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$NVIDIA (NVDA.US)$ once it hits 100. im selling puts for 90 and 75 over a 3-6months strike. hopefully can get the discount i need .
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$NVIDIA (NVDA.US)$ i believe something bigger is coming soon. maybe after some relieve rally. why i wasnt so convinced to buy this dip (back then only when i got baited by SPY closing price) and cut my loss early when it fell below 121.
this time SPY actually fall below 200ma (worse than japan rate hikes back last year. the long term structure of SPY have finally broken down. now i would say that its highly likely we are expecting a minimum of 10% to 20% correction (SPY is around 7.5% now).
las...
this time SPY actually fall below 200ma (worse than japan rate hikes back last year. the long term structure of SPY have finally broken down. now i would say that its highly likely we are expecting a minimum of 10% to 20% correction (SPY is around 7.5% now).
las...
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$NVIDIA (NVDA.US)$ if nvda hits 113+. do consider buying 110 puts today (cheap) expiry. to hedge in case breakout to the downside.

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$Alphabet-A (GOOGL.US)$ hoping it forms a head and shoulder before dropping off the wedge.
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$NVIDIA (NVDA.US)$ ok.. im going to skip the dip this time. i dont think spy can close 593.7 today. that to me means its a strong signal for more than 5% correction. its ok if im wrong. well. i will wait ![]()
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$NVIDIA (NVDA.US)$ uhh i know there's a huge deal of traders out there only selling puts for basic option strategy. today I'm going to cover how to cover your S if u are selling put options. this applies to all stocks and that one have to be familiar with all the key levels. of course if you are genuinely buying in, then please ignore this.
so for example if i have a strike of 115 nvda today. if 120 is lost (clean price action), short the same amount of contracts for your sell puts. that will be...
so for example if i have a strike of 115 nvda today. if 120 is lost (clean price action), short the same amount of contracts for your sell puts. that will be...
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$NVIDIA (NVDA.US)$ a 5% correction on spy happens 3 times a year. a 10% happens once a year. and a 20% once in a few years. basically if u don't know to buy the dip or not. just buy from light to heavy as the index plunges. ![]()
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$NANO Nuclear Energy (NNE.US)$ Today 40! 🚀🚀
Translated
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$Novo-Nordisk A/S (NVO.US)$ those who are holding physical shares... pay extra attention to this premarket master tomorrow. he usually makes his moves on premarket.
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$Microsoft (MSFT.US)$ seee... those who told me 3 weeks ago that its impossible for microsoft to even break 400. when i posted that microsoft did not gap up weekly chart this time. well not trying to say im right all the time. but just didnt feel right that it did not gapped up on weekly chart.. and i guess i was right. more downside
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103911561 : mean you selling or get option?