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BT1395
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FJ43 said:

Ford got some wheels today after a PT increase to $10 and moved from Hold to Buy. Anyone tracking this one?

I've got a leap @ $10 out to Jan 2022 that is slowly gaining momentum.
gigemJTH12
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I put in an order for half my position at 4.00 and it sold.

may have screwed myself out of some more $ but I'll run with what I made and be happy net free
CPDAggie10
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This rally wow.
0708aggie
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Profit is Profit. Considering selling here as well. Just alot of time left on the call.

Need Ranger to chime in.
oldarmy1
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tramaro1 said:

oldarmy1 said:

Little different trade here. I bought GRWG and sold the Nov $22.50 covered calls for $1.20-$1.15

I was watching it to actually buy those as a straight call trade but decided to take the shares with a net below $17 on the premium if not above $22.50 or making the $4/share plus the $1.22 for $5.22/share if above $22.50.

If you want to go straight options then buying the $22.50 Nov 20 calls would be the way to go at $1.10

What is your target, $2+ on the calls?
I think they hit above $2.30
Ragoo
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AG
Hello whales, bid roku green plz.
Robag09
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Today has to have blow off top potential for SPY at this rate right?
McInnis 03
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McInnis 03 said:

McInnis 03 said:

Listening to Ripsters pre-market scan on youtube. Jumped on MDLY with the notification, seeing if I can get a bit of a ramp up at the open and pull some free shares for ****s and giggles.
This trucker has been halted since 8:38a with not a peep. Glad I went small. Reminds me of Luckin'
OUCH! What a freaking haircut that was.
FJ43
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McInnis 03 said:

McInnis 03 said:

McInnis 03 said:

Listening to Ripsters pre-market scan on youtube. Jumped on MDLY with the notification, seeing if I can get a bit of a ramp up at the open and pull some free shares for ****s and giggles.
This trucker has been halted since 8:38a with not a peep. Glad I went small. Reminds me of Luckin'
OUCH! What a freaking haircut that was.
Whoops.... Probably safe to say we have all had those moments.
Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

Brian Earl Spilner
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Hitting resistance?
FJ43
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OSTK - what the heck?
Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

ProgN
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$30,000 Millionaire said:

this buying algo is going bananas.
I wonder if SoftBank is loading calls like they did a couple of months ago. That would explain this melt up over the last few days on light volume.
McInnis 03
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WKHS kind of getting hurt here.
$30,000 Millionaire
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0708aggie said:

What was the target on PYPL? In at $2.16. Sitting currently at 3.975 for the 10/30 210 calls

take profits man. if you didn't set a target, 90% is really good.
Shundere
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I bought 2 of those at 2.0 and sold one at 4.0. Holding the other in case stimulus news hits, which is why ranger mentioned it in the first place I believe.
Orlando Ayala Cant Read
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AG
FJ43 said:

Orlando Ayala Cant Read said:

FJ43 said:

Ford got some wheels today after a PT increase to $10 and moved from Hold to Buy. Anyone tracking this one?
Hmmmmm......


Wondering if this is related to the USPS contract. Apparently its down to 1 of 3 scenarios:

WKHS gets it all
WKHS and Ford share it
Ford gets it all
Has more to do with analysts believing they have turned a corner and third-quarter results to be ahead of expectations. Outlook for EPS improvements near and in 2021.
Ok, good. Was kinda hoping it had nothing to do with the USPS thing.
AgShaun00
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thirdcoast said:

Sold 10/23 AAPL calls at $5.50, now at $7.50 .

Anyone have any AAPL low ball put orders in?


bought and sold twice today for 100%+ each time and rebought again.

sold amazon at 30, now worth over 90.
Touchless
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0708aggie said:

What was the target on PYPL? In at $2.16. Sitting currently at 3.975 for the 10/30 210 calls

i was in at $1.85 but I sold 25% at $4 and then sold some 10/30 $220C to create verticals on 50%. That covered my entire cost basis plus a small profit. That left me no risk on 25% and the 210/220 vertical on the other 50% also at no risk obiously.
$30,000 Millionaire
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AG
smart. todays rally might be the stimulus rally.
Hendrix
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I think AMZN has more room through earnings for what it's worth. I'm watching their e-commerce expansion first hand. Hanging on to what shares I have a long time. Could a democratic presidential and senate win send it back into buy territory or does Bezos own/have enough influence in DC?
chrisfield
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I hope some of you absolutely slayed it on those NET options to make up for the fact that I absolutely sold WAYYYY too early.
BT1395
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oldarmy1 said:

Prognightmare said:

BT1395 said:

BT1395 said:

Just bought AMZN $3,300 for 10/23 expiry (one day after earnings which should be a blow out). Big trade for my little account!

Someone hold me.

Need help on this from you smart people, please...

Up $9,500 on this - which is a lot of money for me in one options trade - and want to consider some sort of hedge while I let the call option rise through earnings. I bought it because I think Prime Day and earnings will be blow outs, so happy to go until expiration if that's the best play, but also don't want to be a moron and leave all the gains vulnerable to going to zero if there's a smart way to play that. Thoughts?
I'd sell it and book the profits and then just buy a higher strike and see if you can double dip on Prime/earnings. You would absolutely drink yourself to death if a plane hit Freedom tower and that bad boy went to zero.


Damn good trade though

When building your capital this is the correct approach. You caught a flyer and had good reasoning behind the risk taken. Markets underpinned the gains and could easily sell the news of great earnings. You have a significant win on a smaller account. Take it and don't overtrade in the euphoria. In fact, I'd book it and log out for the day.

