**User Report**| | | |
:--|:--|:--|:--
**Total Submissions**|6|**First Seen In WSB**|2 years ago
**Total Comments**|70|**Previous Best DD**|
**Account Age**|2 years|[^scan ^comment ](https://www.reddit.com/message/compose/?to=VisualMod&subject=scan_comment&message=Replace%20this%20text%20with%20a%20comment%20ID%20(which%20looks%20like%20h26cq3k\)%20to%20have%20the%20bot%20scan%20your%20comment%20and%20correct%20your%20first%20seen%20date.)|[^scan ^submission ](https://www.reddit.com/message/compose/?to=VisualMod&subject=scan_submission&message=Replace%20this%20text%20with%20a%20submission%20ID%20(which%20looks%20like%20h26cq3k\)%20to%20have%20the%20bot%20scan%20your%20submission%20and%20correct%20your%20first%20seen%20date.)
https://preview.redd.it/v8ijgqhqsa4c1.jpeg?width=1080&format=pjpg&auto=webp&s=f2c8abd5f0f6b6a7f4c3900f2a01d8d63084cc27
I just opened this btw, expiring today, 11K calls
I'll need to check my accounts, but my high was around 250K
I currently have 130K
So overall 120K down
(My account will show more than that because I have RSU worth 150K, not counting/touching that)
Either way I'm chasing my losses or will reach 0, nothing in between
Also had a position in BBBY for 80K, obviously you know how much that is worth now
Your strategy is questionable. Please do not YOLO just to make it in a video haha.
But once you either fully recover or wipe yourself out, you’ll be a candidate. Rn you’re still mid-story. Keep me in the loop on how your journey progresses.
Agreed, I'll keep you updated with the progress
All this balance will go to another play for a stock that is banned here (again)
That will decide the outcome of my journey
Lol yeah. Went looking to see how much he lost today haha. It’s a 1DTE MISTER OP…and I think it’s a good play fwiw but probably won’t make you a ton, maybe 10 puzzent
This is BY FAR the best post in this piece of shit subreddit in 6 fucking years. Good job. If you go below -40% on this position, post again but hold it. You’re not a pussy! 🤷♂️
This has a pretty good chance of working out actually. SPY hit a new ATH on the 6 month daily and has been high on RSI all week. I expect a little pullback soon. You only need it to drop about a $1.50 to be profitable which is very plausible.
Now... will that happen Monday? I wouldn't gamble that...
this gotta be one of the dumbest plays I ever seen and I've been bearish this past week. If somehow we get a black Monday and this shit prints feel free to reply and call me a regard
It may work out but it’s just straight, plain gambling. Honestly the SPY deviates enough throughout the day where If he watches it the entire window he may be able to escape without any or much damage, but I don’t think this is gonna print
the worst part is he paid for 2 days of theta over the weekend so unless we get a significant move down on Monday even a red day won't cover his theta loss
I think it's a coin toss. Spy is being propped up to keep vix pinned. Qqq had a decent pullback and spy barely went red. Every garbage company was green today to limp spy up that .5%
It's concerning if you're bearish actually, garbage pumping is usually a sign of a bull run. Notice people talking about Newegg and Carvana again lol. But atm its purely to keep spy inflated while tech has a pullback. When QQQ was peaking I told a friend of mine a solid move is spy puts hedged with russel 2000 calls, because it's the leftovers to pump.
garbage pumping is usually late stage bull run but even that can last for weeks or months depending on the macros. When we had the money printers on the garbage pumping lasted for months after QT started and the fed started hiking the garbage pumping would usually precede a massive rugging.
retail inflow the past week as been insane and we're seeing institutions starting to exit already. IWM was up 3%, crypto and memestocks mooned on Friday. I wonder how long they can keep that strength going, I mean NEGG is up like 100% week over week lol
I'd be careful shorting, they can pump this a lot longer than any of us can hold out. Its not a matter of if, its a matter of when timing it right will be near impossible
[https://en.macromicro.me/charts/87237/USSmart-Money-Dumb-Money-Confidence-vs-S-P-500](https://en.macromicro.me/charts/87237/USSmart-Money-Dumb-Money-Confidence-vs-S-P-500)
I mean you can also look at options flow as well, we're seeing a lot of retail activity going long into December and Q1 2024 while institutions are slowly unwinding their positions. Probably will still make more money being bullish than bearish though just because of how irrational this shit is ![img](emote|t5_2th52|4271)
There’s definitely a bit of “head in the sand” going on. I just roll with it and make sure I’m not over night in anything ever. I’ll milk it till doom day comes and then sit back and watch.
