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Misc Stock Market

Apple with a big engulfing daily...gave up it's moving averages again.

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Every house in my neighborhood is still selling within 1-2 days and for over asking is what I am hearing. But the buying power has to be coming way down....

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Not sure how legal this is for Elon to be telegraphing Plan B's for TWTR take over and how ironic that he voices this on Twitter. Elon has totally turned this market into circus.

 
I think I am to add some $TWTR puts today for next Friday's expiration. What to do...

Edit: Added 2 of the $44's just to have something on. Added 3 more of the $44's.

Edit: Added 5 of the $40's at $.45.

I sold the $44's for 50%, pays for my Tesla call lottos that will likely expire worthless. Elon is a lunatic and he will pump TWTR shares somehow so he can sell his shares for a big profit....don't need that drama.

Will keep the $40's for next Friday....only have 5 at $.45.
 
Closed all of my positions in my swing and several in long term account...currently only holding TWTR puts but that's a tiny position. Going to go into the holiday weekend with a clean slate and rethink plans. The plan might be just do nothing for a few months except a scalp call/put here and there.

AMD looks really bad...broke major support, $100, and retested yesterday and rejected.

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NVDA ugly...a close below $209 next week or two and things get really ugly. This is looking at it's lowest weekly close since October.

It's difficult for tech to be strong if semi's are this weak.

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Closed all of my positions in my swing and several in long term account...currently only holding TWTR puts but that's a tiny position. Going to go into the holiday weekend with a clean slate and rethink plans. The plan might be just do nothing for a few months except a scalp call/put here and there.

AMD looks really bad...broke major support, $100, and retested yesterday and rejected.

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Thank god I closed SPY at $442 and Q's when it broke $344. FB stopped out of, and closed several other small positions earlier but yikes....this is about as ugly as it gets.
 
Q's looks like it needs a little nudge next week to head back to $315-$320 area. PPI/CPI were a disaster, the Fed Funds rate is still only 0.25%...which is criminal, but it is what it is. Plus, Russia deal is only getting more tense. Banks were very cautios on economy. Tech starts reporting next week and than following week is the big dogs. If they give soft outlooks....?


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Still have my sep spy 420 put. Only down $1,300 now ??. If spy goes back down a little further I csn start selling puts against it for more than a couple dollars
 
Yikes...after close options.?

$10m in SPY puts in 2 orders of the May $419's. That looks like fun.

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Still have my sep spy 420 put. Only down $1,300 now ??. If spy goes back down a little further I csn start selling puts against it for more than a couple dollars

Cost avg down? I may join you on SPY puts on Monday. Don't want to panic buy anything today.
 
Q's looks like it needs a little nudge next week to head back to $315-$320 area. PPI/CPI were a disaster, the Fed Funds rate is still only 0.25%...which is criminal, but it is what it is. Plus, Russia deal is only getting more tense. Banks were very cautios on economy. Tech starts reporting next week and than following week is the big dogs. If they give soft outlooks....


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I have 5 may 6th Amazon 2700 puts and a bunch of put spreads . There ER will be disastrous. It was propped up last quarter by investments one of which is down over 50 percent since . Huge flush coming . Can't wait


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