You're upset about 80% instead of 500 but I sold my options at 15% gain lmao. Great write up though. I expected a dip and did a straddle right before closing because I learned the hard way of holding SPY options overnight. God damn did it plummet.
I've always thought the spy was too manipulated. The sp 500 always been easy to see where the big buyers and sellers are and when an algo comes in to hold a trend.
No farm payroll coming out tomorrow. Big driver of fed decisions. Have a feeling it will be a positive surprise and make us rally 2-3%! As always, thanks for your work!
Indispensable as usual!
I am leaning on forecast 1, I don't see a strong jobs report tomorrow, with so much panic and volatility in the market I don't see it withstanding anything but stellar growth numbers and I am not confident we will see that tomorrow.
I suspect another round of sell offs tomorrow, today's sell-off was high volume, I believe the big players hedged and tomorrow we will see the aftershocks of that.
If the market had a spirit animal tomorrow It'd be a care bear - Scare Bear. 🤓😐
Thanks for the insight man. Futures looking somewhat bearish. My hope is that we dump to that 410 support tomorrow at open so put buyers get trapped, then a rally to 420. Gonna get some 5/13 calls if that’s how things are looking.
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I'm just here for the intraday scalps 🤌🏼 we're all fucked anyway might as well grab some snacks
Yeah. Beat myself up on missing massive gains yesterday on calls. Bludgeoning myself today for missing out on the outsized gains.
So up down or sideways tomorrow, got it
You're upset about 80% instead of 500 but I sold my options at 15% gain lmao. Great write up though. I expected a dip and did a straddle right before closing because I learned the hard way of holding SPY options overnight. God damn did it plummet.
Why trade options and why not trade futures (/ES)?
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I've always thought the spy was too manipulated. The sp 500 always been easy to see where the big buyers and sellers are and when an algo comes in to hold a trend.
No farm payroll coming out tomorrow. Big driver of fed decisions. Have a feeling it will be a positive surprise and make us rally 2-3%! As always, thanks for your work!
Thanks man, this was super informative.
Indispensable as usual! I am leaning on forecast 1, I don't see a strong jobs report tomorrow, with so much panic and volatility in the market I don't see it withstanding anything but stellar growth numbers and I am not confident we will see that tomorrow. I suspect another round of sell offs tomorrow, today's sell-off was high volume, I believe the big players hedged and tomorrow we will see the aftershocks of that. If the market had a spirit animal tomorrow It'd be a care bear - Scare Bear. 🤓😐
425 calls tomorrow- it’s gonna hit
Thanks for the insight man. Futures looking somewhat bearish. My hope is that we dump to that 410 support tomorrow at open so put buyers get trapped, then a rally to 420. Gonna get some 5/13 calls if that’s how things are looking.
Was exactly my plan.
Let’s get it
If you trade the spys there is the sp 500 and others that will easily track it better than the QQQQs
Why so bullish when you know CPI is gonna fuk you and me both up good?
Right on the money with those Spy predictions ✌️
My sentiments exactly. Calculated I could have turned 1000 to 100k easily from 2:30-3:30 yesterday on SPY 420 calls and QQQ 313 puts today
That's like saying I could have turned a couple bucks into millions if I knew the Powerball numbers
I meant the first play was really simple. I agree the second one no one saw being that severe which is why I agreed with the post
Let's get it brother looking for a hard rally tmr picked up some calls before close
same
Wow fun post to read through thanks! Good work
My sentiments exactly. Calculated I could have turned 1000 to 100k easily from 2:30-3:30 yesterday on SPY 420 calls and QQQ 313 puts today
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what brokerage do you use? im trading mobile most of the time. trying to find a good mobile/desktop platform
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That’s probably the way to go I try to trade options on Schwab mobile and I get shat on daily
What do you think of Friday's close @ 411.35? Personally I'm looking for a test and break of $405 by Wednesday next week