12.11BMarket Cap197.18P/E (TTM)
279.500High273.240Low608.17KVolume279.500Open277.960Pre Close168.29MTurnover1.78%Turnover Ratio794.37P/E (Static)43.54MShares297.56052wk High15.78P/B9.48BFloat Cap140.16052wk Low--Dividend TTM34.10MShs Float297.560Historical High--Div YieldTTM2.25%Amplitude60.500Historical Low276.705Avg Price1Lot Size
Duolingo Stock Forum
Enjoyable vacation 🇯🇵 Awaiting for Oct US Market
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99.99% premium collecting rate, awaiting for correction and new resistance at 270
Sell Put $Novo-Nordisk A/S (NVO.US)$ at strike 126 expiry on 20Sept2024 after a more than -5% daily price dive.
Sell Call $NVIDIA (NVDA.US)$ at 119 daily as it couldn’t breakthrough the shortterm resistance
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This is my 3rd month here, and here are the summary of my action in Aug:
1. Topping up certain symbols I thought was a good buy
2. Chopping off certain symbols I thought was too small of a holdings and are not so good quality
3. Diversifying into ETFs
4. Entering new market (Singapore)
5. Buying some new symbols which I only recently noticed as high potential
In essence, what I was actually doing was to shap...
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$Tesla (TSLA.US)$
$NVIDIA (NVDA.US)$
$Duolingo (DUOL.US)$
$Amazon (AMZN.US)$
$Microsoft (MSFT.US)$
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