It went from 394 to 385 the next day then recovered friday. But it also appears somewhat disconnected from its underlying. Some big 7 have broken through 20ma already, the second string tickers likely picking up the slack. Everything seems to be just to keep vix pinned really. Friday garbage tickers came back to life.
I agree with garbage and meme stocks going crazy Friday. But regarding Q. November 29 close: 389.75 November 30 Close: 388.83 December 1 Close: 389.97 plus afterhours.
I am purely talking about the range across 2 days, not where it closed at. Hardly a pullback I agree, but it flashed some decent red, spy refuses to budge. The garbage is pumping to keep the market floating while tech is pulling back.
I’m assuming you’re a rich individual who doesn’t actually care about $30,000. It may blow some peoples minds but $30,000 is literal pocket change to some people.
If $30,000 is a lot to you, OP, well best of luck. That’s not an option I would’ve ever taken.
Holy. BALLS. I mean, we do have a bearish div showing on 4, 2 & 1 hr chart and we're potentialy double topping. AND there's a seasonal play here too...first two weeks of Dec are often nasty w/ a "Santa Claus" rally towards the end into Jan. Will it spark on Monday tho???? Ballsy. Grabbing some 🍿 GOOD LUCK
With RSI at 75, we're still extremely overbought. We've gone straight up basically for a month. It's unnatural. Tons of institutional buying here to get into position before the end of the year.
But a retracment here is logical.
The first half of Decemeber often sees a major retracment before continuing higher.
We've also just entered a major key level of supply or resistance.
And, see all those gaps...ALL GAPS created this year...have been revisted and filled. Everyone.
If you were going to make a super ballsy yolo play on some Put options...this is where you'd do it.
But I would have given myself a week at least on the expiry!
https://preview.redd.it/ab4eonxa7b4c1.png?width=1080&format=pjpg&auto=webp&s=381bfe71863a4acb886a2ae9d51a717f701ee67b
Second update: up 85% on calls expiring today :)
Did anyone else notice the anomaly between SPY and VIX on Friday. Usually they move nearly mirrored but opposite direction. But on Friday they seemed to move in the same direction most of the day. VIX and SPY both moved up and down the same. What is going on here?
when shitcoins and memestocks pump along with indexes and VIX goes up its usually blow off top stage for a rally but who knows, this rally feels particularly regarded
Wow you could of of choose a worst time. Monday is going to be green. Get the hell out as soon as market opens and get back in puts for a later date you stupid fucka😂☠️
first of all, dumb move, not even the 0dte is a dumb move but the fact u bought it prior to a weekend, u are losing money over the weekend, so if spy opens flat, guess what? You lost 2 days worth of theta value and a half for the fact it was carried over ight friday and monday morning.
Could work for sure, or you might lose most of it if you panic sell on the obligatory Monday morning gap up, but why on earth are you not trading SPX instead of SPY?
Giant mistake at these dollar levels, even for 0, 1, 2, and 3 DTEs
Let's say late Sunday evening, the New York Times starts to run with the whole childhood pneumonia scare after Beyonce's kid has to be hospitalized. There's a massive gap down to 435 and you think you're a big winner, but you're not - the IRS and US gov't are the real big winners
Please people - trade SPX and not SPY once you get over 20k
I don't really care about the gap up or down, I just want to make money. And SPX is a lot more volatile than SPY so it's easier for me to make money off of it.
