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Post by ricksta on Jun 7, 2013 0:21:57 GMT
I hate to say it but... I'm looking to SELL the 113/111 Put spread in TLT if I can get filled for .66/.67
Also looking at:
BAC JUL 14 Covered Call More FB Puts PFE JUL 29c / 27p Strangle for .85ish RKUS JL 12.5 Covered Call (Not very liquid) Little More FB Puts LYV Weird Condor (-3 JUL 14P, +2JUL 15C w/ -3 JUL 12P, +2 JUL 10P) for a 3.00ish Credit MU JUL 13/14c 11p JadeLizard for .67/.70ish More NUGT Covered Calls (selling JUL 13's) And More FB Puts
What about Everyone Else?
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Post by wakawakawaka3 on Jun 7, 2013 0:42:59 GMT
Brought 3 FXE 130/132 puts for an average of $1 each Sold Tivo 10/17 Strangle for .75 Sold TLT 120/124 Call Spread for .53 Sold WLT 15 put for 1.03 Sold ORCL strangle 30/38 strangle for .66 Sold MU 10/14 Strangle for .52 Brought back my Es Position at 1608
Really want to do some 87/110 Strangle on in BIDU but the margin it needs is too big for my account size if I want to continue being active.
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Post by ricksta on Jun 7, 2013 1:39:11 GMT
Oh Selling FB puts, always selling putzzzz
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Post by ricksta on Jun 7, 2013 1:46:34 GMT
wakawakawaka3, Thanks for posting, I didn't realize ORCL vol was in the 77 Percentile. Consider the 35/31 Strangle SOLD in the morning (1.05ish with a Upper BE of 36.05 and a lower BE of 29.95, with BOTH sides 20% chance of ITM)
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Post by alex the 12 year old on Jun 7, 2013 2:08:44 GMT
the big trade I did today is sold some TZA 29 puts right before the close
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hank
New Member
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Post by hank on Jun 7, 2013 2:21:17 GMT
wakawakawaka3, Thanks for posting, I didn't realize ORCL vol was in the 77 Percentile. Consider the 35/31 Strangle SOLD in the morning (1.05ish with a Upper BE of 36.05 and a lower BE of 29.95, with BOTH sides 20% chance of ITM) Be aware of ORCL earnings on 6/17.
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Post by twiddletrade on Jun 7, 2013 19:33:41 GMT
some stocks require more margin than others for "Selling Puts" is there a way to have a list of stocks and some measure of their margin requirments or is this something we can find once we do "Confirm & Send" ? any thoughts ?
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Post by wakawakawaka3 on Jun 7, 2013 20:23:59 GMT
Closed my Tivo trade for .32 Could've gotten more out of it if I waited. Scalped JPY last night. Made only ~$43. I have a Johnny sized account and got out almost immediately. Scalped YM for a grand total of 20 ticks. Bought back my TLT trade for .34. Yet again, it's something I got out waaaaay too early. Sold a Gdx 26.5/32.5 strangle for 1.12. Sold a SPY 174/168 Call spread for 1.04. Though there is something wrong with this order as my broker also bought an extra 168 call for me for some reason.........
Daily P/L is ~$1750 almost solely due to my bond future position. Option position P/L at a much more modest $99
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Post by shelly on Jun 10, 2013 14:58:41 GMT
Looking at fxi jade liz sell 36/37 call spread and sell two 33 puts for credit of 1.22 would love feedback
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Post by wakawakawaka3 on Jun 10, 2013 20:07:37 GMT
Today: Opened:
72.5/90 Strangle on LULU for .71 32/40 GME for 1.92 5/7.5 Strangle for Kndi for 1.24. Being tested as soon I entered into this position. Thank god I only traded a one lot with this one.
Closed: Nothing
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Post by wakawakawaka3 on Jun 12, 2013 3:05:03 GMT
Closed out my short /es at 1625.25 Shorted the USD/JPY and shorted usd/EURO for a pairs trade last night. Made ~400 bucks at 5am. Tried to long USD/JPY in order to fade intraday. Lost about $200. Sold a BBry strangle for 1.33 Closed out 3 P puts.
Would've been a decently profitable day if /ZB stayed at morning levels. With the /ZB reversal and my messing up of the intraday Yen trade I turned a small gain into a small loss. If you exclude the last forex trade all my loses for the day came from the bad Lulu position I have on. Hope there's a bounce there this week.
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Post by wakawakawaka3 on Jun 12, 2013 20:26:45 GMT
Wow, it seems like I'm the only one posting......
Sold LULU June 19th and july 70 calls for $1.68. Losing "big" relative to my position in Lulu 72.5 puts. Went from $.28 to $8. Thank god I was a johnny one lot on this trade. Long USD/JPY last night. Made $~17.
Daily P/L is $~300. Mostly from Bonds. My Options are doing well with the exception of LULU which is the vast majority of my losses in options.
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volt
New Member
Posts: 2
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Post by volt on Jun 13, 2013 0:56:05 GMT
I had a backratio spread 75/72.5 in lulu so im also feeling the pain. I did the johnny 1 lot trade also. I sold the 70 calls and then rolled to the 67.5 calls today. I collected about 1.50 so far in premium. I also put on a strangle 60/70 for .75. I closed the 75/72.5 vertical of the back ratio today for 2.40 credit. I am thinking abbut buying 100 shares of stock tomorrow for a bounce since I will most likely be buying them anyways.
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Post by b1llmoo on Jun 15, 2013 12:08:42 GMT
My Positions going into next week... Bot..1 /ES 1600/1595.. Debit for 65c.. Short 1 SPY 155 for 12c Short 1 SPY 156 for 13c 1 VXX 21/20 Put Vertical for 56c..
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