A few longs in play: 9923 HK 1760 HK 688680 CN 688598 CN NNDM XONE This might have a bit left in it BWA Might have a bit left in it
Sold out ADMS $7.50 calls, holding LSPD $75.00 calls and INTC looking ugly. In FUBO (by way of my protege) MRO, OXY and LUMN straight stock looking at.
I'm still holding $LUMN bought $CHGG, $DPW and $XRX for long plays(my long play could be 1hr to ? hr/s or day/s. On the short side $FSLR and $LHX.
Didn't get the fill on XRX and FSLR today don't know what glitch brokerage firm was encountering but it worked in my favour. Holding LUMN, DPW, GLW and LHX out CHGG.
On watch for possible move in MARA, SHIP(protege pick), CYCC long. To the short side NYT, NCLH and NOV.
I got a few in play listing to the upside HAL, DAL and INO. To the downside KR, MDLZ, BOX and SAP. This something I don't usually do but I'm long long in GD. Looking at a few HKG and CN burritos if you play these markets then let me know and I will post some.
2 trades in play today MU calls $97.00 and BIDU puts $215.00 & $212.50 puts. A new long play LMT still holding GD.
Im in $RETL do your own DD. $RETL correlates to S&P retail select industry index. Plays that are on my radar this week $NEE, DPW and SPG.
2 in play for me MS and QSR. MS above $83.00 should run and QSR pulled back with the shave today but should bet back up there and run.
Out of MS nice little run. Looking at GOLD and related gold plays because looks like things are getting abit heated if you know where to look, I'm not going into to specifics if you need to know ask and I will explain. I'm still in QSR.
Picked up $RETL for the recovery and holding going into tomorrow. I cut loose $YFI north of $78K and holding 2 shitcoins.
I knew pain was around the corner(post #338) just didn't expect it yesterday. I'm in 2 coins and don't give a shat about them otherwise I'm 100% cash and waiting to pounce.