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25,614,647 Views | 234793 Replies | Last: 4 hrs ago by AgCPA95
Irish 2.0
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JDTxAg98 said:

One of you chart guys: I'm curious about $BMBL. Price dropped like $18 since 7th leading into earnings but they crushed EPS estimates.
It is in uncharted territory (literally) it is below it's IPO offering. No idea why it is selling so hard. Might be worth a leap gamble, but it shuold be with money you're good with losing.
ProgN
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People have a short term memory. MARA is ripe for a trade if it sells off into the close. Sub $19 has minimal risk IMO. The TSLA news pressure will be forgotten fairly quickly and you can scalp 3-7 points.
FJ43
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AgEng06 said:

What's your target on the sell for CIDM? $1.50s?
What I do is around mid $1.30s to $1.40ish if is rejected at resistance, sell all but keep net free shares from the lot and move to another account.

As an example...

$1.15 entry
Sell 80% at $1.38

Put 20% in net free account. All capital is back and keep building new free shares. If this ever loses $1 I will sell all including net free.
JDTxAg98
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AG
BlueTaze said:

I faded the diamond handers on AMC with a $500 bet on next week's $10.50 puts for .48 ea.

Sick of watching my longs getting beat up.
I did too... I just did 2 of the $11puts @ .62
AgEng06
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AG
Thanks!
FJ43
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Putting on a few weekly 410P lottos. Its a lotto so can go south quick. Or pay well.

$1.59 entry

Breaks HOD and I'm out.
JDTxAg98
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AG
Irish 2.0 said:

JDTxAg98 said:

One of you chart guys: I'm curious about $BMBL. Price dropped like $18 since 7th leading into earnings but they crushed EPS estimates.
It is in uncharted territory (literally) it is below it's IPO offering. No idea why it is selling so hard. Might be worth a leap gamble, but it shuold be with money you're good with losing.
That's what i'm weighing.... maybe an Oct call, low amount play.
FJ43
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$411.30s is key to hold for SPY IMO.
jwhitlock3
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Prognightmare said:

People have a short term memory. MARA is ripe for a trade if it sells off into the close. Sub $19 has minimal risk IMO. The TSLA news pressure will be forgotten fairly quickly and you can scalp 3-7 points.
Thought about playing a 5/21 20/25C spread but I'm not convinced that's enough time to rebound. It's 1.10 to play this, and then volume is dead until Jun 18 calls, and a 20/25 there is only 1.50, might pay to go out further?

ETA: options chart http://opcalc.com/uBJ

ETA2: submitted an order at 1.45 for 6/18 20/25, if we get a flash down in the last hour it should fill. I like the odds here.
McInnis 03
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AG
Not now only Gaza is shooting at Israel, Lebanon has joined the party.
gougler08
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AG
Anyone looking at MBIO? Bout down to that load up point again
McInnis 03
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AG
EPD is tighter than I care to make a euphemism about (on daily). 3 days in a row in an "extra" tight squeeze.
FTAG 2000
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AG
NNOX just bounced off its 52 week low. Sitting at -3 ATR on the daily also.

$30,000 Millionaire
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AG
AG 2000' said:

$30,000 Millionaire said:

I am taking a $DIS lotto, literally 3 contracts.

180/190 expiring tomorrow.
You're buying the 180, sell the 190 right?
yes
You don’t trade for money, you trade for freedom.
$30,000 Millionaire
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AG
I also picked up a 187.5/197.5/207.5 butterfly in DIS for $0.45.

I did 2 contracts and expect to piss this away.
You don’t trade for money, you trade for freedom.
gougler08
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AG
AG 2000' said:

NNOX just bounced off its 52 week low. Sitting at -3 ATR on the daily also.


Sold May $20 puts, happy to either take premium or an entry position
Jet Black
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GME will be back at $140 by next Friday.
$30,000 Millionaire
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AG
I took a 0.5% position in $WATT down here. I'm going to look for a spike to $2.6 and then will sell covered calls against it.
You don’t trade for money, you trade for freedom.
SpeedyAg90
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AG
I think we have further to fall before macro markets makes a bounce
Brewmaster
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AG
jwhitlock3 said:

Prognightmare said:

People have a short term memory. MARA is ripe for a trade if it sells off into the close. Sub $19 has minimal risk IMO. The TSLA news pressure will be forgotten fairly quickly and you can scalp 3-7 points.
Thought about playing a 5/21 20/25C spread but I'm not convinced that's enough time to rebound. It's 1.10 to play this, and then volume is dead until Jun 18 calls, and a 20/25 there is only 1.50, might pay to go out further?

