phady05
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$MicroStrategy (MSTR.US)$ who bought this garbage at 500 lol
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$MicroStrategy (MSTR.US)$ Now can only wait. Got badly tricked by MSTU. Could have made money and left before the market opened.
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$NVIDIA (NVDA.US)$ entered at 148, since then starting drop until today! 🤣🤣
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phady05
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$NVIDIA (NVDA.US)$ reversal just happened, soon $300
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phady05
Set a live reminder
$Micron Technology (MU.US)$
Micron Q1 FY2025 earnings conference call is scheduled for December 18 at 4:30 PM ET /December 19 at 5:30 AM SGT /December 19 at 8:30 AM AEST. Subscribe to join the live earnings conference with management NOW!
Beat or Miss?
What do you expect from Micron's Q1 earnings? Will the company beat or miss the estimates? Make sure to click the "Book" button to get what managements have to say!
Disclaimer:
This presentation is for inf...
Micron Q1 FY2025 earnings conference call is scheduled for December 18 at 4:30 PM ET /December 19 at 5:30 AM SGT /December 19 at 8:30 AM AEST. Subscribe to join the live earnings conference with management NOW!
Beat or Miss?
What do you expect from Micron's Q1 earnings? Will the company beat or miss the estimates? Make sure to click the "Book" button to get what managements have to say!
Disclaimer:
This presentation is for inf...
Micron Q1 FY2025 earnings conference call
Dec 19 05:30
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phady05
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$MicroStrategy (MSTR.US)$ There may be an opportunity to reach 500 at the opening. As long as Saylor does not do any ATM transactions.
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$Tesla (TSLA.US)$ The beginning of this week was very smooth because tsla brought me a 10% profit in just two days, which was really lucky. However, my mood was affected on Wednesday when I made a reverse put trade. Although it was a profitable put, it affected me on Thursday.
The logic here is that I put Options on TSLA because after trying to break through 430 four times unsuccessfully, there should be a significant adjustment, so I set a target of 410-420. Thursday really reached 420 as I expected, but I was too tired and fell asleep, missing the opportunity to liquidate. This left me unprepared for the whole Thursday and led me to blindly wait for it to drop (which was a wrong decision). During the waiting period, I did nothing and missed the great intraday trading volatility on Thursday, which needs to be reflected upon.
On Friday, I was originally determined to close the position and switch to call once it dropped a bit, but I still hoped it would break even. As everyone can see, I missed the best opportunity again, which will not happen today. Therefore, I had to exit with even greater losses. Fortunately, I did learn from yesterday's lesson. I made myself forget about this put trade, and when the right time came for tsla, I boldly entered with a call, turning today's loss into profit. This was really good. At least not taking the same path as yesterday is a kind of progress.
Finally, currently I have not...
The logic here is that I put Options on TSLA because after trying to break through 430 four times unsuccessfully, there should be a significant adjustment, so I set a target of 410-420. Thursday really reached 420 as I expected, but I was too tired and fell asleep, missing the opportunity to liquidate. This left me unprepared for the whole Thursday and led me to blindly wait for it to drop (which was a wrong decision). During the waiting period, I did nothing and missed the great intraday trading volatility on Thursday, which needs to be reflected upon.
On Friday, I was originally determined to close the position and switch to call once it dropped a bit, but I still hoped it would break even. As everyone can see, I missed the best opportunity again, which will not happen today. Therefore, I had to exit with even greater losses. Fortunately, I did learn from yesterday's lesson. I made myself forget about this put trade, and when the right time came for tsla, I boldly entered with a call, turning today's loss into profit. This was really good. At least not taking the same path as yesterday is a kind of progress.
Finally, currently I have not...
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$NVIDIA (NVDA.US)$ Why...
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phady05
voted
$S&P 500 Index (.SPX.US)$fell back to yesterdays opening price. Hovering at above 6060. Majority of Mag 7 stocks fell slightly at opening, healthy pullback.
$NVIDIA (NVDA.US)$pullback expected and was mentioned yesterday.
$Microsoft (MSFT.US)$continues with its price climb, looking good above 450.
$NVIDIA (NVDA.US)$pullback expected and was mentioned yesterday.
$Microsoft (MSFT.US)$continues with its price climb, looking good above 450.
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phady05
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$MicroStrategy (MSTR.US)$ I'll step back for now... Planning on Friday.
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