Recent content by wjharris

  1. W

    Investing

    5/5 Buy RIG May 10 60 Put 100 @ .33 5/6 Sell RIG May 10 60 put 100 @ .35 I bought this antcipating a bad earnings report... In the morning I sold to take even a small profit because I did not like how this was trading in the morning hours. In retrospect I could have held longer and...
  2. W

    Investing

    4/29 Buy RIG May 10 70.00 put 40@ .98 20 @.85 10@@.77 4/30 Sell Rig May 10 70.00 put, 70@ 2.06 Almost bought BP but I knew it had Dividend protection. Figured this oil slick would surface all over the news and would hurt all companies involved. RIG was the owner of the drilling rig...
  3. W

    Investing

    4/27 Buy June 10 5.00 put 10@ 62 4/28 Sell June 10 5.00 10@ .70 Figured I could make a few quick bucks off the govt selling Citi shares. 4/28 Buy FLEX May 10 7.50 put 40 @ .27 Sell FLEXMay 10 750 PUY 40 @ .12 Shit trade, I am done with the company. Earnings brought the...
  4. W

    Investing

    4/22 Buy 10 May MSFT 31.00 Call @ 88 another to @84, and 15 calls @ .79 Sell 35 May MSFT 31.00 Call @ .94 I did think MSFT would rally into earnings, which it did. I probably could have waited for it to breakdown abit longer. I could have also held this trade longer for more profit...
  5. W

    Investing

    4/16/10 Buy 5 May 31.00 MSFT call @ .71 4/21 Sell 5 May 31.00 MSFT call @ 1.08 Bought this when it was down due to GS, It had nothing to do with GS figured since it would report it would go up. Sold before report, as I was happy with the profit made. 4/20 Sell 3 BP May 69 Call @...
  6. W

    Investing

    4/9 Buy 3 May 10 $60 Call BP 1.10 4/12 Buy 3 JPM May 47.00 Call 1.27 Buy 3 COL May 65.00 Call 1.65 Buy 2 V May 95.00 Call 2.15 4/15 Sell 3 JPM May 47.00 Call @ 1.94 Sell 2 V May 95.00 Call@ 2.69 Sold mostly because GE earnings coming 4/16 made me nervous on the market. Was...
  7. W

    Investing

    4/1 Buy 30 Apr C 4.00 Call @ .19 4/5 Sell 30 Apr C 4.00 Call @ .29 C was starting to get bullish, got a quick profit. 4/1 Buy 10 F Apr 13.00 Call @ .36 Sell 10 F Apr 13.00 Call @ .23 Got burned again. -.- 4/6/10 Buy 20 MEE Apr 50.00 Put @ 2.75 Sell 20 MEE Apr 50.00 Put @...
  8. W

    Investing

    3/30/10 Buy 10 F Apr 13.00 Call @ .67 3/31 Sell 10 F Apr 13.00 Call @ .40 Crap trade, just wanted to get out asap since I got the initial direction wrong. 3/30 Buy 14 C Apr 4.00 Put @ .12 4/1/ Sell 14 C Apr 4.00 Put @ .9 Same crap trade as Ford.
  9. W

    Investing

    3-23 sell 36 flex april put options at .8 pretty crappy trade, got caught in a nice rally. I also added money to a losing position, and used a large % on my portfolio in this trade. 3-23 buy 140 orcl april call options @ .32 3-25 sell 140 orcl april call options @ .40 Bullish market...
  10. W

    Investing

    Bought Flex 7.50 april put 10 @31, 11 @.39 Added to losing position.
  11. W

    Investing

    As of 3-14-10 Account Value $6506.21 Month to date 5.5% Year to date:4% Cash Balance:5173.39 Open positions: BP 22 @ 56.86 DSX 36 @ 14.89 Flex April 7.50 Put @ .39
  12. W

    Investing

    Hello, Background: 24Male, from Michigan, currently living in Iowa. I have always been interested in the stock market, and finance in general, it was also my major. I have only traded for one year, I am poor. and try to save and add money to my trading account whenever possible. This...
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