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22,088,051 Views | 224474 Replies | Last: 29 min ago by EliteZags
TChaney
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ProgN
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WLL

At least one of our clan is making bank today.
Aggietaco
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AG
Prognightmare said:

Aggietaco said:

Prognightmare said:

Based on the volume today, I believe SDC busts through 6 at the open unless futures are down 500.
Sitting at 6+ pre-market. Going to be another profit taking and then slow rise day?

I might buy into a few shares at the early sell off to see what happens.
It almost got there, now just watch for volume on the minute chart to see if it will push through.
Had a 5.40 order in and got busy with my real job, so I'm not holding anything yet. In reality I should quit waiting for 4/4.50 again and buy and forget for long term, but I can't help but wait for a low spike.
ProgN
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Waiting on a dip is prudent. When volume dries up, it will come back down.
McInnis 03
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Prognightmare said:

WLL

At least one of our clan is making bank today.
The JAN21 $2 calls have a boatload of volume.
***If this post is on Business and Investing, take it with a grain of salt. I am wrong way more than I am right (but I am less wrong than I used to be) and if you follow me you will be too.***

B&I Key:
ETH - Extended Trading Hours --- RTH - Regular Trading Hours
ORH - Opening Range (1st 30min) High --- ORL - Opening Range Low
R1, R2, R3 - Resistance 1, 2, or 3 --- S1, S2, S3 - Support 1, 2 or 3
gougler08
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Prognightmare said:

gougler08 said:

DFS goes green
That chart looks really good to me.
Agreed, I bought in a couple days ago with shares
ProgN
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gougler08 said:

Prognightmare said:

gougler08 said:

DFS goes green
That chart looks really good to me.
Agreed, I bought in a couple days ago with shares
I'm in the 5/15 36.5c, They should be fine and I may add more today.
$30,000 Millionaire
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AG
This is demoralizing for a short to watch. $3T in stimulus, unlimited QE, junk bond purchases, 26M unemployed claims in the last month, impacted earnings, low guidance, high likelihood of a wave 2, and suppressed demand, yet we are likely to break out of this channel and move towards a full retrace.

What the F.
McInnis 03
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AG
My patience finally paid off. My 290c that expires tomorrow on AAPL finally went green. Unloaded 2/3 of the position and will lotto the last bit
***If this post is on Business and Investing, take it with a grain of salt. I am wrong way more than I am right (but I am less wrong than I used to be) and if you follow me you will be too.***

B&I Key:
ETH - Extended Trading Hours --- RTH - Regular Trading Hours
ORH - Opening Range (1st 30min) High --- ORL - Opening Range Low
R1, R2, R3 - Resistance 1, 2, or 3 --- S1, S2, S3 - Support 1, 2 or 3
Aggietaco
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AG
$30,000 Millionaire said:

This is demoralizing for a short to watch. $3T in stimulus, unlimited QE, junk bond purchases, 26M unemployed claims in the last month, impacted earnings, low guidance, high likelihood of a wave 2, and suppressed demand, yet we are likely to break out of this channel and move towards a full retrace.

What the F.
Quit trying to rationalize it.
La Bamba
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AG
Rode OAS from .54 to 0.64. Geez, Insane. Helped curb the losses from my non-profitable SPY puts a few days ago.
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BearkatRunner88
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McInnis 03 said:

If my charting of AVWAP is right (WHICH IT PROBABLY ISN'T) the next resistance on AVWAP would be 6.41 or so for SDC. I just got in the $6 calls for next friday which have a LOT of action on them.
Considering following this. I could do a covered call as another user suggested yesterday but just wasn't sure my inputs were accurate (within TD Ameritrade) and got side tracked but wondering what the pros / cons were to picking up options and just letting my shares continue to ride vs. the alternative (covered call).

Appreciate any input.
ProgN
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FAT SEXY said:

One month of small ball trading and I've turned $2800 into $3200.. At least I'm not taking L's I guess.
A LOT better than a 1 month CD.
Aggietaco
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FAT SEXY said:

One month of small ball trading and I've turned $2800 into $3200.. At least I'm not taking L's I guess.
15% is nothing to scoff at.
ProgN
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BearkatRunner88 said:

McInnis 03 said:

If my charting of AVWAP is right (WHICH IT PROBABLY ISN'T) the next resistance on AVWAP would be 6.41 or so for SDC. I just got in the $6 calls for next friday which have a LOT of action on them.
Considering following this. I could do a covered call as another user suggested yesterday but just wasn't sure my inputs were accurate (within TD Ameritrade) and got side tracked but wondering what the pros / cons were to picking up options and just letting my shares continue to ride vs. the alternative (covered call).

Appreciate any input.
You can sell the 5/1 $6 calls for .40. I'd recommend that. If they get called out, it means you essentially sold them at $6.40
La Bamba
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$30,000 Millionaire said:

This is demoralizing for a short to watch. $3T in stimulus, unlimited QE, junk bond purchases, 26M unemployed claims in the last month, impacted earnings, low guidance, high likelihood of a wave 2, and suppressed demand, yet we are likely to break out of this channel and move towards a full retrace.

