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494
General
R and T
·
03-21
$iShares 20+ Year Treasury Bond ETF(TLT)$ 意想不到的SP86 竟然入價,有趣的是收盤價 86以下,盤後 86以上,結果 16張期權只有10張被行權,因此買入1000股。
TLT
03-21 13:06
USiShares 20+ Year Treasury Bond ETF
SidePrice | FilledRealized P&L
Buy
Open
86.00
1,000
+0.49%
Closed
iShares 20+ Year Treasury Bond ETF
$iShares 20+ Year Treasury Bond ETF(TLT)$ 意想不到的SP86 竟然入價,有趣的是收盤價 86以下,盤後 86以上,結果 16張期權只有10張被行權,因此買入1000股。
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664
General
R and T
·
03-21
$Oracle(ORCL)$ SP160 被行權,成本 $160-11.45=148.55, 仍然比收盤價要抵!下月展望於 160 以上才再做 SC!
ORCL
03-21 13:08
USOracle
SidePrice | FilledRealized P&L
Buy
Open
160.00
400
-6.66%
Closed
Oracle
$Oracle(ORCL)$ SP160 被行權,成本 $160-11.45=148.55, 仍然比收盤價要抵!下月展望於 160 以上才再做 SC!
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683
General
R and T
·
03-21
$Hims & Hers Health Inc.(HIMS)$ 上月中一早做了 SP25, 但HIMS 今個月坐了過山車,最低一度跌穿 15,其後又回升至25,最尾幾天再回落至22,這注 SP25 結果要接貨。期權金賺了 1.86, 買入成本=25-1.86=23.14, 與市價非常接近!
HIMS
03-21 13:07
USHims & Hers Health Inc.
SidePrice | FilledRealized P&L
Buy
Open
25.00
2,200
-13.56%
Closed
Hims & Hers Health Inc.
$Hims & Hers Health Inc.(HIMS)$ 上月中一早做了 SP25, 但HIMS 今個月坐了過山車,最低一度跌穿 15,其後又回升至25,最尾幾天再回落至22,這注 SP25 結果要接貨。期權金賺了 1.86, 買入成本=25-1.86=23.14, 與市價非常接近!
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307
General
LiverpoolRed
·
03-21
$Lemonade, Inc.(LMND)$ selling call option to earn premium and leveraging my share price.  got exercise it and earn r
LMND
03-21 13:24
USLemonade, Inc.
SidePrice | FilledRealized P&L
Sell
Close
58.00
200
+2.66%
Closed
Lemonade, Inc.
$Lemonade, Inc.(LMND)$ selling call option to earn premium and leveraging my share price. got exercise it and earn r
TOPYNWIM: Smart move! Selling calls raked in premium, stoked for your win![开心]
1
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4.64K
Selection
TigerEvents
·
03-23

[Event] World Bear Day: How Much Did You Lose Today?

Middle East tensions are rising, oil prices are surging, and global markets are under pressure. Even gold and silver — assets many investors usually turn to for safety — could not hold up this time. $SPDR Gold ETF(GLD)$ $United States Oil Fund LP(USO)$ $S&P 500(.SPX)$ People always say that when markets get rough, gold is the place to hide. But this time, even gold is falling. A lot of investors are probably looking at their portfolios and wondering what is actually safe right now. And fittingly enough, today is World Bear Day. It was originally created to raise awareness about bear conservation, but with the way markets are trading today, it feels a little too
[Event] World Bear Day: How Much Did You Lose Today?
TOPkoolgal: 🌟🌟There is a touch of irony in World Bear Day like the world is ending because our portfolio is in the red, yet this is the best time to go bargain hunting. Investing is not about having a crystal ball. It is about having a sturdy ark. It is the realisation that patience is ultimate alpha. I am still holding onto $iShares MSCI Global Silver and Metals Miners ETF(SLVP)$ because it offers me a high leverage exposure to a 5 year supply deficit in Silver, which is increasingly driven by insatiable demand in its industrial usage such as green energy, EVs and even chips. I am also still holding onto my conviction plays such as $SPDR Portfolio S&P 500 ETF(SPYM)$ $STI ETF(ES3.SI)$ because the only thing worse than a Bear Market is missing the Bull Market that inevitably follows it. As Warren Buffett likes to say: "Predicting rain doesn't count. Building arks does." This means building a resilient portfolio that can survive the test of time. @TigerEvents @Tiger_comments
34
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1.29K
General
TBI
·
03-20