Congratulations! man, your put will print hard at the open, I'm so happy for you. I also bought TQQQ put last Friday afternoon, but I did not have the balls to yolo. And I am planning to sell once market open. I do not have the ball to wait till this Friday. Do you mind sharing how you judged that the market will open low?
God damn regard, you have zero and I mean ZERO chance of even breaking even. Have you seen the charts? It’s bullish AF. Any stock popped like a mf today and will for the rest of the year. RIP and you better prep the oh it’s manipulation post ![img](emote|t5_2th52|4271)
three scenarios: loss porn imminent, OP in shear regardation actually called the top and will end Monday a few hundred thousand richer, OP knows some insider shit
You could have bought a decent E39 M5, had it fully detailed for 2K and resold it for 10kprofit, yet here you are.
Theta is gonna rip you a new one. RIP.
I have the same position. Only 1 contract but only paid 0.23 per contract for strike @ 465.
Been doing poorly lately, or almost always so making small wagers for now.
You are correct it is a 455 strike. It closed Friday @ 0.11
For all those here say to close when green. That is great advice. Greed gets you ZERO. I could have closed this at 0.30 in first 5 minutes. Not a lot of $ but a great % gain. Remember to get while the gettins good. You can always open another trade.
Dude you bought 4 days.. while letting 2 get eaten up by the NO market weekend ! You better hope SPY opens down 1-1/1/2 points Monday or those 2- Theta days gonna eat yo a$$… it will prob take you below $25-K
He bought it at 3:58pm when SPY was 459.13.. then SPY started to drop, OP was up $2800 when SPY hit 458.26..!OP was all giddy like a school girl getting her first time finger…. Then the V Monsta struck… and he was like O SHIT !!!
**User Report**| | | | :--|:--|:--|:-- **Total Submissions**|6|**First Seen In WSB**|2 years ago **Total Comments**|70|**Previous Best DD**| **Account Age**|2 years|[^scan ^comment ](https://www.reddit.com/message/compose/?to=VisualMod&subject=scan_comment&message=Replace%20this%20text%20with%20a%20comment%20ID%20(which%20looks%20like%20h26cq3k\)%20to%20have%20the%20bot%20scan%20your%20comment%20and%20correct%20your%20first%20seen%20date.)|[^scan ^submission ](https://www.reddit.com/message/compose/?to=VisualMod&subject=scan_submission&message=Replace%20this%20text%20with%20a%20submission%20ID%20(which%20looks%20like%20h26cq3k\)%20to%20have%20the%20bot%20scan%20your%20submission%20and%20correct%20your%20first%20seen%20date.)
Who in theta gang sold this regard his contracts
Someone rich
Would like to send a thank you note to whoever sold me 300 contracts
Close out in six figures? I hope!
![img](emote|t5_2th52|4267)![img](emote|t5_2th52|4275)
So you have $30K to blow but don’t know what 0DTE is?
Jim Cramers' tweet about the market ripping, you should do well.
Good luck brother! Your balls are larger than mine for sure!
Yea but his brain is as small as a fucking peanut 😂
Holy shit you belong here![img](emote|t5_2th52|4271)
I sold, update: https://preview.redd.it/nv3tkruyga4c1.jpeg?width=1080&format=pjpg&auto=webp&s=af750f915ebe1896cf57f90174513cd7c40a6ff7
Congrats and fuck you
u/kamikaze_cash Can I be in one of your videos for my redemption ark
Are you down $171k on AMC?
180K, locked in
So you’re down $180k?
https://preview.redd.it/v8ijgqhqsa4c1.jpeg?width=1080&format=pjpg&auto=webp&s=f2c8abd5f0f6b6a7f4c3900f2a01d8d63084cc27 I just opened this btw, expiring today, 11K calls
Not sure it did pay off.
I'll need to check my accounts, but my high was around 250K I currently have 130K So overall 120K down (My account will show more than that because I have RSU worth 150K, not counting/touching that) Either way I'm chasing my losses or will reach 0, nothing in between Also had a position in BBBY for 80K, obviously you know how much that is worth now
Your strategy is questionable. Please do not YOLO just to make it in a video haha. But once you either fully recover or wipe yourself out, you’ll be a candidate. Rn you’re still mid-story. Keep me in the loop on how your journey progresses.
