Pilates
PilatesCertificated Individuals
Tiger Certification: Entrepreneur, Self Taught trader , Semi retiree , Options newbie
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avatarPilates
16:03
I closed $TCH.HK 20250227 370.00 PUT$  ,I closed $TCH.HK 20250227 370.00 PUT$  , TP For CSP and switching it out to a $430 sell call to supplement the premium for $400 strike buy call. Max loss capped at $1.88 per contract. Maximum gains: $28.12/contract if price goes above $430
avatarPilates
16:05
I closed $TCH.HK 20250127 400.00 CALL$  ,3 days to expiry, With slim chance of hitting above $400 since this premium subsidized by the -5 puts sell and I have another $400 call next month. Decided to cut loss instead of expiring worthless 
avatarPilates
16:07
I opened $TCH.HK 20250227 430.00 CALL$  ,Delta 0.144 $430 strike CC to supplement the premium for $400call. Best scenario is for price to go above $400 but stay Below $430 to keep my shares 
avatarPilates
2024-09-28
I opened $Alibaba(BABA)$  ,1 of 2 Auto assigned long call that’s ITM. Will prices continuing billing next week or is it due for a correction. Current game plan: If price corrects, close one contract of march’25 CC and change to selling monthly CC. If price continuing rally, do nothing and wait out.
avatarPilates
2024-09-28
I opened $Alibaba(BABA)$  ,I opened $Alibaba(BABA)$  ,2 of 2 Auto assigned long call that’s ITM. Will prices continuing billing next week or is it due for a correction. Current game plan: If price corrects, close one contract of march’25 CC and change to selling monthly CC. If price continuing rally, do nothing and wait out.
avatarPilates
2024-02-08
$Alibaba(09988)$ $ALB.HK 20240429 67.50 PUT$   Closing for a profit , will revisit when the price hits a better level. 
avatarPilates
2024-06-08
$GME 20240607 70.0 CALL$  lol when u want to participate in meme stock and fall asleep. πŸ˜‚πŸ˜‚πŸ˜‚πŸ€¦πŸ»β€β™€οΈπŸ€¦πŸ»β€β™€οΈπŸ€¦πŸ»β€β™€οΈ controlled losses since it's a buy call. 
avatarPilates
2024-08-28
$NVIDIA Corp(NVDA)$  disregarding fundamentals and what the news is saying. The price action seems to point NVDIA to go πŸ‘‡πŸ»πŸ‘‡πŸ»πŸ‘‡πŸ». Price may see more down before continuing up 
avatarPilates
2024-09-23
I opened 2 lot(s) $TCH.HK 20250328 430.00 CALL$  ,Looking for a short term pullback . πŸ€πŸ€πŸ€πŸ€ Selling CC about 10% above current stock price.
avatarPilates
2024-08-18
I closed $Sea Ltd(SE)$  ,Shares got called away . Let’s see what happens next
avatarPilates
2024-08-18
I closed $SE 20240816 72.5 CALL$  ,Exercised πŸ₯²
avatarPilates
2024-08-17
$Sea Ltd(SE)$  Looks like my SE gonna get called away tonight at 72.50 + $3.23 premiums . πŸ₯²
avatarPilates
2024-08-30
$TENCENT(00700)$  Price keeps stalling at prior gap region. Just needs abit more of a push to $390 . Go go go πŸ™ŒπŸ»πŸ™ŒπŸ»πŸ™ŒπŸ»πŸ™ŒπŸ»πŸ™ŒπŸ»πŸ™ŒπŸ»πŸ™ŒπŸ»
avatarPilates
2024-11-10
I closed $PLTR 20241108 38.0 PUT$  ,Option expired and full premiums in the pocket ;)
avatarPilates
16:08
I closed $PAI.HK 20250127 41.00 PUT$  ,3 days to expiry, decided to close and Not wait for it to expire worthless. 
avatarPilates
2024-10-01
I closed $AI 20241004 25.0 CALL$  ,Taking profit for this CC. Next resistance to break is $26, will probably reopen this CC at $26 or higher depending on price movement tonight;)
avatarPilates
2024-05-31
$AI 20240531 21.0 PUT$  Closed out my 8 point wide strangle yesterday pocketing almost full premiums for short put and 69% on my CC.  Looks like price is heading towards $31 range again. May sell a 16delta CC since this is already in the green:) 
avatarPilates
2024-07-24
I closed $TCH.HK 20250328 420.00 CALL$  ,The CC that I sold on impulse as I think I could have entered on a better priced action day. Nonetheless 41% profit is good enough for now!
avatarPilates
01-09
I closed $BABA 20250117 82.5 PUT$  ,Closed on impulse. lol πŸ˜† 
avatarPilates
2024-09-19
I opened $BABA 20240927 84.0 CALL$  ,4 out of 4 option placement for Call Broken wing strategy which takes out risk on one side. In this case it’s the β€œbearish scenario” or in my opinion the pull back. This strategy involves : * 1 Buy call above stock price * 2 Sell call at where u think the price may hit on expiry * 1 Buy Call slightly below ur Sell call. It’s a credit strategy with limited loss. Current stock price : $87.64 Buy call $91 strike : -$0.50 premium Sell call x 2 $85 strike : $3.33 and $3.35= $6.68 Buy Call $84 strike : -$4.05 Total received : $2.13*100 =$213

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