$OPI 20241220 1.5 CALL$ 10 lots Call options poof and I'm 600 bucks poorer for Xmas :( Still think that the share price is being depressed unfairly and will only recover once the upcoming debt is settled once and for all
I opened $GME 20250117 35.0 CALL$ ,Bought 1 lot of call option as I'm of the view that the quarterly results will be decent. If it rises enough within the day, there's the option of letting it go too
I opened $YINN 20250117 35.0 CALL$ ,Sold one covered call with the rebound today. Don't think it will hit the target price but if it does I will close off the position with a small loss
I closed $GME 20241122 35.0 CALL$ ,Call option expired worthless, earning $130 in the process. Opened a new option at $45 for December during the week as well
I closed $CSIQ 20241115 24.0 CALL$ ,3 lots call option poof, lost 400+ on this trade. Guess I was too optimistic 😅 The stock that continues to baffle me with new lows even though there are worse competitors..
I closed $ASTS 20260116 55.0 CALL$ ,Took profits on this call since the rally was strong today after rocket labs' earnings call. Still have 200 shares on hand