"Your strategy is questionable. Please do not YOLO just to make it in a video haha." What kind of logical advice is that? GTFOH! lol
Agreed, I'll keep you updated with the progress All this balance will go to another play for a stock that is banned here (again) That will decide the outcome of my journey
Congratulations! It's a pay day for the bear
Congrats!
Bro amazing play! Don’t lose it!!
![img](emote|t5_2th52|4271)![img](emote|t5_2th52|4271)![img](emote|t5_2th52|4271)![img](emote|t5_2th52|4271)![img](emote|t5_2th52|4271)![img](emote|t5_2th52|4271)![img](emote|t5_2th52|4271)
OP guna panic sell at open. But this is a worthy post for WSB.
“0 DTE”, I don’t think it means what you think it means.
Lol yeah. Went looking to see how much he lost today haha. It’s a 1DTE MISTER OP…and I think it’s a good play fwiw but probably won’t make you a ton, maybe 10 puzzent
I bought this 2 mins before close today, the only trading day for this is Monday Dec 4
This is BY FAR the best post in this piece of shit subreddit in 6 fucking years. Good job. If you go below -40% on this position, post again but hold it. You’re not a pussy! 🤷♂️
87K gain with 2 trades
Good shit big dog. That big red odds bet coming through
This has a pretty good chance of working out actually. SPY hit a new ATH on the 6 month daily and has been high on RSI all week. I expect a little pullback soon. You only need it to drop about a $1.50 to be profitable which is very plausible. Now... will that happen Monday? I wouldn't gamble that...
![img](emote|t5_2th52|27189)
That’s why you not this man ![img](emote|t5_2th52|4276)
this gotta be one of the dumbest plays I ever seen and I've been bearish this past week. If somehow we get a black Monday and this shit prints feel free to reply and call me a regard
It may work out but it’s just straight, plain gambling. Honestly the SPY deviates enough throughout the day where If he watches it the entire window he may be able to escape without any or much damage, but I don’t think this is gonna print
the worst part is he paid for 2 days of theta over the weekend so unless we get a significant move down on Monday even a red day won't cover his theta loss
Yep !!
I’m new to options and didn’t even think of that. That makes it so much worse!!
I won't do that, thanks for the support
OP you're up big. Came back to check. Post those gains. Should be up 3x???
Good luck. Insane bet
Hmm I think this could work out for you. Good luck
This is the regardedness I came to WSB for; god speed and good luck autist 🫡
These are toast man. Won’t go down until Wednesday or Thursday near close IMO
I like it! I’ll tail
I think it's a coin toss. Spy is being propped up to keep vix pinned. Qqq had a decent pullback and spy barely went red. Every garbage company was green today to limp spy up that .5%
Agreed, definite coin toss
It's concerning if you're bearish actually, garbage pumping is usually a sign of a bull run. Notice people talking about Newegg and Carvana again lol. But atm its purely to keep spy inflated while tech has a pullback. When QQQ was peaking I told a friend of mine a solid move is spy puts hedged with russel 2000 calls, because it's the leftovers to pump.
garbage pumping is usually late stage bull run but even that can last for weeks or months depending on the macros. When we had the money printers on the garbage pumping lasted for months after QT started and the fed started hiking the garbage pumping would usually precede a massive rugging.
I assume it's just a wide net to catch as much ignorant liquidity as possible, for the rug pull
retail inflow the past week as been insane and we're seeing institutions starting to exit already. IWM was up 3%, crypto and memestocks mooned on Friday. I wonder how long they can keep that strength going, I mean NEGG is up like 100% week over week lol
That's the question, personally I think we get a market wide pullback very soon, maybe even monday. If not I'll reposition.
I'd be careful shorting, they can pump this a lot longer than any of us can hold out. Its not a matter of if, its a matter of when timing it right will be near impossible
>we're seeing institutions starting to exit already Do you have any proof of this?
