.
As long as no BS reversals from sports leagues, should be smooth sailing.
Nice bounce from Monday’s low.
Let’s hope
Holler. Great call.
Let’s get some double-barrel pump action going.
Such a bummer the way we’re lagging the Qs.
This talk about another shut down is not helping.
Would be useful for me if this climbed past $34 and didn’t look back ;)
Gonna get some action this week? I’m ready for this to pop!
Let’s go baby!!!!!
Lol :)
Pardon my ignorance, but anyone think the recent warrant issue has significantly impacted recent price action?
Yes they will. MLB regular season is a lot more compelling with 60 games. But agree that NBA playoffs will be a dramatic draw.
Does this have one more pop in it before delisting?
Nice bounce from the low today, plenty of support. Almost directly followed the Qs straight up, so would guess drop was due to market weakness.
Shoulda bought those 30s today, but bought too many 34.5s on Friday :) Feeling better now.
What a mistake I made not buying after Morgan Stanley upgrade.
Hey chess machine. Nice numbers.
Started a position here on Friday. Expect a bounce, but worried about wider market headwinds.
To everyone knocking buyers: do you actually have a short position? If not, be humble and admit you’re neutral and have no real conviction. Otherwise, you are FOS.
Player, interesting thoughts. I admit mine were wishful thinking. Analysis much appreciated, as always.
Ha, sorry. Will try harder to be positive. Just regretting my exuberance here.
Not convinced of this. May be cost-cutting that was planned by new management regardless of cash position. No question this company had/has a ton of trimmable fat.
That being said, history here says you’re right.
Easing into a UVXY position here, bought EOD. The indexes may have more room to climb, but it’s starting to have that feeling of untenability again.
UVXY returns 1.5x vix, that’s a popular one.
But the old heads on this board know all the plays.
There are also leveraged shorts of the indexes.
I can’t believe the Qs, OMG. Got off that train way too early. SQQQ triple shorts them, but that was the worst thing you could’ve bought for the last two weeks. At some point tho, Qs will mini-correct down.
Most important thing is to train yourself not to dwell on how much you could’ve made on the back-to-back bull runs we’ve just had with the money tied up in this POS.
Plenty of ways to make a fortune on this market going down.
Scored big on longs today, and wish I’d held them. Market’s rocking as predicted. Will continue the buy the dip, sell the gap up strategy for now.
Interesting TVIX news this morning.
I don’t think it’s delisted yet, you have until July 10th until it stops trading in the majors.
Tough call, who the hell knows how knowledge of delisting will cause this to trade. It’s a loony tune under normal circumstances.
If a holding can go “poof”, it should be delisted/eliminated/disappeared/put to bed with the fishes.
But this just gets traded like any other stock, no? If anything, seems credit Suisse could sell more shares if demand was high.
Again, I must acknowledge my own ignorance here.
But if so, why delist this one? In the event of a crash, there’ll be demand for volatility plays, no?
Unless I’m missing something.