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    Dow TOP call - 10yr top formation done

    This is easy money on the es right now, still at 1134, we will be at 1128 by morning, going for some shut eye. goodluck
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    Dow TOP call - 10yr top formation done

    ES trading at 1136 right now 12:50am cst... my system just went crazy with short signals, if your awake, get out now! Mass sell off on way, first target 1125. Second target 1112. If anyone went long overnight for POMO consider getting out, the bear is here.
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    Nflx

    Missed a lot of this move, locked in profits in everything around 156.80. If today is related to the weekly options, then Monday or Pomo Tuesday might give another decent rally to short into. I will be waiting patiently for 160 to 164 area if we get there, before I scale into shorts again...
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    Nflx

    Looking to take profits in the 158 to 159 area today. Reshort more in the 164 to 165 area.
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    LDK blowout earnings thread, Aug 10th

    Bumpies.... getting interesting on LDK at $10.50 todays close. I am holding 12,000 shares long term, maybe sell half around $18. Goodluck
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    Nflx

    Actually, it was myself who posted how much I was down on the trade and then again I posted how much total I was down at end of day. The idea of scaling in and out and cost averaging is apparently completely lost to you. If you look at any fill I have posted on here, it has been within seconds...
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    Why do you believe in such things as wedges, triangles and inverted whatevers...

    I agree with the concept of this thread, although there is some statistical value to technical analysis, there's nothing there that price action and fundamental analysis wouldn't have already told you more accurately and more recently. Technical analysis formations are the after the fact result...
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    Nflx

    I obviously do not have perfect timing, trades don't always go your way thus my loss on nflx. If you want to make it so personal, all I can say is grow up. I would much rather spend my time actually trading, thinking about the next setup, managing portfolio, and risk exposure, than bickering...
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    Nflx

    Maybe.... but for now I like a short position for the next week or two. Back to -$536 for me, see pic. Lame that people on here want proof for mere hundred dollar moves. http://www.osutrader.com/nflx_sept23.PNG
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    Nflx

    I am not going to post every trade on here, my first position was in at 155.88, there was plenty of time to short nflx all day today in the 162 area. It's at 159.6 right now. I have a lot more excellent calls on this site than bad, so go ahead. It may not even get to 162 again tomorrow, but...
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    Nflx

    Closed all positions in nflx @ 159.49 Net loss $380. Look to reenter short tomorrow.
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    Nflx

    Take it easy, this is a very small position in my portfolio, I manage positions I do not trade in and out of one stock all day. I have a variety of long holdings and a variety of short holdings.. Yes I am down about $1200 on this trade so far, but my time frame can be weeks. I have no use for...
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    Nflx

    I don't use stops. I will add to the position or exit based upon price action and portfolio weighting. I normally keep between a 10 to 40% short exposure. I cover a position like this if i get down a couple thousand. I normally actively trade a portion of a position intraday for improving...
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    Nflx

    back to play nflx again Shorted 400 shares cost avg 155.88
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    Nflx

    Yikes, shorts be hurting today. Will probably re enter a small position here, but busy reshorting CRM with free cash at the moment.
  16. T

    Nflx

    Banked sept 140 puts @ 17.20 No position now. Will reshort at 129 area if it gets there. Goodluck.
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    Holy **** pcln

    Wasn't paying attention and missed the sell at 296 today. Hoping to get a chance to short pcln again if we come back to 296 area tomorrow, goodluck.
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    Potash Corp. rejects $130-share bid from BHP

    Bumpies anyone still holding this short from 149-150. I think we will be down to $130 within a week, just a feeling.
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    Crm

    I think it went lower than that, I was looking to close half in the morning and just sold based on watching the ticker... I reshorted 500shares between 112.8 and 113.3. I have been keeping short exposure at these levels but the price action gives you an opportunity to raise your cost average...
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    Crm

    banked half of position at 109.70 Still Holding short 1000 shares cost avg 111.47 Target 103
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