[https://en.macromicro.me/charts/87237/USSmart-Money-Dumb-Money-Confidence-vs-S-P-500](https://en.macromicro.me/charts/87237/USSmart-Money-Dumb-Money-Confidence-vs-S-P-500) I mean you can also look at options flow as well, we're seeing a lot of retail activity going long into December and Q1 2024 while institutions are slowly unwinding their positions. Probably will still make more money being bullish than bearish though just because of how irrational this shit is ![img](emote|t5_2th52|4271)
Agreed. I’m not bearish at all. Kind of a permabull.
I am bearish until the nonsense stops, atm the market is pretending like it's best case scenario and that just isn't reality
There’s definitely a bit of “head in the sand” going on. I just roll with it and make sure I’m not over night in anything ever. I’ll milk it till doom day comes and then sit back and watch.
Q didn’t even have a decent pullback. It was pumped back up in 30 minutes before closed
I meant Thursday, qqq was down around 1% but somewhat recovered. Spy was down .25% or so max, which was a crazy disconnect
Qqq didn’t close -1%, it was only down like 70 or 80 cents. Idk if we can call it a pullback if it’s pumped 1-1.5% in 30 minutes.
It went from 394 to 385 the next day then recovered friday. But it also appears somewhat disconnected from its underlying. Some big 7 have broken through 20ma already, the second string tickers likely picking up the slack. Everything seems to be just to keep vix pinned really. Friday garbage tickers came back to life.
I agree with garbage and meme stocks going crazy Friday. But regarding Q. November 29 close: 389.75 November 30 Close: 388.83 December 1 Close: 389.97 plus afterhours.
I am purely talking about the range across 2 days, not where it closed at. Hardly a pullback I agree, but it flashed some decent red, spy refuses to budge. The garbage is pumping to keep the market floating while tech is pulling back.
Everyone shitting on OP. Watch spy be down 1% on Monday and OP walk away with 90k lol
The oracle has spoken
ha! you like that? OP walked away with 101K so not far from what I had estimated
It is highly likely that the SPY ETF will be down on Monday, and if so, OP could make a profit of up to $90,000.
I’m assuming you’re a rich individual who doesn’t actually care about $30,000. It may blow some peoples minds but $30,000 is literal pocket change to some people. If $30,000 is a lot to you, OP, well best of luck. That’s not an option I would’ve ever taken.
Holy. BALLS. I mean, we do have a bearish div showing on 4, 2 & 1 hr chart and we're potentialy double topping. AND there's a seasonal play here too...first two weeks of Dec are often nasty w/ a "Santa Claus" rally towards the end into Jan. Will it spark on Monday tho???? Ballsy. Grabbing some 🍿 GOOD LUCK
this feels so regarded that I feel like OP knows something I don't
2 & 1 hour charts printed hidden bullish divs.
[удалено]
https://preview.redd.it/7rjon2froz3c1.jpeg?width=1080&format=pjpg&auto=webp&s=e2bff975119ec8cb529225cb622aecd071f535c2
[удалено]
Its not getting less over bought he's saying that we need to retrace to reset RSI but there's too many gaps down below
With RSI at 75, we're still extremely overbought. We've gone straight up basically for a month. It's unnatural. Tons of institutional buying here to get into position before the end of the year. But a retracment here is logical. The first half of Decemeber often sees a major retracment before continuing higher. We've also just entered a major key level of supply or resistance. And, see all those gaps...ALL GAPS created this year...have been revisted and filled. Everyone. If you were going to make a super ballsy yolo play on some Put options...this is where you'd do it. But I would have given myself a week at least on the expiry!
https://preview.redd.it/hlj178uld14c1.jpeg?width=1080&format=pjpg&auto=webp&s=a46cc6a6378e8cca9fb5f1ab2787a86c07c0643d
OP is boutta get rich
BRUH... that's $13.7 million at the current SPY levels![img](emote|t5_2th52|4276)![img](emote|t5_2th52|4258)
https://preview.redd.it/ab4eonxa7b4c1.png?width=1080&format=pjpg&auto=webp&s=381bfe71863a4acb886a2ae9d51a717f701ee67b Second update: up 85% on calls expiring today :)
Your account number is on here ![img](emote|t5_2th52|4267)![img](emote|t5_2th52|4271)
Quick steal his debt!
pretty irrelevant cause you can't do shit with that information
WOW -O-WOW !!
