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24,763,329 Views | 233455 Replies | Last: 41 min ago by agdaddy04
ProgN
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BaylorSpineGuy said:

Nice charting. Question for you.

When you post something like this, how do you typically play it? Spreads? Buy calls or other options? Buy shares?

I'm curious how you approach a chart like this. I'm a very inexperienced investor and trader, and I'm only approved for level 2 options trading, so what would be the play here?

Thanks in advance and hoping all on here are doing well.

We're getting lonely here in the big 12. Miss the revelry of when we used to play you guys every year. Always had red eyes for the Aggies until I married into the Heaton (Heaton Hall) family. It's eased things considerably :-).
tu really screwed Baylor and the rest of the Big 12 and Sankey screwed us. I hope y'all find a landing spot.
Brewmaster
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AG
FJ43 said:


AMD

Think this makes a move here one way or the other. My guess is up over 106.18.

If macros hold up I think sees 108-112 near term.

Reclaimed the ATR mean and 21EMA Friday. Barely lost the 21, reclaimed it and with the overall market dip didn't even sniff the 34EMA.






I think I like this falling wedge look on AMD even better...

mazag08
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AG
I actually think AMD could be headed down short term before a pretty big impulsive move to newer and newer highs over the next 6 months.

It needs to confirm one way or the other, and I can make a case for either way. So I'm watching very closely as I have $120 calls and I also have a $95 put I bought as a hedge in case it does dip.
BaylorSpineGuy
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So how is everyone playing this? 1-2 month calls? 6 month calls? Shares? Both?
HoustonAg2014
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AG
Thoughts on SNDL?
jwhitlock3
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Aggiesincebirth said:

Thoughts on SNDL?


Playing Jan 2023 .50C LEAPS on SNDL. I have shares and was selling weekly calls against them but down here under .70 I'm not getting much in the way of fills any more.
BaylorSpineGuy
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Well, before we ride off into irrelevance, at least we got that natty in men's hoops.

Best of all, I got to ride on a private jet to the game. Was best experience. And thumping Undefeated Gonzaga was just nice. Was never even a close game after the tip.
Bob Knights Paper Hands
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BaylorSpineGuy said:

So how is everyone playing this? 1-2 month calls? 6 month calls? Shares? Both?

I might buy some Sept24 $123/$124 call spreads and some Oct $115/120 spreads depending on if I can get a fill.
ProgN
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BaylorSpineGuy said:

Well, before we ride off into irrelevance, at least we got that natty in men's hoops.

Best of all, I got to ride on a private jet to the game. Was best experience. And thumping Undefeated Gonzaga was just nice. Was never even a close game after the tip.
I'm not criticizing Baylor and the BB national championship is respected by me. Unfortunately, the Briles issues might cause apprehension by other conferences. This situation isn't Baylor's fault, it's because of that ****hole in Austin. I hope y'all and the rest of the Big 12 trap their asses until 2025 or at least make them pay through the nose to get out. Giving those dicks a settlement would be the worst.
jimmo
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Prognightmare said:

BaylorSpineGuy said:

Well, before we ride off into irrelevance, at least we got that natty in men's hoops.

Best of all, I got to ride on a private jet to the game. Was best experience. And thumping Undefeated Gonzaga was just nice. Was never even a close game after the tip.
I'm not criticizing Baylor and the BB national championship is respected by me. Unfortunately, the Briles issues might cause apprehension by other conferences. This situation isn't Baylor's fault, it's because of that ****hole in Austin. I hope y'all and the rest of the Big 12 trap their asses until 2025 or at least make them pay through the nose to get out. Giving those dicks a settlement would be the worst.
Amen
Cowboy Curtis
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AG
CrazyRichAggie said:

We thinking WWR a50% drop in the am?
McInnis 03
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AG
Tic says NVDA is ripe for him

EVERYONE loves nvda at this moment

https://t.me/tictoctrading/878
mazag08
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AG
BaylorSpineGuy said:

Well, before we ride off into irrelevance, at least we got that natty in men's hoops.

Best of all, I got to ride on a private jet to the game. Was best experience. And thumping Undefeated Gonzaga was just nice. Was never even a close game after the tip.


As a huge college basketball fan I'm super jealous but super happy for you. Baylor gets a bad rep on Texags. Ultimately our fans (ignore our liberal profs and the idiots they've brainwashed) and your fans have nearly everything in common except for school affiliation.
BaylorSpineGuy
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I've always maintained the same thing! I feel like both schools historically have recruited similar types of people.

I go to a big baptist church in the metroplex, and our church is mostly Aggies and Bears. Cut from same cloth.

