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  1. #2311
    Registered User BulkingIsHard's Avatar
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    Originally Posted by FFailed View Post
    Bought an absolute **** ton of 4/13 278p shortly after this near 280+. Just cashed out
    Wish I could day trade and make plays like this. So gay having to hold till the next day. Pretty much half my losses are from holding till the next day so I don't get pattern day trader restriction.
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  2. #2312
    Registered User SolidPaul's Avatar
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    Originally Posted by ReadyToLift2019 View Post
    Brah, these are the feels that I also know.

    IMHO I’ve been waiting for a drop that apparently wasn’t going to happen for too long so I went ahead and did my little bit of yeeting today when in reality I should’ve done it a week ago instead of being greedy/a holdout. YMMV
    I ended up getting a few OTM calls near EOD. Didn't make any other moves. Staying cash until market has a clearer direction.
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  3. #2313
    Lord of Ruin Humungus's Avatar
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    Originally Posted by BulkingIsHard View Post
    Wish I could day trade and make plays like this. So gay having to hold till the next day. Pretty much half my losses are from holding till the next day so I don't get pattern day trader restriction.
    How the f ck does that retarded pattern day trade rule still exist? BRB to prevent you from losing money we're not going to let you take profit from day trades. Makes total sense.

    I'm thankfully over 25k now but still have the hold overnight mentality. Make a killing daytrading then give a ton back simply from holding overnight and letting losses run. Uncanny how any big position I take overnight is pretty much a mortal lock to completely rape me.
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  4. #2314
    Registered User FFailed's Avatar
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    Originally Posted by BulkingIsHard View Post
    Wish I could day trade and make plays like this. So gay having to hold till the next day. Pretty much half my losses are from holding till the next day so I don't get pattern day trader restriction.
    Just don't try to make so many plays? I'm just trading in my ROTH IRA so I don't make many moves
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  5. #2315
    I hate caravans caravanbrah's Avatar
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    Anyone planning on buying big airline stocks over the next few weeks? I'm thinking of putting a couple grand into our national airline (air new zealand), its 51% owned by the government and just received a sizable bailout, so I think it should be safe.
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  6. #2316
    N3rd Op3rator twovalvekid's Avatar
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    Originally Posted by caravanbrah View Post
    Anyone planning on buying big airline stocks over the next few weeks? I'm thinking of putting a couple grand into our national airline (air new zealand), its 51% owned by the government and just received a sizable bailout, so I think it should be safe.
    I'd want yo see them starting to have more passengers again, and maybe get a little closer to reporting 2Q numbers and see how bad 1Q is. I could see them hurting for a while.
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  7. #2317
    Registered Abuser chino3's Avatar
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    Originally Posted by twovalvekid View Post
    I'd want yo see them starting to have more passengers again, and maybe get a little closer to reporting 2Q numbers and see how bad 1Q is. I could see them hurting for a while.
    This. LUV has already announced 50% minimum reduction of flights for JUNE...
    I believe we’ll see bigger or continued discounts from airlines outside of whatever will come in the next few weeks/months.

    Side note, threw a grand at PVH. They haven’t been this low since 2010, and have averaged 2.5x higher since then. Might as well see what happens
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  8. #2318
    N3rd Op3rator twovalvekid's Avatar
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    Originally Posted by chino3 View Post
    This. LUV has already announced 50% minimum reduction of flights for JUNE...
    I believe we’ll see bigger or continued discounts from airlines outside of whatever will come in the next few weeks/months.

    Side note, threw a grand at PVH. They haven’t been this low since 2010, and have averaged 2.5x higher since then. Might as well see what happens
    Chit being super low is why im just thinking no one is gonna dump on bad quarters, because they know theyre coming. But with airlines, eh. 2Q JUST started. And there is no end at least for a month. Then it will trickle back on.

    So...lets just say sometime in may/june the spigot comes on, slowly, then you get 2Q reports in july. Airlines may be a good dip in then im thinking? Just tossing it out there. They have a LOT of room to run. Im a big fan of delta (mainly because when i do fly they are generally the best experience i've had), and theyre barely above a 52 week low. Let alone anywhere close to the recent highs.