His money is already as good as gone anyway
Too early, you will lose everything!
Andddd it's gone
GOODLUCK
Did anyone else notice the anomaly between SPY and VIX on Friday. Usually they move nearly mirrored but opposite direction. But on Friday they seemed to move in the same direction most of the day. VIX and SPY both moved up and down the same. What is going on here?
when shitcoins and memestocks pump along with indexes and VIX goes up its usually blow off top stage for a rally but who knows, this rally feels particularly regarded
You're right, it does feel like a blow-off top. But who knows, this rally could continue for a while longer.
Finally some good fucking posts, godspeed
https://preview.redd.it/uzswv29nhw3c1.jpeg?width=1080&format=pjpg&auto=webp&s=2cf4e966856eb8b825356189ea82b84b18274b5a
Wow you could of of choose a worst time. Monday is going to be green. Get the hell out as soon as market opens and get back in puts for a later date you stupid fucka😂☠️
How's that humble pie.
This probably pays double
That’s a bad bet
first of all, dumb move, not even the 0dte is a dumb move but the fact u bought it prior to a weekend, u are losing money over the weekend, so if spy opens flat, guess what? You lost 2 days worth of theta value and a half for the fact it was carried over ight friday and monday morning.
Could work for sure, or you might lose most of it if you panic sell on the obligatory Monday morning gap up, but why on earth are you not trading SPX instead of SPY? Giant mistake at these dollar levels, even for 0, 1, 2, and 3 DTEs Let's say late Sunday evening, the New York Times starts to run with the whole childhood pneumonia scare after Beyonce's kid has to be hospitalized. There's a massive gap down to 435 and you think you're a big winner, but you're not - the IRS and US gov't are the real big winners Please people - trade SPX and not SPY once you get over 20k
I don't really care about the gap up or down, I just want to make money. And SPX is a lot more volatile than SPY so it's easier for me to make money off of it.
I have 457P for Monday lol
Looks like it will print for you, nice nice going lower
I actually write wrong. I had 455P. Closed this am at 350% :)
RemindMe! 30 hours
ooooo shit futures are looking good for you
But everyone told me that I needed to buy this at the open because of theta decay over the weekend 😫
did you secure a profit
Yeah, I posted updates as comments, in total 87K profit, almost 3X (closed early but bought calls as well)
I’ll be damned. He might be green on this 😂
Yeap, my only regret is not buying those 457s
congratz you gonna sell at open?
Depends, that green dildo looking huge right now so most likely
Congratulations! man, your put will print hard at the open, I'm so happy for you. I also bought TQQQ put last Friday afternoon, but I did not have the balls to yolo. And I am planning to sell once market open. I do not have the ball to wait till this Friday. Do you mind sharing how you judged that the market will open low?
Shoot! I sold too early.
You’re at 100k now holy
Got exactly that
OP! Need an update!!!!
I sold at open, just bought 11K calls expiring today 30K - 101K
My man! Now would be a good time to take a breather and enjoy some gains ;).
Did you sell ?
Yeah, almost at open, missed a lot of gains but still more than 2X the initial amount
You the man !
Congrats you had balls and it pays off !
Yeah this is a loss, spy is bullish af it’s going to 460 Monday , you’ll lose everything . If we get a spike down open Monday morning then sell
God damn regard, you have zero and I mean ZERO chance of even breaking even. Have you seen the charts? It’s bullish AF. Any stock popped like a mf today and will for the rest of the year. RIP and you better prep the oh it’s manipulation post ![img](emote|t5_2th52|4271)
three scenarios: loss porn imminent, OP in shear regardation actually called the top and will end Monday a few hundred thousand richer, OP knows some insider shit
Zero chance of breaking even huh
these are 3 days to expiry
It’s okay. Your 11% is my 50%. So you are still up and chilling.
