I closed 1 lot(s) $QQQ 20250102 514.0 CALL$ ,What a roller coaster this proof that anything can happen just take profit while you can, while I gave back major profit but still manage to savage 20% through scalping, considered good enough?
I closed $Tesla Motors(TSLA)$ ,Unstoppable train, just let the limit order taking away the shares, taking back some cash other deployment, but keeping some longterm position
I closed $Advanced Micro Devices(AMD)$ ,When market is so strong this AMD sideway.. fundamentals is not looking good to me, looks like market is not buying the alliance with Intel, with the broad market now testing all time high and so many uncertainty ahead, if there is a retracement this stock will be diving into abyss.
I closed $NVDA 20241018 137.0 CALL$ ,Looks like I'm not only missed out the second half yesterday, but also miss out the gap up pre market, as usual gap rule is here, since I missed out the gains yesterday, I'm not letting it fade more today, sold the last runner at market open. Looks like a right decision thus far. Looking for V shape recovery after this opening dive.