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25,165,783 Views | 233851 Replies | Last: 5 hrs ago by AgShaun00
jagvocate
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AG
It must be awesome. I can only trade weekly charts because I just get lost in day trades.
Engine10
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AG

sts7049
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AG
ES-F at 4400... big level here, will the bottom fall out?
Red Pear Luke (BCS)
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Sponsor
AG
LMCane said:

Red Pear Luke said:

AG 2000' said:

Irish 2.0 said:

So if Russia doesn't attack, we gapping up bigly right? lol
There are so many downside catalysts next week.

- Monday fed
- Russia
- Canada trucker vs. Brandeu showdown

Loading up on calls.
I just rolled my RIG Jan 2023 $5 calls to Jan 2024 $4 calls and doubled down.

My thoughts - oil is going up either way - we don't get into a conflict with Russia and pandemic rules release and people use more oil as they go out and about OR we go to war with Russia and Oil goes up cause major suppliers get knocked off line.


you are leaving out that Biden has promised major sanctions on Russia if they move in..

and guess what those sanctions are going to do?
Bring back "Drill Baby Drill" on the offshore sites?
Boban
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Irish 2.0 said:

Couldn't help myself. Had to come back to my desk and bought 8/19 NVDA 250C at 34.20
Not following on this one, but just a question when you have long dated options like this for the board. On a tech stock like this, do you hold through earnings or are you not concerned too much about that being early on? Interested in learning y'alls thought process on plays like these.

Edit: Talking to myself here, but maybe the IV picks up next week into earnings, and assuming Russia doesn't invade Ukraine yet, we see a rebound if you assume this is oversold.
McInnis 03
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AG



ahhh


BrokeAssAggie
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These M'effers gotta do something everyday
McInnis 03
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AG
And in non business news, The Batt just got a death sentence.

https://www.thebatt.com/news/breaking-president-banks-demands-the-battalion-stop-printing/article_e399ccd2-8b69-11ec-966a-2f696477ceb7.html
Irish 2.0
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4&T said:

Irish 2.0 said:

Couldn't help myself. Had to come back to my desk and bought 8/19 NVDA 250C at 34.20
Not following on this one, but just a question when you have long dated options like this for the board. On a tech stock like this, do you hold through earnings or are you not concerned too much about that being early on? Interested in learning y'alls thought process on plays like these.
For me it is the strength of NVDA that gives me zero concerns here. NVDA was trading 346 just a few months ago and zero has changed for NVDA. Can't produce as fast as orders are coming in and they're a market leader.

Also, Seeing the institutional option flow gives me almost zero qualms here. When a company like NVDA loses 8% in a day, it makes me take notice big time.
Irish 2.0
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Carlo4
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AG
Can I at least have a second kid instead of the divorce? That way, you'll get a few months warning. Besides, my wife is the only one that can put up with me.
Brewmaster
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AG
sts7049 said:

ES-F at 4400... big level here, will the bottom fall out?
maybe not today, but it will. 4400 is a strong level though. Surprised how many here are jumping into calls so quick and buying equity. maybe they are just looking to flip these Monday?

OA said, if we capitulate, which it looks like we will now, we will get lower lows (than the previous dip).
Dan Scott
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AG
We're back where we were three weeks ago. Big Tech earnings made us bounce but we've almost erased that. Only NVDA is left to give earnings.

The macro environment is worse off than 3 weeks ago. War is more likely than 3 weeks ago. Fed is sounding more hawkish than 3 weeks ago,inflation is worse than it was 3 weeks ago. There's nothing to save us except NVDA earnings.

I don't see how a new low doesn't happen.
Spoony Love
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AG
You're forgetting that WWR has earnings after the bell
Irish 2.0
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Dan Scott said:

We're back where we were three weeks ago. Big Tech earnings made us bounce but we've almost erased that. Only NVDA is left to give earnings.

The macro environment is worse off than 3 weeks ago. War is more likely than 3 weeks ago. Fed is sounding more hawkish than 3 weeks ago,inflation is worse than it was 3 weeks ago. There's nothing to save us except NVDA earnings.

I don't see how a new low doesn't happen.
Fed can't raise rates if we're in an active conflict
Farmer @ Johnsongrass, TX
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XOM finally woke up this week, IMO. LFG!
LMCane
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Engine10 said:




They are going to invade!

Okay, we actually don't know if they are going to invade!!
Dan Scott
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AG
Irish 2.0 said:

Dan Scott said:

We're back where we were three weeks ago. Big Tech earnings made us bounce but we've almost erased that. Only NVDA is left to give earnings.

The macro environment is worse off than 3 weeks ago. War is more likely than 3 weeks ago. Fed is sounding more hawkish than 3 weeks ago,inflation is worse than it was 3 weeks ago. There's nothing to save us except NVDA earnings.

I don't see how a new low doesn't happen.
Fed can't raise rates if we're in an active conflict
So that means we buy the F out of the dip.
Dan Scott
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AG
OXY 45 calls for next week getting action
Dan Scott
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AG
Government shutdown next week potentially also.
Irish 2.0
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Dan Scott said:

Irish 2.0 said:

Dan Scott said:

We're back where we were three weeks ago. Big Tech earnings made us bounce but we've almost erased that. Only NVDA is left to give earnings.

The macro environment is worse off than 3 weeks ago. War is more likely than 3 weeks ago. Fed is sounding more hawkish than 3 weeks ago,inflation is worse than it was 3 weeks ago. There's nothing to save us except NVDA earnings.

I don't see how a new low doesn't happen.
Fed can't raise rates if we're in an active conflict
So that means we buy the F out of the dip.
Not anything that expires in the near term. Hence the 6+ month stuff for me
Brewmaster
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AG
Irish 2.0 said:

Dan Scott said:

We're back where we were three weeks ago. Big Tech earnings made us bounce but we've almost erased that. Only NVDA is left to give earnings.

The macro environment is worse off than 3 weeks ago. War is more likely than 3 weeks ago. Fed is sounding more hawkish than 3 weeks ago,inflation is worse than it was 3 weeks ago. There's nothing to save us except NVDA earnings.

I don't see how a new low doesn't happen.
Fed can't raise rates if we're in an active conflict
so going to war is bullish? lol
Engine10
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AG
For the right sectors, absolutely. But I hate thinking about it that way
Irish 2.0
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IRBT still green...
cptthunder
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short covering bounce to end the day?
McInnis 03
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AG

Farmer @ Johnsongrass, TX
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cptthunder said:

short covering bounce to end the day?
Sell the rumor and buy the.......rumor.
TriumphForks
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AG
West Water...

Emphasis mine.
Irish 2.0
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McInnis 03
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AG
My reply was a better repost than just this basic fact.
Paradise Ag
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Dan Scott said:

Government shutdown next week potentially also.

Not sayin' this Administration is blatantly trying to destroy the economy, but if they were what would they be doing different?
Bob Knights Paper Hands
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I need this to close at SPY 440 or SPX 4450.
Swollen Thumb
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AG
SNDL ripped into close. I have quite a few net free shares I tried to sell calls on but didn't get filled. Not sure what news made it move.
Irish 2.0
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Monday should be fun.

Do yourself a favor and don't look at this thread until you wake up Monday morning.
BaylorSpineGuy
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Hope someone gives him some Adderrall or something before the meeting so he doesn't doze off.
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