[37] ADSK, FANG, NDAQ

The information and materials provided here, whether or not provided on TBI’s Substack (TBI), on third party websites, in marketing materials, newsletters or any form of publication are provided for general information and circulation only. None of the information contained here constitutes an offer (or solicitation of an offer) to buy or sell any currency, product or financial instrument, to make any investment, or to participate in any particular trading strategy. TBI does not take into account of your personal investment objectives, specific investment goals, specific needs or financial situation and makes no representation and assumes no liability to the accuracy or completeness of the information provided here. The information and publications are not intended to be and do not constit
[37] ADSK, FANG, NDAQ
TOPNellyJob: Solid TA on NDAQ, mate! Watching that 86.64 level closely.[强]
1
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744
General
1PC
·
03-20
Nice Sharing 😁 @Shernice軒嬣 2000 @koolgal @JC888 @DiAngel @Aqa @Barcode //@Shyon:I’m picking O&M (Offshore & Marine) as the top-performing SGX sector. With oil holding above $110, the tailwind is just too strong — capex cycles are restarting, and capital is clearly rotating into energy-linked plays while rate-sensitive sectors like REITs remain under pressure. One stock on my radar is
@Shyon
I’m picking O&M (Offshore & Marine) as the top-performing SGX sector. With oil holding above $110, the tailwind is just too strong — capex cycles are restarting, and capital is clearly rotating into energy-linked plays while rate-sensitive sectors like REITs remain under pressure. One stock on my radar is $YZJ Shipbldg SGD(BS6.SI)$ . My thesis is simple: it’s sitting at the sweet spot of the cycle with a strong multi-year order book extending to 2028, and earnings visibility is extremely high. If oil stays elevated, offshore demand should accelerate, and that directly feeds into new orders and margin expansion. I also like the asymmetric setup here — downside is supported by its solid balance sheet and existing contracts, while upside
I’m picking O&M (Offshore & Marine) as the top-performing SGX sector. With oil holding above $110, the tailwind is just too strong — capex cycles are restarting, and capital is clearly rotating into energy-linked plays while rate-sensitive sectors like REITs remain under pressure. One stock on my radar is $YZJ Shipbldg SGD(BS6.SI)$ . My thesis is simple: it’s sitting at the sweet spot of the cycle with a strong multi-year order book extending to 2028, and earnings visibility is extremely high. If oil stays elevated, offshore demand should accelerate, and that directly feeds into new orders and margin expansion. I also like the asymmetric setup here — downside is supported by its solid balance sheet and existing contracts, while upside
Nice Sharing 😁 @Shernice軒嬣 2000 @koolgal @JC888 @DiAngel @Aqa @Barcode //@Shyon:I’m picking O&M (Offshore & Marine) as the top-performing SGX secto...
TOPAaronJe: Spot on! YZJ's cycle sweet spot is prime for gains.[看涨]
1
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2.34K
Hot
Barcode
·
03-21
$Silver - main 2605(SImain)$ $E-mini Nasdaq 100 - main 2606(NQmain)$  $SPDR S&P 500 ETF Trust(SPY)$  📉📊📉 Silver’s 16% Weekly Collapse Signals Liquidity Repricing at a Critical SPY Decision Zone 📉📊📉 🧠 A coordinated unwind across commodities is now feeding directly into broader risk assets. This is no longer an isolated move, it is a cross-asset repricing event that demands structured interpretation. Silver just posted a -16% weekly decline, its second-largest drop since 2011. Two months ago, it was up over 60%. That magnitude of reversal points to positioning stress, not standard volatility. 📉 Now sitting at -4.94% YTD in 2026 📉 Mome
$Silver - main 2605(SImain)$ $E-mini Nasdaq 100 - main 2606(NQmain)$ $SPDR S&P 500 ETF Trust(SPY)$ 📉📊📉 Silver’s 16% Weekly Collapse Signals Liquidi...
TOPicycrystal: thanks for sharing
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