pa247 143 posts msg #148899 - Ignore pa247 |
8/14/2019 1:57:00 PM
Fill Details
Bought 2 SIG 10/18/19 Put 9.00 @ 0.35
Filled at: Aug 13, 2019 3:16:58 PM EDT
stock at: 13.37
Reasoning: this is one sick puppy. if they dont get excluded from the sept.1 10% tariff, they're going down.
we'll see what happens.
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Fill Details
Sold 2 SIG 10/18/19 Put 9.00 @ 0.45
Filled at: Aug 14, 2019 12:10:05 PM EDT
Net: $20
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pa247 143 posts msg #148900 - Ignore pa247 modified |
8/14/2019 2:02:09 PM
Fill Details
Bought 2 SPY 12/17/21 Put 105.00 @ 0.42
Filled at: Aug 14, 2019 12:27:33 PM EDT
Bought 2 SPY 12/17/21 Put 105.00 @ 0.42
Filled at: Aug 14, 2019 12:27:33 PM EDT
spy at 285
reasoning: the recession/slide/(dare I say it .....depression) is gonna be a lot worse than anyone can imagine right now.
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pa247 143 posts msg #148901 - Ignore pa247 |
8/14/2019 2:09:10 PM
Submitted Order Type Limit @ 0.79 Credit
Fill Details
Bought 1 BOX 01/15/21 Call 18.00 @ 1.28
Filled at: Aug 14, 2019 1:35:33 PM EDT
Sold 1 BOX 01/15/21 Call 15.00 @ 2.07
Filled at: Aug 14, 2019 1:35:33 PM EDT
box at 13.06
reasoning: IVR is 59.4% so makes it worthwhile to sell a credit spread. The company is basically worthless unless a bigger idiot decides to buy them.
Performance
Perf 1 week -5.63% Perf 2 week -19.26%
1 Month -21.55% 3 Months -30.96%
6 Months -44.8% 12 Months -44.73%
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graftonian 1,089 posts msg #148904 - Ignore graftonian |
8/14/2019 3:50:26 PM
Paula, What filter are you using to select short positions?
Duane
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pa247 143 posts msg #148910 - Ignore pa247 |
8/15/2019 11:24:10 AM
Fill Details
Bought 1 TPR 01/15/21 Call 35.00 @ 1.82
Filled at: Aug 13, 2019 2:50:41 PM EDT
Sold 1 TPR 01/15/21 Call 32.50 @ 2.35
Filled at: Aug 13, 2019 2:50:41 PM EDT
stock at: 26.85
chart looks awful to me and no one buys coach anymore. Earnings tomorrow. We'll see
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Submitted Order Type Limit @ 0.25 Debit
Fill Details
Bought 1 TPR 01/15/21 Call 32.50 @ 1.10
Filled at: Aug 15, 2019 9:38:04 AM EDT
Sold 1 TPR 01/15/21 Call 35.00 @ 0.85
Filled at: Aug 15, 2019 9:38:04 AM EDT
Net: $28
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pa247 143 posts msg #148911 - Ignore pa247 |
8/15/2019 11:26:01 AM
forgot to post this one I bought.
Order Summary
Received At Aug 7, 2019 1:59:44 PM EDT
Symbol UNG
TIF Day
Submitted Order Type Limit @ 0.46 Debit
Fill Details
Bought 2 UNG 10/18/19 Call 21.00 @ 0.46
Filled at: Aug 7, 2019 2:11:22 PM EDT
Reasoning: hubby said farmers almanac projected bad winter. Who knows?
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pa247 143 posts msg #148912 - Ignore pa247 |
8/15/2019 11:28:59 AM
Submitted Order Type Limit @ 0.38 Debit
Fill Details
Bought 3 HYG 01/15/21 Put 50.00 @ 0.38
Filled at: Aug 15, 2019 10:19:45 AM EDT
HYG at 85.71
Reasoning: Leveraged corporate and sovereign debt is off the charts! Everyone chasing yield. Its going to end very badly at some point.
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pa247 143 posts msg #148913 - Ignore pa247 |
8/15/2019 11:54:36 AM
8/14/2019 3:50:26 PM
Paula, What filter are you using to select short positions?
Duane
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Duane,
Im still very low on the learning curve for technical analysis so Im currently using a mish-mash of stuff but I start out with this trend scan of Kevins I found that I just slightly adapted to stocks instead of etfs. Anything that comes up with -7 and isnt Medical or REIT, I put into a watchlist.
Then I look if theres been a lot of insider selling in the last month or so. Then I look at chartmill to see where the stocks are in relation to weinsteins stage. (On fathers day chartmill had a 50% off sale and I got a years subscription then). So I kind of whittle it down from there and then i check IVR, option pricing, etc on tastytrade and decide to do something or not. I also got offered a 30 day sub for $1 to market club and im experimenting with how that works also.
Paula
fetcher
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pa247 143 posts msg #148914 - Ignore pa247 |
8/15/2019 1:36:43 PM
Fill Details
Sold 1 URBN 09/20/19 Call 23.00 @ 1.03
Filled at: Aug 6, 2019 1:00:46 PM EDT
Bought 1 URBN 09/20/19 Call 24.00 @ 0.71
Filled at: Aug 6, 2019 1:00:46 PM EDT
Urbn stock at 21.68
Sold bear call vertical
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Fill Details
Bought 1 URBN 09/20/19 Call 23.00 @ 0.37
Filled at: Aug 15, 2019 1:19:29 PM EDT
Sold 1 URBN 09/20/19 Call 24.00 @ 0.22
Filled at: Aug 15, 2019 1:19:29 PM EDT
Net: $17
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pa247 143 posts msg #148918 - Ignore pa247 |
8/15/2019 5:34:57 PM
I forgot to,post this one. Back in July I somehow got it in my head that pets stock (petmed express) was gonna be a big winner so I bought this call when the stock was at $17.18. Needless to say the stock is today at $15.68.
Submitted Order Type Limit @ 0.30 Debit
Fill Details
Bought 1 PETS 09/20/19 Call 20.00 @ 0.30
Filled at: Jul 24, 2019 12:25:42 PM EDT
So how to save this one. I’ve been watching more videos and reading lots on how to salvage losing option trades. So today I sold a 17.50 call with the same expiration and converted it into a bear call spread. I guess we’ll see how it goes.
Submitted Order Type Limit @ 0.32 Credit
Fill Details
Sold 1 PETS 09/20/19 Call 17.50 @ 0.32
Filled at: Aug 15, 2019 12:58:23 PM EDT
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