EtruscanMarce
EtruscanMarce
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$CELH 20250801 44.5 PUT$ this cash secured put sold at open. whereass the vxx call lose. lose some win some.. lets go! 
$VXX 20250801 46.0 CALL$ sold this covered call too early. lets see if this can hit my assigned price. no issue to let go if it hits. recycle again if it does in next week. 
$Direxion Daily Semiconductors Bear 3x Shares(SOXS)$   got assigned for this counter and start 100 units. post market trading increased due to news of us rating downgrade. continue to monitor for this week. lets see how the market peform for the week. 
$CPB 20250718 30.0 PUT$ another solid stock and collected full premium. will monitor closely coming week the price action to sell another put again
$UnitedHealth(UNH)$  i closed at pre market after the news of investigation out. dont want to hold a falling knife. cut the loss and go back to drawing board. is painful but necessary to prevent worse off scenario. rebuild again after this đŸ’Ș
$TSLL 20250620 14.0 CALL$ collected full premium of this sold call.. next week will be challenging with the wars. need to monitor closely
$Lululemon Athletica(LULU)$ is buying Lulu now a catch in falling knife or a strategic buy for future at fair value now?  
$CGC 20250926 1.5 CALL$ collected small premium and wait for this in play again. will monitor closely for a spike next week. 
$NVDA 20250307 105.0 PUT$ selling put on the initial positive opening.. pocket some premium
$SOXS 20250613 9.5 PUT$ collected full premium. last 2 days of the week with the war news, it popped.. this week will monitor clsoely. 
$VXX 20251017 41.0 CALL$ selling covered call to squeeze some premiums out. covering the decaying value while waiting for the spike. lets monitor for 2 more weeks. 
$Wolfspeed Inc.(WOLF)$  the news turn the counter to almost worthless. knew this as a risky trade and had been collecting premium from here.. but this news stil sucks and make a whammy in the trading journey
$WOLF 20250502 3.0 PUT$ continue to cycle and take premium. if hit price, will be average down from the high. market open at 4.7 and dropped now back to 4.. will monitor.. whisker away from my break even price at open
$CELH 20250905 35.0 PUT$ closed the trade. achieved 80% profits. need to free up some margins. 
$AppLovin Corporation(APP)$  covered the short with only a small win.. didnt got to catch the big fall.. shorted it when it was moving vertically up.. lose more at one point then this small win..  need to learn to hold to win more and lose lesser 
$SQQQ 20250627 24.5 CALL$ a small bet and didnt realised.. move on to the next trade
$MRVL 20250417 45.0 PUT$ collected full premium for this stock. price still holding last week. looks like a bear flag is forming and might not hold this week. will trade carefully for fhis week. 
collected $TSLL 20250627 16.0 CALL$ full premium. sell the news. monitor this week for reversal. 
$NKE 20250627 65.0 CALL$ collected full premium and price shot above my entry price. hopding stocks have more juice than selling premium for this week. anyway that is trading. need move on.. strategy and discipline is the key for long term.. need to stick to it. 
$VXX 20250919 41.0 CALL$ collected full premium. no price rebound. with the volatility reducing with a strong market, this decaying position will lose it value across time. will see for a spike to reduce the loss and cut it if necessary. it is now a big position. will monitor and decide. 

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