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cptthunder
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McInnis 03 said:

I'm probably doing too many of these.

This is a broken wing

Theory: BULLISH
Tick: $NVDA
3/25
277.5p +1
275p -2
270p +1

$1.42 CREDIT (this is what you get to place this trade)
Max pay at expiry = $2.50 + $1.42 credit you receive
Break even = NVDA $271.08 at expiry, above that you profit.
Max loss: $1.08
Gotta love when McFly comes to the front of the line of the MCInnis Clan
McInnis 03
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AG
cptthunder said:

McInnis 03 said:

I'm probably doing too many of these.

This is a broken wing

Theory: BULLISH
Tick: $NVDA
3/25
277.5p +1
275p -2
270p +1

$1.42 CREDIT (this is what you get to place this trade)
Max pay at expiry = $2.50 + $1.42 credit you receive
Break even = NVDA $271.08 at expiry, above that you profit.
Max loss: $1.08
Gotta love when McFly comes to the front of the line of the MCInnis Clan
You remember the scene in "The Patriot" at the last battle where the flag bearer falls and Mel Gibson's character takes the flag and charges into all the troops retreating and basically motivates them to turn around.

THAT IS ME RIGHT NOW. LFGGGGGGGGGGGGGGGGGGGGGGGGGGGGGGGGGG
McInnis 03
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AG
Oh, and if our hit rate is even just 20% or 30%, these butterflies can pay enough to make up for the misses and then some.
Bob Knights Paper Hands
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Nice green volume the last 30 minutes. I'm still cautious, but I think we may have started our seasonal green run.
cjo03
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AG
McInnis 03 said:

I'm probably doing too many of these.

This is a broken wing

Theory: BULLISH
Tick: $NVDA
3/25
277.5p +1
275p -2
270p +1

$1.42 CREDIT (this is what you get to place this trade)
Max pay at expiry = $2.50 + $1.42 credit you receive
Break even = NVDA $271.08 at expiry, above that you profit.
Max loss: $1.08

i vote you record your screen when you execute another one of these soon and teach some of us dummy's how to gamble invest with you... i think i follow the strategy, but all the clicks make me nervous
Bob Knights Paper Hands
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Bob Knights Liver said:

Nice green volume the last 30 minutes. I'm still cautious, but I think we may have started our seasonal green run.

Or maybe not.
Brewmaster
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AG
just tagged a Mancini hard level on S&P (4465)... I sold out of my SPY calls there, what a legend (selling off perfectly from that spot).

He wanted a pullback before 4465, we're very overbought now and in roughly his words -- likely to see a bigger pullback next week before rocketing higher.
wanderer
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you use TD? I could show the process in the TD app, TD web, or TOS
ProgN
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Y'all remember when COUP made a 52 week low of 64.79, on Tuesday?
M4 Benelli
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Philip J Fry said:

Looks to me that ZIM run has stalled and is retreating back to 75 or so. Sold my shares for +12% profit and waiting it out for the time being.


Still holding, I'm not going to pass up that sweet divy. If it retracts back to mid 60s its going to get bought up by booty loving piranhas. Seen it time and time again from the past divs. Will be adding on more during that dip. This supply chain crisis is here to stay remainder of the year, despite the MSM sweeping it under the rug.

Speaking of Holding, still latched onto CROX like an incel on a Twitch thot's stream. Cost Basis is at 86, rode it down to 67. Twas tempted to bail as my port is looking pretty stellar atm from swinging my Vinnie K, and I dont trust next week.
McInnis 03
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AG
McInnis 03 said:

McInnis 03 said:

McInnis 03 said:

AAPL kinda looks like a $160 magnet.........................but fed.


So far so good. We've been a good McInnises, a fruit gap up would be out of this world.
Scaling out of 1DTE 160c's despite what I see here. Because profit is something I do like. Half position closed, stops set, gonna see if these indexs want to run and see if AAPL leads the way.
I didn't hold these into today, but if anyone did, YAY for you!
ProgN
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Deshaun Watson willing to waive no-trade clause for Cleveland Browns, who are set to give him $230M guaranteed, sources say (espn.com)

Quote:

Houston Texans quarterback Deshaun Watson has decided that he wants to play for the Cleveland Browns, sources told ESPN's Adam Schefter.

The Browns and Texans are still finalizing the trade compensation for Watson, but it is expected to include three first-round picks, a third-round pick and potentially a fifth-round pick, league sources told ESPN.

The Browns are set to give Watson a new five-year, $230 million contract, sources told Schefter. He would receive $184 million over the first four years of his new contract -- a $48 million raise over what he was scheduled to make under his current contract.

The full $230 million is guaranteed, sources said, setting a record for highest guarantee given to an NFL player
I wonder what JFF will think when he reads this!
ProgN
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Our 5* QB for 2023 just decommitted.
Jet Black
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4* composite. I don't think he is a 5* anywhere.
ProgN
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My bad, but he's good
Thrax
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8% jump in portfolio this week , I'll take that any day
Bob Knights Paper Hands
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He must be reading the spring camp reports about Weigman.
FJ43
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Next week I get to play in the sandbox all you degenerates.

Morning updates, SPY scalping and lotto Friday. Can't wait!

Signed,

Gus
Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

$30,000 Millionaire
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AG
We're up just shy of $6,100 in the 50K account.

