I closed $Lumen Technologies(LUMN)$ ,Thank god that the price was just above the option, shares got called away. All in all good profits for a short 3-4 days trade
I opened $Daqo New(DQ)$ ,Short sold 300 shares expecting a bigger plunge when markets open later. Very poor results and low expectations for the rest of this year. Will look to closing out the position probably by today as well
I closed $LUMN 20240809 5.5 CALL$ ,Thank god that the price was just above the option, shares got called away. All in all good profits for a short 3-4 days trade
I closed 1.0 unit(s) $YINN VERTICAL 241018 PUT 34.0/PUT 37.0$ ,Closed off 1 portion of the multiple positions I set up on Friday. Surprisingly market didn’t move much in spite of the lack of details. I guess the large issuance of bond weighed against it
I opened $DQ 20240920 15.0 PUT$ ,Sold 3 x put options. On hindsight was a wrong call to short sell the shares based on the quarterly results, without realizing that the company had zero debt and it likely able to outmaneuver its competitors. Was aiming for a day trade which didn’t materialize so will close it later
I opened $Vipshop(VIPS)$ ,Bought 100 shares in view of the big drop after earnings which I think is an over-reaction somewhat. Will be looking to sell a call option at some point this week if possible
I opened $GME 20240816 30.0 CALL$ ,Sold 1 lot to gain some premium and lower my average price for the stock in the event that this gets called. Seems like it’s struggling to go either way
I closed $DQ 20240920 16.0 PUT$ ,Managed to close off the remaining 2 lots with the mini powering of the stock towards the end of market. Earn on option but bleed more on short sold shares. Probably will look to close off the main position in the coming week or 2
I opened $Toll Brothers(TOL)$ ,Bought 20 shares with the non taxing PE of 9+ and with the quarterly report. May look at discarding this later tonight in exchange for options if pricing is good
I opened $GME 20250117 35.0 CALL$ ,Sold one long covered call option on a whim as there weren’t any options that were worth selling in the short term. Might be a mistake selling it at this juncture but we will see. Don’t see much movement for the month unless the company goes into something new or make big changes to their operations. Will make changes if needed along the way
I opened 2 lot(s) $ASTS 20260116 55.0 CALL$ ,Sold 2 lots with a long lead time for a good premium, as I got assigned 200 shares at 34 from previous put option. If this gets called away, it is most definitely a good thing since return will be 80+%, otherwise I will pocket nearly 30% in premium still, just that I will still be holding onto the shares if it’s the latter. Fuss free way as long as price don’t plunge too much by then 😅
I closed $GME 20240705 30.0 CALL$ ,Call option expired worthless. Shall see next week if there’s any good entry point to sell another call and get the 100 shares on hand out at a good price
I closed $SUPER MICRO COMPUTER INC(SMCI)$ ,Sold 16 shares to bring my leverage down further and also eke out some profits. Still holding on to 10 shares