Well boys and girls, looks like a lot of kids will be on the playground this week. Good luck and may the odds be ever in your favor. -oxo

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Haha thought that was a morbid joke about the school’s reopening before I saw the image


Same here!!!!!

If I want to buy into one of these, do people typically buy before earnings calls? Or the after? Assuming after but just checking on what the gender approach is

Niceee! Thank you for the advice! I’m gonna get some puts lined up

Following - how do you anticipate a bad or good earnings call? Market research with a combination of financial statement analysis?

Let’s be clear: trading around earnings is speculation. Not investing.

But, if you understand the company’s business model you should be able to form a view on their quarter by looking at economic indicators or trade data that gives some insight. You can also look at how the stock is trading the week leading up to earnings to confirm or reject your view.

Then it comes down to how you want to play it and how much you want to risk. The goal isn’t to win every time - you wont. It’s to win more often than not and to have more upside than downside baked into each trade.

In the long run you’re not trying to kill it on every trade. You want steady capital appreciation and minimal losses. Gaining 20% or 50% on a quick spec trade is awesome. Take the money and run. Never let a good ITM position move against you without getting at least your original investment out.


Gonna be a blow out week. SPY put holders feel bad for you.

Are there any put holders left?

I mean I have one still on, but the opportunity cost of rolling out it so low it’s worth it to just let if hang around. Still, my broker’s MTM approach on it puts a drag on reported daily P&L.

My SNAP puts have October expiry, but still a little nervous. Will get some 7/24 OTM calls

I have puts againt both TSLA and Amzn. I don't think it's sustainable for both of them to maintain that level

It's like go big or go home lol.

IBM puts? Can’t imagine they have had a good quarter.

Pandemic aside, revenue is declining because they’re transitioning away from legacy business towards strategic imperatives, hence the higher margins

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Does anyone else have issues with E*TRADE showing after hours prices / values of options? For example, my HD put I bought Friday shows Day again of -$70, and out of nowhere today it’s -$300.


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To the yoloers reading this and trying to cause gamma squeezes: focus on tickers with low float and weeklies. Monthlies don't hit the right spot. Buy lots of near-OTM weeklies, preferably on Thursday or Friday. As the price goes up keep buying OTM at the same ratio to spot. Shares are fairly useless here, leaps too.

Do it on a ticker with a heavy put volume expiring in the near future too, ideally.


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Binance recently released Crypto lending, with 5-15% APY. Anyone here doing so with USDC or Tether for guaranteed 10% YoY gains during the next recession?

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