Yeah, the hoops thing was something special. Credit to Drew. He called his shot when he got hired 18 yrs ago, and it took a long time, but he finally did it. I had my doubts about him in the mid 2010s. I thought we had kinda maxed out with him, but he took it to another level these past few years.
oldarmy1
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AG
Saw the WWR filing and some questions. Ultimately the technology they have proven effective is all I care about. It's real and unparalleled, so I'll use any big drop as an opportunity to buy leaps. It always sucks when short term actions hit a stock but it's nothing that doesn't routinely happen, so I keep my focus on the product development and executive execution.

ELOX began as a goal post trade that made a nice initial move to capitalize on. Shelf offerings are different than straight diluting share offerings, but initial reaction can be the same. Biotechs are ultimately about success of drug development.

Insiders feel good about it. Raising money means longer runway for success. Not much to do except decide if its a stock you want to be in for the potential it brings.

$30,000 Millionaire
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AG
Literally everything is up.




You don’t trade for money, you trade for freedom.
$30,000 Millionaire
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AG
Thanks as usual. Good to see you post.
You don’t trade for money, you trade for freedom.
FishrCoAg
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AG
Thanks for the input!
spud1910
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AG
$30,000 Millionaire said:

Thanks as usual. Good to see you post.
Agreed! Always good to see you here, but completely understand that other things need attention as well.
FJ43
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Thanks OA and appreciate the post.
FJ43
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Mornun,

Gap ups may be the theme of the day....



Been a while since all instruments were green.....including a matching green VIX

Pretty much green everywhere, US futures, EU & Asia

Lots to watch today.......
Will the gap ups hold.
Gap and fail and I will be looking to the downside for the week.
Gap, back test and hold and to the upside.

Watching big tech to lead...or not.

Could be some good entries on Vs this morning if you are scalping.

Me keeping up with macro levels these days....



Trade wisely!
mazag08
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AG
Man, the amount of gaps ups on individual stocks.. this thing is either going to rip or were going to have what I mentioned Friday.. up in the morning and then very down for a larger correction bottoming some point this week.

If you've got profits on short term trades this morning and it starts to level off, I'd at least take some of them off the table.
OutlawAG04
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Thanks OA and hope all is well!
HoustonAg2014
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AG
Thanks OA! All I was hoping for from you. Pretty sure your post got me more excited to see than a BL post on premium Lol
McInnis 03
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I see my NQ traders on fintwit are salivating, just SALIVATING at the idea of an NQ sell back to 15090-15100 near the open, and then testing a long there for potential rip upwards....... When I see correlation with several of these guys they tend to be right.
austinAG90
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AG
Monday Macros

Equities Mild Risk On...Treasuries Off as Powell Speech Awaited..Quiet Week

Equities are showing a mild risk on approach as we start the week... Europe is better and Asia had their best up day in three weeks...Chinese " Common Prosperity" was the latest headline as the Chinese Regulators halt 42 IPO's and start investigating a major law firm and brokerage firm... But all the Chinese Indices were up 1-2% as many think that Xi will back off. We are not sure... But this week is about the Fed...

We no longer think the Powell speech will be controversial on Friday... While we thought this would be an opportune time for the Fed to outline tapering in the Powell speech, we are now backtracking... With the speech virtual, probably from the Eccles Building, the importance of the speech is diminished... In fact, if we read it correctly, the venue at Jackson Hole is now cancelled and the full JH symposium is now virtual... With the next unemployment number 11 days away... And the next choice of Fed Chair announcement likely to be 2 weeks away, there is no way Powell is going to out on his skis to make this speech controversial... So expect tapering to be given lip service only... Nothing major... Best strategy for Friday is call your country club and set up a golf game for Friday afternoon... No new ground will be broken

Powell... With Janet Yellen's endorsement of Powell on Saturday, we think the odds of a reconfirmation of Powell has gone from 1 in 4 to 3 in 4... There is no reason that Yellen would endorse someone and then see the WH change its mind... Which is another reason Powell will not be controversial... Also some are pointing out that Kaplan, the uber hawk, blinked on Friday when he said his mind might change if the Delta variant starts to show up in economic performance... So far we do not see it more than just in supply chains.