ETA: options chart http://opcalc.com/uBC

ETA2: submitted an order at 1.45 for 6/18 20/25, if we get a flash down in the last hour it should fill. I like the odds here.
Yeah I'd go out further, or if you want, play the 5/21 very small and the 6/18 bigger. MARA is part of the growth sector, so regardless of BTC, growth needs to reverse first before it shows any real rebound. But maybe I'm wrong and it at least model T's this drop.
I might join you (small position), I see a 3.2 mil green bar at the open today.
$30,000 Millionaire
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AG
Jet Black said:

GME will be back at $140 by next Friday.
I'm willing to bet it won't.
You don’t trade for money, you trade for freedom.
FJ43
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If we can get one more back test into 409/408 on SPY I will go long on calls for next week.
$30,000 Millionaire
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AG
SpeedyAg90 said:

I think we have further to fall before macro markets makes a bounce
what do you call today?
You don’t trade for money, you trade for freedom.
$30,000 Millionaire
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AG
FJ43 said:


If we can get one more back test into 409/408 on SPY I will go long on calls for next week.
We are on verge of confirmed reversal, but need a close above the 21 first.
You don’t trade for money, you trade for freedom.
jwhitlock3
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Agreed, decided to skip the May spread completely and opted for a June, filled at 1.45.
$30,000 Millionaire
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AG
so let's see:

  • SPY 406C - check
  • MS 184C - check
  • VXX 48P - check
  • SPY 408P - stopped out at b/e
  • SQ - stopped out (got embroiled with BTC issue)
  • NVDA 552.5P - check
You don’t trade for money, you trade for freedom.
McInnis 03
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AG
$30,000 Millionaire said:

FJ43 said:


If we can get one more back test into 409/408 on SPY I will go long on calls for next week.
We are on verge of confirmed reversal, but need a close above the 21 first.
Honestly, the way that the 10 week average provided a bounce, I'd normally like next week.....................but it's OPEX.
$30,000 Millionaire
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AG
$UNP looks good.
You don’t trade for money, you trade for freedom.
FJ43
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$30,000 Millionaire said:

FJ43 said:


If we can get one more back test into 409/408 on SPY I will go long on calls for next week.
We are on verge of confirmed reversal, but need a close above the 21 first.
Think so. I 'bet' on the double top here with a short leash but hope my bet is wrong so I can go long on calls and have a fun next week.
SpeedyAg90
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AG
$30,000 Millionaire said:

SpeedyAg90 said:

I think we have further to fall before macro markets makes a bounce
what do you call today?


False hope for new ATH in May, I'm just being funny. I just don't see macro markets making rapid bounce with timing after most earnings and tech where it sits.
BrokeAssAggie
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$30,000 Millionaire said:

so let's see:

  • SPY 406C - check
  • MS 184C - check
  • VXX 48P - check
  • SPY 408P - stopped out at b/e
  • SQ - stopped out (got embroiled with BTC issue)
  • NVDA 552.5P - check



J/K....that's a pretty good day.
$30,000 Millionaire
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AG
If you bought ETHE with me you're up 4% plus
You don’t trade for money, you trade for freedom.
$30,000 Millionaire
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AG
what you guys need to watch for is a rejection at the 21 EMA on SPY. that's around the 413 area.
You don’t trade for money, you trade for freedom.
FJ43
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$30,000 Millionaire said:

so let's see:

  • SPY 406C - check
  • MS 184C - check
  • VXX 48P - check
  • SPY 408P - stopped out at b/e
  • SQ - stopped out (got embroiled with BTC issue)
  • NVDA 552.5P - check

We you are winning we all win. Feed the leads!
BlueTaze
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Good thing I can still only lose 100% on my puts if AMC goes to $1000

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