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Mr President Elect
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AG
still holding a lot of EXPR options here... really hoping it holds up tonight
Brian Earl Spilner
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McInnis 03 said:

AAPL kills on rev and eps, sales blew out....watch stonk tank.
And there it goes. Wtf.
$30,000 Millionaire
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AAPL destroyed earnings. wow.
shiphunt
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FB now green. AAPL following
Esteban du Plantier
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Esteban du Plantier said:

Lotto time, bought cheap Apple Friday 170's. Y'all can pick out the color of my new McLaren.


Maybe everyone is out of cash pumping up GME or closing their shorts.
.
Hondo.
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oproot said:

1/26/21 at 9:29am
TSLA
Sent: 3 shares @ 882.68
Time to watch.
It jumped up to 888 and then started back down today. I felt uneasy about it, so I sold to break even. Now, it has dropped to 864.16.

McInnis 03
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Brian Earl Spilner said:

McInnis 03 said:

AAPL kills on rev and eps, sales blew out....watch stonk tank.
And there it goes. Wtf.
Meh, I'm gonna close my window and let it do it's thing. We'll worry about it tomorrow
Spaceship
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ClutchCityAg
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Found this on WSB... They are rallying for more moves tomorrow it would seem..



Also note the username lol

Let it ride
gig em 02
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Mostly Foggy Recollection said:

UVXY up 15% AH


Great recommendation!
ag4123
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Can someone take a look at SRG and give their opinion? Big volume came in today and looks to fit the goal post criteria
YNWA_AG
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DFV sold 300 calls to increase his cash by 9 million to 13 mil
Aggie118
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Do y'all think NAKD still has some room to go getting in around 1.50?
McInnis 03
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YNWA_AG said:

DFV sold 300 calls to increase his cash by 9 million to 13 mil

Good for him. He put his damn money where his mouth was and it worked. Before now, WSB was infamous for blown up accounts. Now it's going to be a bunch of millionaires.
AgEng06
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The usernames are one of the best parts of this...
oldarmy1
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ClutchCityAg said:

BobaFettsClone said:

trip98 said:

SPY put advice...
per OA1 reco the other day I bought SPY March $335 Put at $3.50. It's now $610.

Long time out till March and as we've seen plenty of craziness. Do I:
1) let it ride
2) sell it, capture profit and the invest proceeds in another Put
3) if I sell and re-buy new Put, which one should I target? Same expiry date but around $315 strike and keep it around my initial $350 cost or go with the $300 which uses all profit?
Very new here, just started watching thread yesterday and brand new to trading. Where are you following OA1? His (?) name keeps popping up and it sounds like he's doing y'all some serious good.
here and twitter @oldarmy1
They closed prints after hours at $7.25

The gap down start to the day shows intent to sell. I closed out the last buy of those at the open, along with the $383 expiring Put and then when we pressed above 3800 we hit a double top. I screen shot that for the seminar because I went back in off seeing that and added an expiring $374 on that and closed it after hours. I did think about converting it to a short but with AAPL and FB expected to beat I sold it and resold the re-entry buys on the March $335's for $6.65. Between two trades on the March $335's and the kicker $383 put from after hours yesterday and the $374 I am now beyond net free on the remaining March $335's. I'll wait to see what happens in the morning. If we start green I'd probably buy a Friday expiring Put $2 below market price.

As far as selling out the $335's and repositioning. Since we have a selloff in action you can wait to see if continuation and buy a closer to the money cheaper put, closing out the $335's and using a fraction of the profit to hedge in case this becomes a multi-day rip event.
Boban
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PHUN small run AH for the astronauts with rebuys
Cartographer
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Alright guys.

I took a version of the straddle based on earnings on TSLA looks like it will pay. Weekly 690 Puts and Feb 1200 Calls. I think both sides have a chance to at least push some cash forward.

Second hedge UVXY March calls at 12. These are printing now. I also took a tiny position in shares just in case the Euro/Asian markets tank overnight.

I hedged that with weekly 13 puts on the chance this was a fear shake.

Otherwise trimmed any other positions before the afternoon sell off and now down to core/lotto type positions. Sitting mostly in cash.

Looking to scalp some really nice short setups tomorrow if it gets dicey and if not a lot of these big cap names are going to be in the bottoms of their respective channels.

How are y'all positioned moving into tomorrow?
backintexas2013
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Prognightmare said:

Maximus_Meridius said:

Prognightmare said:

McInnis 03 said:

VIX 37
Overnight futures are gonna be a hoot.
Probably 200 posts between futures and opening bell. At least.
I'll take the over.



Absolutely over bet.
fightintxag13
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backintexas2013 said:

Prognightmare said:

Maximus_Meridius said:

Prognightmare said:

McInnis 03 said:

VIX 37
Overnight futures are gonna be a hoot.
Probably 200 posts between futures and opening bell. At least.
I'll take the over.



Absolutely over bet.
This is page 53 since the beginning of YESTERDAY morning. There were about 6 pages just from market close yesterday until I went to bed last night at 10:15. Over easily.

I remember when I started here in the summer of '19 and a busy day was 4 pages.
Cloud
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four roses sib is calling after this whirlwind of a day. ya'll have a good evening.
badharambe
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badharambe said:

badharambe said:

Things I'll be buying:
GME (beautiful double bottom)



havent looked at this bag since I bought it. Today, with a 10x, I am a seller of 50%.

should have held onto that other 50% a little longer than to 40$
McInnis 03
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AgEng06 said:

So how do you normally play these?
So now that I have an idea of how it's behaving I can answer this........

My spread was 140C/147C and I paid like $2.70. My break even is equity at $142.70 on Friday expiration. As it trades until then there will be value in the move up and loss in the move down. The 147C I sold is gonna get crushed tomorrow morning so that will actually help me. The 140 I bought will have some intrinsic value AND some extrinsic value (premium). If I see a chance to get out with some profit tomorrow I may take it. If something happens and it rockets, I'll hold it until Friday, and if we start tanking I'll close the hell outta spread.

As I type this, Apple is at 142.26 so things are looking OK for me, as in "flat", and not "oh **** I just lost it all on this stupid NFLX play" which I'll take.
Mostly Foggy Recollection
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AAPL goes back to green. Let's see how it holds.
McInnis 03
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Mostly Foggy Recollection said:

AAPL goes back to green. Let's see how it holds.
HUG ME.
AgEng06
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Awesome, thanks for the input. I'm in at $2.80, so right there with you.
Mostly Foggy Recollection
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backintexas2013
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I think the answer when someone asks "where do you think (insert symbol) can go" the answer should be "who knows with Reddit"
oldarmy1
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Today was exhausting. A typical selloff is ok but when you mix in these freaking random runners that we happen to be in several and it was mayhem.

I am still good to go for the seminar. I kind of like the fact that its occurring during a storm. Let's turn it into wind power.
FriskyGardenGnome
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I was waiting for the dumpster to catch on fire.
$30,000 Millionaire
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really glad I put that SPX butterfly on today.

I bought CLOV and WWR after hours on dips.
$30,000 Millionaire
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Also SNDL.
South Platte
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AgEng06 said:

The usernames are one of the best parts of this...
It really is. Due diligence on OPTI presented by TheHotWife2020
Aggie Pharmer
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Aggie118 said:

Do y'all think NAKD still has some room to go getting in around 1.50?


I hope so. I got in at $0.783
Brewmaster
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SNDL - atlas is pumping it, so if you didn't get to sell cc today, wait til tomorrow...or trim some shares tomorrow.

NAKD - 2.32 now AH! too bad I sold all mine already.
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