Treasuries are off marginally today... But with tapering talk expected to be pushed out to at least the next employment number and next Fed meeting, treasuries are mildly selling off mildly this morning... 200 day moving average remains support at 1.315.. Resistance has been a rock at 1.22... There was a window, where the 10 year could have broken resistance and got to challenge 1,, but that window is now closed until at least 9/3. Corporates have gone into hibernation, as they normally do the last two weeks of summer... Only 7.7 billion last week, half of the 15 we were looking for and this week we see some predictions of zero to 5 billion.. We have seen some widening of OAS spreads last week, but the indices we follow, CDX HY, remains in the 280-300 range after challenging the wides ... Currently at 290

Delta and the economy... The catalyst for the big risk off move in the last 2 week was the massive drop in sentiment of the Michigan numbers... We were waiting to see if those numbers were confirmed in the BB survey... Fortunately, the BB US Consumer Comfort Indicator survey rose. These two surveys usually move in sync, but not this time... So while the Variant is real and hospitals are full in many parts of the country, economic commerce continues on...but we agree with Kaplan, that if the economic numbers and trends start to change, an equity correction could happen quickly... We do not see it yet and the numbers coming out of Macy, Target, Walmart, all show improving activity.

Michael Bury, the Big Short, has been in the press recently from his high profile short of Kathy Woods "ARK" funds... So far he seems to be right as ARK ETFs have seen cumulative ETF outflows rise to -35%... But what is not as publicized is his large amount of put buying he has done in the treasury ETF space. Bury is adding to a wager that long term treasuries will fall... He holds 280 million of puts on the Ishares 20 year ETF.. This is an increase from 172 mm he held at the end of June.

Longer term outlook... Many of the street houses still see 1.60 10 years... Citi remains stubborn at 2%... Inflation is real and not transitory, at least not in our definition... Summers said over the weekend, "things take longer to happen than you would normally anticipate, but when they do eventually happen the consequences are worse than you predicted and are quicker".. This was in reference to inflation.

This week should be quiet... We no longer expect a major market moving speech from Powell... There makes no sense before he has the employment number... And with Yellen's endorsement, Powell has no personal incentive to rock the boat before Biden makes the decision of the next Fed chair in two weeks...so expect the proverbial can to be kicked down the road... And if treasuries start to push to higher yields, we have 1.36 and 1.42 to watch... liquidity will be August poor... So anything could happen.
McInnis 03
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AG
Was the WWR offer at the market? I can't find any news of this.....
wanderer
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Up to $50m. In the doc it references the share price as 3.36, but not sure if that's what the offering is at or not.

https://quantisnow.com/insight/1694304?s=t

Bob Knights Paper Hands
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McInnis 03 said:

Was the WWR offer at the market? I can't find any news of this.....

Yes I believe it was at market. It was an "up to" $50MM worth of shares.

Wanderer beat me to it.
gougler08
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AG
WWR -2% right now, could be way worse
Ccutamu
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XERS might be worth a look with a big premarket move after FDA approval of a diabetes drug:

Xeris Pharmaceuticals Inc. (XERS) said its supplemental new drug application for its Gvoke Kit was approved by the Food and Drug Administration for the treatment of severe hypoglycemia in patients with diabetes ages 2 years and above.
The company said its Gvoke Kit, a ready-to-use liquid glucagon available in a single-dose vial and syringe kit for rescue, will be available as a 1 mg/0.2 mL single-dose vial and syringe kit.
With FDA approval, Xeris will begin manufacturing scale up immediately and sees Gvoke Kit availability early in the first quarter of 2022.
Xeris said the sNDA approval was supported by a pharmacokinetic study demonstrating bioequivalence of a 1 mg Gvoke dose administered via a vial and syringe kit to that of 1 mg Gvoke administered as a pre-filled syringe.
Xeris Pharmaceuticals (XERS) shares were up 44% to $3.17 in premarket trading.
Write to Chris Wack at chris.wack@wsj.com
(END) Dow Jones Newswires
08-23-210818ET
Copyright (c) 2021 Dow Jones & Company, Inc.



It popped over 50% early PM and is now over 30%. It was trading as high as $5 in late June and right at $8 back in February. It is trading in the mid $2.80s right now.
Ranger222
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AG
Big focus for me this morning will be bitcoin miners BITF and HUT. HUT saw boatloads of March '22 7.5C purchase last week or the week before. They had been consolidating and could see new push up with all crypto up.

Also ChartingOptions had a great chart on ETSY, could be another name to play that is breaking out of wedge pattern
cptthunder
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Well dumb luck seems to be on my side. I held the NVDA 210 calls through the weekend unintentionally(got stuck in the hallway talking with my boss on Friday)
Time to watch closesly and set trailing stops
Sometimes is better to be lucky then good/smart
Based on optionscalculater looks like it should open in the $ 6.75 range
mazag08
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AG
Watch WWR rip over $10 instead of dropping.
E
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gougler08 said:

WWR -2% right now, could be way worse


Don't you jinx it
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