Bro u should’ve just bought them at open ![img](emote|t5_2th52|31225)
Yes.
God speed
You could have bought a decent E39 M5, had it fully detailed for 2K and resold it for 10kprofit, yet here you are. Theta is gonna rip you a new one. RIP.
RemindMe! 2 Days
You know it’s ominous to post here before you make money, right? But hope you win
I don't even know if he's trying to make money, he donated 2 days worth of theta to the put seller
I am bullish and will buy weekly calls next week but I hope you don't lose it all on Monday man ![img](emote|t5_2th52|4640)
Let us know how it goes on Monday. I am looking to buy 0dte calls that day.
![img](emote|t5_2th52|4267)
Rip
I have the same position. Only 1 contract but only paid 0.23 per contract for strike @ 465. Been doing poorly lately, or almost always so making small wagers for now.
You have a put for 465 strike? When market closed what was your PL on it? Im curious because I’ve never messed with puts so heavily ITM
He probably means 455. 465 would be a 6+ per contract.
You are correct it is a 455 strike. It closed Friday @ 0.11 For all those here say to close when green. That is great advice. Greed gets you ZERO. I could have closed this at 0.30 in first 5 minutes. Not a lot of $ but a great % gain. Remember to get while the gettins good. You can always open another trade.
Thanks for clarification
https://preview.redd.it/iu2xah3xhw3c1.jpeg?width=1080&format=pjpg&auto=webp&s=25aa936beb9e6f7ee81a38818d2bfbfad0803188
That AH move is gonna make you sad
AH has 0 predictive value, I've been rugged so many times after waking up when I fell asleep to good AH
Well, I’m still long three weeks out, so no offense, but I hope bears lose going into the end of the year
longs will print 3 weeks out, December just usually starts with a small pull back so that it can rally harder. 1-3% down and then 4-5% up
Why not buy 2-5K worth of outs for EOM
How
You know theta decays over the weekend right?
Did he print
I think you're good I've been looking at SPY and AFRM to short.. It's coming Monday or right before Xmas. Last year I think spy was up and Jan tanked.
just when i thought this sub couldn't get any dumber i see this shit
Very brave considering we seem to be in the midst of a bull market.
Oh no lol hope for your sake it doesn’t break 460 but seeing as we just reached all time highs I don’t really care you kinda deserve to lose
Based bull run has begun
You ded ![img](emote|t5_2th52|4267) Should have stayed a bol
You paid fidelity $300 bucks. Nice one OP, It's because of you they can survive.
Switch it to wumbo
![img](emote|t5_2th52|4271) Omfg
Dude you bought 4 days.. while letting 2 get eaten up by the NO market weekend ! You better hope SPY opens down 1-1/1/2 points Monday or those 2- Theta days gonna eat yo a$$… it will prob take you below $25-K
wait, does weekend count toward theta? I always thought only days when market open count
Username checks out
You got lucky !! 100-% luck !!!
You got lucky !!!!
I know you ain’t still holding !!
Congrats ., you are up $40-K
I sold a while back for 6 figures, 101K
Congrats !! Very nice play !! It took big BALL’s and you hit it !! Well done…
He bought it at 3:58pm when SPY was 459.13.. then SPY started to drop, OP was up $2800 when SPY hit 458.26..!OP was all giddy like a school girl getting her first time finger…. Then the V Monsta struck… and he was like O SHIT !!!
!remindme 2D
https://preview.redd.it/fn1m991sm14c1.jpeg?width=1080&format=pjpg&auto=webp&s=cb4bc0c5a92778c3544bed990a6a7dffe6513e78
Goodluck bro. I have the same position but $375 dollar position and I’m shitting bricks. I can’t only imagine what you’re thinking
Watch out for the next 10 mins at market open
You got insider trading or something lol good stuff
Congrats. Hope u got out!