    On a side note, speaking of discounts, i'd get online right now and books some chit for later in the year if i knew there was any semblance of a light at the end of the tunnel.
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  9. #2319
    nah bro im sweat mike.hunt's Avatar
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    Originally Posted by iifymbro View Post
    playing oil options right now is peak degenerate stuff, right up there with 50-100x leverage bitcoin derivatives
    they dont expire til Jan 2021 im not yolo'ing on weeklies...so just halfway degenerate
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  10. #2320
    Registered User ontclone's Avatar
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    Originally Posted by caravanbrah View Post
    Anyone planning on buying big airline stocks over the next few weeks? I'm thinking of putting a couple grand into our national airline (air new zealand), its 51% owned by the government and just received a sizable bailout, so I think it should be safe.
    damm that is very smart play man, might looked into it but i dont think i can even buy new zealand stocks lol. there is no way the gov is going to let it sink. pretty much risk free
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  11. #2321
    test the limits RobParks2M's Avatar
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    Originally Posted by ReadyToLift2019 View Post
    Brah, these are the feels that I also know.

    IMHO I’ve been waiting for a drop that apparently wasn’t going to happen for too long so I went ahead and did my little bit of yeeting today when in reality I should’ve done it a week ago instead of being greedy/a holdout. YMMV
    DCA BRUHHHH its priced in!

    Fuking lol at the losers making fun of people DCA'ing.

    Hopefully the degens talking mad chit despite buying one of the worst products on the market (x3 bull OR bear etfs) never comes back.

    Originally Posted by HMFIC_BROWSIN View Post
    If this somehow ends up being a V-shaped recovery.... I might chit myself lmao.
    When you, me, and Venom retire in 2022 @dow 40,000 who should we fly to visit and punch in the face first?




    But srs post time: my advice is don't get the FOMO rush now. Just wait, I think we will see a bigger dip as industries expected to hold up start to falter as well and we see the problems of lack of employment spreading further. Feds can't keep making bigger and bigger stimulus packages so at some point that party is ending too.
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  12. #2322
    Registered User BulkingIsHard's Avatar
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    Originally Posted by Humungus View Post
    How the f ck does that retarded pattern day trade rule still exist? BRB to prevent you from losing money we're not going to let you take profit from day trades. Makes total sense.

    I'm thankfully over 25k now but still have the hold overnight mentality. Make a killing daytrading then give a ton back simply from holding overnight and letting losses run. Uncanny how any big position I take overnight is pretty much a mortal lock to completely rape me.
    I think it's a restriction for margin trading. The problem is trades take up to 3 days to settle (I think 1 for options?), so you don't have your funds back immediately, and the broker assigns you margin so you can buy back in. Then takes the margin back when your trade has settled, so it's a zero sum game anyways, yet "margin trading" regardless. Funny how technology has made everything faster but this chit is still living before the digital revolution.

    Originally Posted by mike.hunt View Post
    they dont expire til Jan 2021 im not yolo'ing on weeklies...so just halfway degenerate
    Who was theta?
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  13. #2323
    Registered User MillerDecaXC's Avatar
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    Originally Posted by RobParks2M View Post
    DCA BRUHHHH its priced in!

    Fuking lol at the losers making fun of people DCA'ing.

    Hopefully the degens talking mad chit despite buying one of the worst products on the market (x3 bull OR bear etfs) never comes back.



    When you, me, and Venom retire in 2022 @dow 40,000 who should we fly to visit and punch in the face first?




    But srs post time: my advice is don't get the FOMO rush now. Just wait, I think we will see a bigger dip as industries expected to hold up start to falter as well and we see the problems of lack of employment spreading further. Feds can't keep making bigger and bigger stimulus packages so at some point that party is ending too.
    Yo ill join y'all. Been DCAing since early march. I was 95% in, just sold a bit today hoping for a pullback but still currently about 85% of my funds are in stocks/ETFs. Bought a bunch of DIA @ 182.22 on 3/23, 12 cents from the 52-week low. Wish I could shake the hand of the person that sold that to me.
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  14. #2324
    720 Crew topperstyle's Avatar
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    Originally Posted by RobParks2M View Post
    DCA BRUHHHH its priced in!

    Fuking lol at the losers making fun of people DCA'ing.

    Hopefully the degens talking mad chit despite buying one of the worst products on the market (x3 bull OR bear etfs) never comes back.



    When you, me, and Venom retire in 2022 @dow 40,000 who should we fly to visit and punch in the face first?




    But srs post time: my advice is don't get the FOMO rush now. Just wait, I think we will see a bigger dip as industries expected to hold up start to falter as well and we see the problems of lack of employment spreading further. Feds can't keep making bigger and bigger stimulus packages so at some point that party is ending too.
    Spent most of March dca into red territory and now things are great.
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  15. #2325
    test the limits RobParks2M's Avatar
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    ^75% in my investment account. I was close to 25% the week or 2 around the bottom due to combo of equities worth nothing and money pulled out. Started contributing more towards retirement accounts and moved some back into equities again. Friends at the company are sitting around 20% down or so and I'm still down like 7% or something for the year so I'm glad I moved stuff around a little.



