0.0014520.77
2.01000000.0
Total Profits:
$2,849.18
$490 Profit
TSLALong Option
EDawg34

Bought two contracts for $11.20 when the chart was curling downwards at 10:01am, and then averaged down with two more contracts at $7.75 per contract around 10:51am. So my average contract price was $9.475. Scary trade and pretty risky, but my gut was telling me there would be an eventual sell-off.

000

Broker:Robinhood
$254 Profit
TSLALong Option
EDawg34

Higher lows setting in after major oversold intraday chart. Was going to swing but decided to take my profits instead.

000

Broker:Robinhood
EDawg34

Box breakout with big volume blocks. Chased a bit and got out quick due to the size I was playing.

000

Broker:ETrade
$350 Profit
TSLALong Option
EDawg34

Followed the downward trend

000

Broker:Robinhood
-$50 Loss
FRGELong Stock
EDawg34

This was a very frustrating trade that still continues to haunt me to date (5/3). I bought this stock because it had spiked big in the mid morning on 4/22 with lots of volume, it showed up on my big percent gainers scanner, and it was a FGD. After it failed to be an ABCD pattern intraday, I decided to swing it based on the chart history of running after spiking big. Due to my stubbornness, I held into 4/25 way below my risk. So when 4/26 came, I just wanted to get out, which is what I did.

000

Broker:ETrade
-$100 Loss
SPYLong Option
EDawg34

It had been a while since I took a trade, so I was really wanting to trade something; anything really. So after a massive red day in SPY, I decided to make my first loto play...all I can say is that was dumb, Dumb, DUMB! Thought it may bounce and implied volatility might increase on expiration day. I was very wrong. Won't do that again, even if I'm only risking $100.

000

Broker:Robinhood
-$60 Loss
DWACLong Option
EDawg34

Tried for a FRD play, but I sold way too soon. Newbie move. Could have been a profitable trade if I had just been patient. Plus, I chased my entry at the end of the day on the 7th.

000

Broker:Robinhood
$235 Profit
AAPLLong Option
EDawg34

Took this trade because the stock double topped around $176 and then trended down hard to close red on the day and below VWAP. Additionally, the daily chart looked to be topping after having a multi-day run, and it was clearly having a FRD on the 3rd.

000

Broker:Robinhood
$561 Profit
NVDALong Option
EDawg34

First option trade was a success. My heart was racing trying to decide when to sell though. So I definitely need to work on the emotions. Got in after being alerted by Mark Croock. Stock had a first red day on the 7th that bounced off a key level of support around $271-$270. And today it gapped down below that level.

000

Broker:Robinhood
EDawg34

Bought this stock because it was a recent big % gainer on 12/2/2021, and the chart seemed to have found a bottom. Wanted to swing this play for a $1 plus per share gain, and risked around $12. Sold on 12/9 into a big volume push.

1
100

Broker:Webull
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*Results may not be typical and may vary from person to person. Making money trading stocks takes time, dedication, and hard work. There are inherent risks involved with investing in the stock market, including the loss of your investment. Past performance in the market is not indicative of future results. Any investment is at your own risk. See Terms of Service here.

Never attempt to copy or mirror the trades discussed on this website or in alerts. Attempting to do so may result in substantial financial losses. Alerts are not provided in real-time. For that reason, it is highly unlikely you will be able to buy the stocks at the same entry price, or sell the stocks at the same exit price, to achieve the same or similar profits obtained.