0.0736.49
1.0663.0
Total Profits:
$671.75
-$40 Loss
NUANLong Option
hoop121

Entry comments: followed unusual call buying. got burnt

Exit comments: expired worthless

000

Broker:Zecco
$92 Profit
FIOShort Option
hoop121

Entry comments: PART OF 1X2 PUT SPREAD. Sold these to finance a $25 put I bought to hedge my $20 strike position

Exit comments: expired

000

Broker:ETrade
-$125 Loss
FIOLong Option
hoop121

Entry comments: Bought as hedge on my $20 short puts. Part of a 1x2 Put spread. Sold 2 MAR 22.50 puts to finance it.

Exit comments: expired worthless

000

Broker:ETrade
$219 Profit
IPSUShort Stock
hoop121

Sold 1/2 at 5.54 and the other 1/4 at 5.32. Triangle breakout to the downside triggered at 5.76

000

Broker:ETrade
$36 Profit
VXXShort Option
hoop121

Entry comments: VIX did not confirm the dip which is bearish for the VIX. put this on as a hedge for my put premium. this makes my position a Long Iron Condor, but not near as profitable as it would have been had I put it on when I traded the Put side of it.

Exit comments: Max Gain: $35.83; 6.98% of trade; 1.55% of account Max Loss: $513.36; 22.18% of account only 2 days from expiration and VIX has to make a 10% move in order to max out the losses

000

Broker:ETrade
$35 Profit
AAPLShort Option
hoop121

Entry comments: just riding the AAPL train for right now Max Gain = $35.49; 7.64% of trade; 1.32% of account Max Loss = $464.51; 17.25% of account High loss factor, but a 3% loss in AAPL in 3 days is highly unlikely right now

Exit comments: AAPL hit highs of 448 and pulled back twice. Might try an Iron Condor next week if this thing starts to consolidate for a little bit

000

Broker:ETrade
-$5 Loss
AAPLShort Option
hoop121

Entry comments: AAPL don't stop. IV increased today and thus did the options premiums Max Gain: $172.49; 52.57% of trade; 7.37% of account Max Loss: $327.51; 14.04% of account was trading about 443 when trade executed

Exit comments: AAPL has hit new highs and been hit right back down to lows of the day in two consecutive days. Looks bearish and neutral at best. Only needed to drop a few bucks in the next two days for this to be a big loser. Didn't think the risk to my portfolio was worth it anymore.

000

Broker:ETrade
$398 Profit
FIOShort Option
hoop121

Entry comments: big drop after earning, but hit support levels. wouldn't mind owning at $20. lots of Twitter bulls on this stock. AAPL sentiment

Exit comments: closed out early to free up margin

000

Broker:ETrade
$26 Profit
COSTShort Option
hoop121

Entry comments: another KOTM earnings play. this is one half of a Long Iron Condor trade is profitable if COST closes between 81.90 and 88.10 on March 16th. must close between 82.50 and 87.50 for max gain Max Gain = $62.98; 33.67% of trade; 2.34% of account Max Loss = $187.02; 6.94% of account

Exit comments: expired for full amount

000

Broker:ETrade
-$70 Loss
COSTShort Option
hoop121

Entry comments: another KOTM earnings play. this is one half of a Long Iron Condor trade is profitable if COST closes between 81.90 and 88.10 on March 16th. must close between 82.50 and 87.50 for max gain Max Gain = $62.98; 33.67% of trade; 2.34% of account Max Loss = $187.02; 6.94% of account

Exit comments: stopped out

000

Broker:ETrade
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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.