That's 12.2%



This week, our highlights:

  • SPCE did well, I sold that covered call too early. Oh well
  • DKNG mined premium again, stock recovering so got good premium on next week's 21C
  • PLTR we will get exercised on this, but net we made about $400 on it
  • BABA - have some regrets on this, but a 365% gainer, so I guess I can't complain. Great trade for us with $655 in profit
  • QQQ puts - gambled on OPEX selling off, it didn't work out
  • NIO short puts - these did well
  • MARA short puts - these did well
  • AAL short put - 90% of max profit
  • MTTR we will get exercised on this, profited about $1 a share. Not bad

In terms of what we have left:

  • CWH short put for next week. We've mined this pretty well so far for $196 in profit assuming we also get this coming week
  • DRIP we are keeping the shares and I will sell April cc again on this, but want a push down in oil first. Our basis is $2.74 a share after the premium this month
  • ESSC - just waiting for this to move. Clearly being accumulated. I think this will be good once it goes and is very low risk for us to keep
  • PETZ - same thing, waiting for it to go. Low risk to keep on here and we played small
  • SPCE - waiting to see if we get exercised or if we keep the shares. Either way, good trade for $1 off a $7.5 entry. I'll take that all day
  • URA - we got to keep the premium from the short put and we're nicely up on the shares we have. I want to stick with this and see if we can get $3

What we added:

  • MOS - agriculture and fertilizer play
  • OXY - short 60P with the intention of being assigned or getting great premium. Buffett is rarely wrong and I think he typically does this when he wants to buy the whole shebang. I want to be in for those multiples, so we are going to hold through any pain in this.
  • VGFC - another "sh i t" stock with high reward to low risk. We've position sized appropriately and I think this could be a big gainer
FJ43
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Congrats man! Solid trading and management. Beyond solid.
Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

SF2004
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AG
Market continues its stupidity.

There is no reason to be melting up right now. Only thing I can guess is the market makers where overloaded on puts.
ProgN
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FJ43 said:

Next week I get to play in the sandbox all you degenerates.

Morning updates, SPY scalping and lotto Friday. Can't wait!

Signed,

Gus


Vacay or did you say **** this damn project?
$30,000 Millionaire
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AG
thank you sir.

What I hope everyone is finding is that trading doesn't have to be hard or stressful. We're taking base hits at the request you all made: high probability plays.

Are we getting huge glamorous plays, no, but we made great money this week sitting on our hands and striking while the iron is hot. For example, I knew NIO was ridiculously oversold and we played it the safest way humanly possible to get profit.

I intentionally didn't take option plays today other than CWH (because I want the shares) because I think there will be better opportunities next week.
FJ43
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30k's profit is consistent and steady.

Mine looks more like this. With my projection.


Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

FJ43
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The quote on my IBKR phone app.


Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

gougler08
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AG
FJ43 said:

30k's profit is consistent and steady.

Mine looks more like this. With my projection.





Here
M4 Benelli
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Anybody in UAN? Under radar fertilizer play.

UAN sell almost all their production 3-6 months ahead. Earnings have yet to reflect the explosion of fertilizer prices in Q3-Q4 last year.

Fatty Delta Burke dividend, this stanky stock typically trades pretty close to 10x trailing 12-month EBITDA.

Q1 earnings will be very good and Q2 earnings will be grandiose. It's after these two earnings reports that divy loving degens will discover that this $100 stock is paying out $40-$50/yr in dividends. May the urea hit the field.

FJ43
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ProgN said:

FJ43 said:

Next week I get to play in the sandbox all you degenerates.

Morning updates, SPY scalping and lotto Friday. Can't wait!

Signed,

Gus


Vacay or did you say **** this damn project?


I don't know what that word vacation is.

Kidding. I'll just work from my office at home. Mamma FJ said stay home for the week.
Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

Jet Black
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My problem is always when to sell and get out.
jamey
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AG
I moved about 20% of my 401K into stable value yesterday and I'm right around -0.5% loss YTD.

I think I'm gonna watch from the sidelines for a little while.
$30,000 Millionaire
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I'm going to buy 100 shares of ZIM in the 50K account. We are going to sell an ITM covered call on Monday.
ProgN
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Jet Black said:

My problem is always when to sell and get out.
That means you haven't learn discipline yet. Find your 3 favorite technical indicators and buy when they say to and sell when they say to. Too many people get fomo and hold a winner too long because the last stock they sold kept going. Spoiler alert, that's not a winning strategy. 30K's 50K account is a perfect example of maintaining discipline. He's up 12% during a correction. Singles add up and your account does as well. JMO
Jet Black
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ProgN said:

Jet Black said:

My problem is always when to sell and get out.
That means you haven't learn discipline yet. Find your 3 favorite technical indicators and buy when they say to and sell when they say to. Too many people get fomo and hold a winner too long because the last stock they sold kept going. Spoiler alert, that's not a winning strategy. 30K's 50K is a perfect example of maintaining discipline. He's up 12% during a correction. Singles add up and your account does as well. JMO


Appreciate it
McInnis 03
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AG
$30,000 Millionaire said:

I'm going to buy 100 shares of ZIM in the 50K account. We are going to sell an ITM covered call on Monday.


Does dividend risk come into play here?
$30,000 Millionaire
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AG
jamey said:

I moved about 20% of my 401K into stable value yesterday and I'm right around -0.5% loss YTD.

I think I'm gonna watch from the sidelines for a little while.


How many years until retirement?
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