What the F.
I switched from short to long in the SPY this morning once we got over that 281 resistance line. We are also above the the 50 dma. Looking for a move to 288-289 (massive resistance).

BTW, I mentioned CHK last week and was kinda poked fun at for a long position. It was at 16. Its now at 25. Unfortunately, I did not hold.
Spaceship
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AG
Sold my LVS shares just now. Pretty cool to make 12% in 24 hours. I just need to pick more stocks like that one.
Carlo4
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FAT SEXY said:

One month of small ball trading and I've turned $2800 into $3200.. At least I'm not taking L's I guess.
That's awesome. Congrats! In the exact same boat as you. I have similar percentage gains (much higher early last week but learning the hard way lately).

I'm just kicking myself on some of my sells going too early. Good thing is you can always jump back in right?!?
texagbeliever
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$30,000 Millionaire said:

This is demoralizing for a short to watch. $3T in stimulus, unlimited QE, junk bond purchases, 26M unemployed claims in the last month, impacted earnings, low guidance, high likelihood of a wave 2, and suppressed demand, yet we are likely to break out of this channel and move towards a full retrace.

What the F.


You are assuming people didnt expect the things to be happening that you are saying much less assuming the market didnt think things would be worse. At the low people probably thought a million people were going to die and society has a 20% chance of collapsing. Now we are looking at a sooner than expected opening (before Aug/Sep) and a much less lethal virus.
texagbeliever
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Oil stocks are outperformint the market now. OVV up 13%, COP up 5%, MRO up 8%. These stocks stayed flat during the oil price free fall.
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jbeck3487
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I'm really hoping for a SDC pull back to buy my $5 covered call back that expires tomorrow.

Carlo4
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texagbeliever said:

Oil stocks are outperformint the market now. OVV up 13%, COP up 5%, MRO up 8%. These stocks stayed flat during the oil price free fall.
And Apache is up 35% in the last 5 days. Just crazy...
gougler08
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texagbeliever said:

Oil stocks are outperformint the market now. OVV up 13%, COP up 5%, MRO up 8%. These stocks stayed flat during the oil price free fall.
I had sold OVV naked puts last week that would have been called out, the I got cold feet with oil and bought them back for a small gain...damn
Baby Billy
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AG
Just picked up CLB, Core Labs.
Rice and Fries
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Someones been buying lots of UBER $35 1/15/2021 Calls... for $28.90 per contract.
TXAG14
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thirdcoast
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texagbeliever said:

$30,000 Millionaire said:

This is demoralizing for a short to watch. $3T in stimulus, unlimited QE, junk bond purchases, 26M unemployed claims in the last month, impacted earnings, low guidance, high likelihood of a wave 2, and suppressed demand, yet we are likely to break out of this channel and move towards a full retrace.

What the F.


You are assuming people didnt expect the things to be happening that you are saying much less assuming the market didnt think things would be worse. At the low people probably thought a million people were going to die and society has a 20% chance of collapsing. Now we are looking at a sooner than expected opening (before Aug/Sep) and a much less lethal virus.


Pretty sure it's this, more than anything else. Companies that were headed to Ch 11 pre-CV19 are actually improving their balance sheet today thanks to Fed manna falling from sky.

Mr President Elect
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gougler08 said:

texagbeliever said:

Oil stocks are outperformint the market now. OVV up 13%, COP up 5%, MRO up 8%. These stocks stayed flat during the oil price free fall.
I had sold OVV naked puts last week that would have been called out, the I got cold feet with oil and bought them back for a small gain...damn
OVV have KOS have been some of my biggest portfolio gainers over the last week or two.
La Bamba
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Whiting (WLL) may want $2 today. Epic squeeze. Look for OAS to follow suit. If OAS gets to test the HOD it could move up to 0.75-0.8.
gougler08
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Is LK ever going to trade again?
jsap
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I sold naked put that may get called out tomorrow. How do I buy it back?
gougler08
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jsap said:

I sold naked put that may get called out tomorrow. How do I buy it back?
You can select "Buy to Close" and then it will fill based on the current bid/ask spread
McInnis 03
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McInnis 03 said:

Prognightmare said:

WLL

At least one of our clan is making bank today.
The JAN21 $2 calls have a boatload of volume.
Almost ITM
***If this post is on Business and Investing, take it with a grain of salt. I am wrong way more than I am right (but I am less wrong than I used to be) and if you follow me you will be too.***

B&I Key:
ETH - Extended Trading Hours --- RTH - Regular Trading Hours
ORH - Opening Range (1st 30min) High --- ORL - Opening Range Low
R1, R2, R3 - Resistance 1, 2, or 3 --- S1, S2, S3 - Support 1, 2 or 3
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