CINDYTAN
CINDYTAN
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[Happy]
@ARKG Investment Tracker:ARKG Investment Tracker position change: Decreased position in Moderna, Inc. by 34,392 shares, the number of shares held decreased 12.53% compared to the previous period and now represents 1.05% of the total position.
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@Terra Incognita:I opened $Royal Caribbean Cruises(RCL)$  ,RCL: accumulating additional shorts to form my next 100 shares and sell cash secured put to buy them back at lower levels. RCL seems to respect the $200 resistance and pull back below despite market marching higher. Will see how long this consolidates and if it will match upwards or reverse to lower support.
[LOL]
@A Nobody:I closed $NVDA 20241108 110.0 PUT$  ,Come and check out the latest order I've posted!
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@ZEROHERO:I closed $NKE CALENDAR 241018/241025 CALL 80.0/CALL 80.0$  ,Rolling good times with Nike to collect some lunch money this weekend šŸ¤­
[LOL]
@ARKQ Investment Tracker:ARKQ Investment Tracker 20241011 position change: Decreased position in Teradyne by 2,155 shares, the number of shares held decreased 0.39% compared to the previous period and now represents 9.2% of the total position.
[Sad]
@ARKQ Investment Tracker:ARKQ Investment Tracker 20241011 position change: Decreased position in Taiwan Semiconductor Manufacturing by 492 shares, the number of shares held decreased 0.39% compared to the previous period and now represents 3.03% of the total position.
[Happy]
@Probono28:I opened $NIO 20241018 6.0 PUT$  ,Take a look at the latest order I postedļ¼
[Happy]
@BABAMood:I opened 1 lot(s) $TSLA 20241011 225.0 PUT$  ,Take a look at the latest order I postedļ¼
[Happy]
@Momogal:I opened $NVDA 20241018 125.0 PUT$  ,Didnā€™t really get a good premium as volatility was low at the time. But at least this is a comfortable strike price for me.
good
@Aaronykc:I opened $Tesla Motors(TSLA)$  ,Bought more tsla before the robotaxi even as I believe they will announce something revolutionary. Teslaā€™s fsd and actual smart summon are more advanced than others and eventually all cars will not need human intervention. $235 was a strong resistance it should be a strong support. Price has been holding above it for now
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@BABAMood:I opened $CLSK 20241011 9.0 PUT$  ,Take a look at the latest order I postedļ¼
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@Terra Incognita:I closed $SMCI DIAGONAL 241004/241018 PUT 46.0/PUT 45.0$  ,SMCI: rolled these cash secured puts from strike $46 expiring 4th Oct by 2 weeks and lowered down strike to $45 expiring 18th Oct. Small credit collection achieved as well as lower the put strike by $1 ensuring a better chance of success. Looking forward to collect in full when SMCI can close above $45 on 18th Oct.
[smile]
@Optionspuppy:I closed $SoFi Technologies Inc.(SOFI)$  ,Reflecting on My Decision to Sell SOFI at $7 I was recently assigned and asked to sell my SOFI stock at $7. At the time, I thought it was a good decision, but now that the stock is trading at $7.95, I'm wondering if I sold too low. Analyzing My Decision In hindsight, I can see that I might have been too hasty in selling my SOFI stock. The stock has continued to rise, and I could have potentially made a higher profit if I had held on to it. Lessons Learned This experience has taught me some valuable lessons: Don't be afraid to hold on to a stock: Sometimes, it's better to hold on to a stock and ride out the fluctuations in the market rather than selling too quickly. Set a higher target price: In this c
[Happy]
@Optionspuppy:I opened $Palantir Technologies Inc.(PLTR)$  ,My Options Trade: Buying PLTR and Selling a Call I recently executed an options trade on PLTR, buying the stock at $36.82 and selling a call option with a strike price of $36. Here's a breakdown of my trade and the reasoning behind it. Buying PLTR I bought PLTR at $36.82, believing that the stock has potential for growth in the long term. My goal was to hold the stock for an extended period and benefit from any potential upside. Selling a Call Option To generate additional income and potentially increase my profits, I decided to sell a call option on PLTR with a strike price of $36. By selling the call option, I received a premium of $1.36, which I can keep regardless of what happens to the stock
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@TigerHulk:I opened $Alphabet(GOOGL)$  ,Google is a strong buy because of its leadership in online search, digital advertising, and expanding areas like AI, cloud computing, and YouTube. Its innovation, global presence, and diversified revenue sources provide solid long-term growth prospects. Googleā€™s vast data assets and market dominance make it a valuable investment in tech.
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@TigerHulk:I opened $Alphabet(GOOGL)$  ,Here are several reasons why I buy Alphabet (GOOGL) shares now could be a solid investment decision: 1. **Strong Revenue Growth**: Alphabet continues to show robust revenue growth, driven primarily by its dominant position in digital advertising through Google Search, YouTube, and Google Ads. 2. **Diversified Business Model**: Alphabet has a diversified business model beyond search and ads, with strong investments in cloud computing (Google Cloud), AI, and other innovative technologies like Waymo (autonomous vehicles) and health-tech initiatives. 3. **AI Leadership**: With advancements in AI, including products like Google Bard and AI-driven search improvements, Alphabet is at the forefront of AI technology, whic
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@mster:I opened $KWEB 20241018 32.0 CALL$  ,KWEB rocketed over 10% from $27 to $30 in a day which usually takes forever šŸ˜…. It has shot pass my 1st covered call opened just yesterday, opened another CC contract today, expiring same date as previous but now collected a higher premium and also a higher strike. Ready for these shares to be called away if the share price continues to trend higher by expiration
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@koolgal:I opened $Grab Holdings(GRAB)$  ,Grab is currently on an uptrend momentum. Its Revenue grew 17% year over year to USD 664 million in 2Q 24, driven by growth across all segments. Grab still has a long growth runway as Food Delivery and Mobility sectors in South East Asia are expected to grow at a 12% and 18% CAGR respectively through to 2025. I believe that Grab has lots of upside potential and its current price is still a bargain. Wall Street Analysts are bullish on Grab with a Buy rating, average Target price of USD 4.89, an upside potential of 32%.
yes
@koolgal:I opened $Global X Nasdaq 100 Covered Call ETF(QYLD)$  ,I love Dividends and QYLD does this so well as it has paid a monthly dividend for 10 years running. The current dividend yield is 12. 07%. QYLD does this by using a Covered Call Strategy on the Nasdaq 100 Index stocks. This is normally the domain of big institutions and expert traders. Ka-ching! šŸ˜šŸ˜šŸ˜šŸŒˆšŸŒˆšŸŒˆšŸ’°šŸ’°šŸ’°

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