Last post on this, but started putting in a trailing stop loss this morning and walked it up all day long in concert with the stong push today. Got stopped out at $210. Net profit of $15,000+ in 4 business days - unreal! THANKS to all for the help and guidance here.

For what it's worth, I still think AMZN is going to blow the doors off of earnings and may even announce a split. If so, $3750-$4000 is realistic on the share price. I've been holding shares since $333, so I'm still exposed to the upside.

I'm done for the day!!!
FJ43
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BT1395 said:

oldarmy1 said:

Prognightmare said:

BT1395 said:

BT1395 said:

Just bought AMZN $3,300 for 10/23 expiry (one day after earnings which should be a blow out). Big trade for my little account!

Someone hold me.

Need help on this from you smart people, please...

Up $9,500 on this - which is a lot of money for me in one options trade - and want to consider some sort of hedge while I let the call option rise through earnings. I bought it because I think Prime Day and earnings will be blow outs, so happy to go until expiration if that's the best play, but also don't want to be a moron and leave all the gains vulnerable to going to zero if there's a smart way to play that. Thoughts?
I'd sell it and book the profits and then just buy a higher strike and see if you can double dip on Prime/earnings. You would absolutely drink yourself to death if a plane hit Freedom tower and that bad boy went to zero.


Damn good trade though

When building your capital this is the correct approach. You caught a flyer and had good reasoning behind the risk taken. Markets underpinned the gains and could easily sell the news of great earnings. You have a significant win on a smaller account. Take it and don't overtrade in the euphoria. In fact, I'd book it and log out for the day.

Last post on this, but started putting in a trailing stop loss this morning and walked it up all day long in concert with the stong push today. Got stopped out at $210. Net profit of $15,000+ in 4 business days - unreal! THANKS to all for the help and guidance here.

For what it's worth, I still think AMZN is going to blow the doors off of earnings and may even announce a split. If so, $3750-$4000 is realistic on the share price. I've been holding shares since $333, so I'm still exposed to the upside.

I'm done for the day!!!
Great trade and win! Now take your toys and go home for the day!
Wealth gained hastily will dwindle. but whoever gathers little by little will increase it.
Proverbs 13:11

McInnis 03
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If AMZN announces a split I'm violating every f'ing rule about trading there is and everything I have in my trading account is going into AMZN. There will be no guessing, it'll all go in.

Edit: Adding sig on that comment.
***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
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McInnis 03
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Ooooohhh, you're gonna buy 3 shares? Go on wit ya bad self.
***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
wanderer
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chrisfield said:

I hope some of you absolutely slayed it on those NET options to make up for the fact that I absolutely sold WAYYYY too early.
Happy I sold for a profit on Fri, but looking at a 23% gain (just on the equity) hurts to see.
ProgN
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BT1395 said:

oldarmy1 said:

Prognightmare said:

BT1395 said:

BT1395 said:

Just bought AMZN $3,300 for 10/23 expiry (one day after earnings which should be a blow out). Big trade for my little account!

Someone hold me.

Need help on this from you smart people, please...

Up $9,500 on this - which is a lot of money for me in one options trade - and want to consider some sort of hedge while I let the call option rise through earnings. I bought it because I think Prime Day and earnings will be blow outs, so happy to go until expiration if that's the best play, but also don't want to be a moron and leave all the gains vulnerable to going to zero if there's a smart way to play that. Thoughts?
I'd sell it and book the profits and then just buy a higher strike and see if you can double dip on Prime/earnings. You would absolutely drink yourself to death if a plane hit Freedom tower and that bad boy went to zero.


Damn good trade though

When building your capital this is the correct approach. You caught a flyer and had good reasoning behind the risk taken. Markets underpinned the gains and could easily sell the news of great earnings. You have a significant win on a smaller account. Take it and don't overtrade in the euphoria. In fact, I'd book it and log out for the day.

Last post on this, but started putting in a trailing stop loss this morning and walked it up all day long in concert with the stong push today. Got stopped out at $210. Net profit of $15,000+ in 4 business days - unreal! THANKS to all for the help and guidance here.

For what it's worth, I still think AMZN is going to blow the doors off of earnings and may even announce a split. If so, $3750-$4000 is realistic on the share price. I've been holding shares since $333, so I'm still exposed to the upside.

I'm done for the day!!!
Damn good trade, savor it. Buy your wife a nice gift and get some quality time.
chrisfield
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AG
I missed an 800% gain on a not small initial buy.
jeromePOWell
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I've got 1 contract for NET Jan 2021 calls that I have on a cost basis of $540, small position just experimenting with LEAP's so not life changing money, do I sell or just ride it out and finish my experiment? Tough choice
chrisfield
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You want anyone but me on this board answering that question for you.
AgShaun00
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jeromePOWell said:

I've got 1 contract for NET Jan 2021 calls that I have on a cost basis of $540, small position just experimenting with LEAP's so not life changing money, do I sell or just ride it out and finish my experiment? Tough choice
sell and then rebuy another one further out for initial investment and keep your profit.
$30,000 Millionaire
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just looked at NET - wow. I'm out now, obviously. Thinking about a put vertical on that back to the mean.
Brewmaster
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WMT calls, just got in the 145's, weeklies. Looks like it's primed to keep ripping tomorrow. This is an HP chart play, others have jumped in as well. I am in small in this, nothing big.

AMZN looks primed to rip again, possibly even ATH test soon.

disclaimer: I'm not long much of anything else, this is a crazy run...banked profits on almost everything this morning.
wanderer
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Roll into a higher strike price at the same date in order to profit some. Or you can sell a call(s) at a higher strike price and earlier call date in order to collect some premium.
oldarmy1
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AG
MGNI volume.
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