    EDIT: Next thread gonna be titled DCA- everything priced in
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  16. #2326
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    Originally Posted by mike.hunt View Post
    they dont expire til Jan 2021 im not yolo'ing on weeklies...so just halfway degenerate
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  17. #2327
    Registered User CTSV648HP's Avatar
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    I got the FOMO feeling today. That means we’re headed down.
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  18. #2328
    Banned VegasLifter26's Avatar
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    bought in RTX...got a good price today..i feel like it will shoot up in the next year

    Also gonna add more to LUV if it drops next week
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  19. #2329
    test the limits RobParks2M's Avatar
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    Originally Posted by CTSV648HP View Post
    I got the FOMO feeling today. That means we’re headed down.
    Yep. Called out the rude posters who went short. Should mean big dumps imminent
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  20. #2330
    Registered User stevesteve12's Avatar
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    is Venom still short gold?
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  21. #2331
    Registered User sallgoodbaby's Avatar
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    Have spy puts for $240 until May 8th. Hodl or just sell at a loss?
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    what are the odds next week is a repeat of this week? 100%?
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    Originally Posted by sallgoodbaby View Post
    Have spy puts for $240 until May 8th. Hodl or just sell at a loss?
    i would hold, we aren't going much higher
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    Originally Posted by cool-beans View Post
    what are the odds next week is a repeat of this week? 100%?
    Not sure but my scheduled index purchase is Tuesday and I'm scared.
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    Squats Barefoot hardestgainer's Avatar
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    Originally Posted by RobParks2M View Post

    But srs post time: my advice is don't get the FOMO rush now. Just wait, I think we will see a bigger dip as industries expected to hold up start to falter as well and we see the problems of lack of employment spreading further. Feds can't keep making bigger and bigger stimulus packages so at some point that party is ending too.
    Agreed. I did my buying on monday but almost bought some more the last couple days but at some point we have to see another retraction in the market. The Fed is in overdrive right now but they cannot keep going like this for much longer, you'd think.


    One thing I started strongly considering today was buying some put options, has anyone been considering this to hedge? My brother made a fuk ton earlier this week on a RCL call option but looking at the puts were so expensive the break even point added too much risk. However there were a couple on SPY, and VOO had some relatively cheap and realistic ones, I also liked one for EAT who are up 70+% this week but could easily take another big hit potentially with bad news of shutdowns getting extended

    Side note: Ive never looked at options before on Robinhood because I stopped using that a couple years ago, but was on my brothers phone today, hooooly fuk I absolutely hated it. I passed the level 1 CFA exam yet was confusing myself
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    Originally Posted by cool-beans View Post
    what are the odds next week is a repeat of this week? 100%?
    Fed turning printers down a notch next week. https://www.newyorkfed.org/markets/d...tional-details

    Those massive gap ups pre-market might continue.

    Tbh, no idea. Bought a few calls to hedge but I'm gonna stay cash for now.

    AAL should've tanked hard today due to news about attendants having corona but guess what...up 10.41%.

    Literally do the reverse of what you're going to do and you'll make money lol.
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    Originally Posted by BulkingIsHard View Post
    I think it's a restriction for margin trading. The problem is trades take up to 3 days to settle (I think 1 for options?), so you don't have your funds back immediately, and the broker assigns you margin so you can buy back in. Then takes the margin back when your trade has settled, so it's a zero sum game anyways, yet "margin trading" regardless. Funny how technology has made everything faster but this chit is still living before the digital revolution.



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    More like who was Vega.
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    Originally Posted by SolidPaul View Post
    Fed turning printers down a notch next week. https://www.newyorkfed.org/markets/d...tional-details

    Those massive gap ups pre-market might continue.

    Tbh, no idea. Bought a few calls to hedge but I'm gonna stay cash for now.

    AAL should've tanked hard today due to news about attendants having corona but guess what...up 10.41%.

    Literally do the reverse of what you're going to do and you'll make money lol.
    I'm strongly considering spending some g's on puts but how irrational the market is giving me some pause. I really think a lot of companies that bounced back with the market will never be the same. So many zombie companies out there right now.
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    Next week is expiration time for the monthlies and there is an insane amount of open interest across the board. With this weeks massive rally there is going to be an usually large number of calls that will be ITM and exercised late next week before expiration which may create a lot of buying pressure. I wouldn't be surprised if this pushes the S&P500 over 2900 by end of next week. If we get a pull back early next week then im going to get some April 17 SPY calls on Wednesday in case my prediction is right. Then im going to open a bearish position right before market closes next friday. Maybe VIX calls.
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    Enjoy the day off mates
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