My current portfolio:
AAPL Call - Very trying. But I'm still bullish prior to earnings. Still holding.
BZH Bear Call spread - Had closed my sold leg twice (each with >$100 profit per contract) since I played this spread. Looking forward to sell again. My bgt leg still remains.
PALM Put - Bgt the May $22.5 Put yesterday. Slightly positive, nothing to crow about.
STX Put - Bgt yesterday. Made a mistake on this stock. While the charts showed a "sell", I forgot to check its earnings announcement date. The stock is now likely to rise prior to earnings announcement on 18 Apr. I am holding on for the moment.
QQQQ Put - Sold my QQQQ Jun $45 Put for > 19% profit (4 days of patience).
- PersianCat04 (Millionaire-in-progress)
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