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Misc Stock Market

I think a lot of people were planning on a down day with quad witching....I am surprised it's this strong.
 
Bullard is doing what he's supposed to do...playing the bad cop. It's a good strategy that has been working well, so I doubt it changes anytime soon. You have to have an authority play the bad cop role in order to create enough worry to provide relief when the "worst case" doesn't happen.

Virtually everything these people say and so is an orchestrated effort to shape perception and drive a response. None of it is random, one-off, rogue opinion.

It's the same here as it is with Ukraine, Covid, climate, or any other major issue that takes center stage st any given time.
Well said
 
NQ needs to break and close over $14240...it got rejected there to end Feb multiple times. A break of that would give tech the first higher high and signal a true reversal.

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If the S&P can close above 4400, I'll be surprised to be honest. That's a solid call wall. Maybe close bang on there.

The story of this week was Wednesday because 4300 is a key level on the S&P now. Think many got hosed badly by the dump reversal. Bears need a strong slice through 4300 or they do not have the ball on SPX again and they lost the ball on Wednesday this week.
 
There goes AMD....NVDA/TSLA took off like a rocket when they broke through there dtl.

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Another up day. Damn. Maybe time to reenter the mark and accept defeat on my put. Didn’t expect that. I really need to stop my degenerative short-term gambles, anyways.
 
Monday has to be red…or does it. ?‍♂️

I closed KWEB and sold 1/2 of FB just now.

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Sold a CC on AMAT and now I'm trying to sell calls on AEO.

So naturally, I'll get the AMAT position called next week and won't get filled on AEO or won't get it called (on AEO, I wouldn't mind if I got it called).
 
Started a position in PLTR at 12.65.

This was over $40/share at one point. Solid company, great software. ?‍♂️

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Small cap growth has done nothing past 18 months. Nice weekly candle.

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$447-$448 in SPY is a big pivot for next week. That's probably a good spot for a cute short.

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Q's pivot of $358....that got rejected hard in Jan/Feb.

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These were the big options bets placed after 4pm....people expecting some profit taking I guess next week. Althought IWM the orders selling puts which is bullish.

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Down about 15% on my protest buy of SARK. Nice call. ?

Still up nicely for the week despite that.

This would likely be a better time to swing a light short on SQQQ to see, but all I did was sell a call on AMAT for next week's expiry and I did get my CCs for AEO for 4/1.

I wouldn't mind if I got the AEO position called away. If I can get it called away, I'll probably use the funds to start a position in AVUV.
 
Buy the opposite options available to the corresponding position with the most open interest. That's how the market will move. They don't want to pay out all that money to people who correctly picked the "right" option.
 
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