Did well this last week, trading GOOG calls. Last trade was a buy Weds. 4/5/6 1145 410C@15.5, sold Thurs. 4/6/6 1229 for 17.2. After buy, did dip to 14.8, and didn't sell at the max gain time. But definitely a good trade. Thought Friday would see a drop on profit and unwillingness to hold over weekend. Could of played that with a Put purchase Thurs. eve, but didn't get in. Friday did a big drop, but the news floating around is too uncertain to have taken another Call over weekend, which would typically be a good play after this sort of week.
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Goog Apr 410 Call - bought at 0827, 0927 our time in Baja, for 13.30, sold at 1302, for 14.60. 10 contracts, total profit 1285.00. Total risk was 13300.00. GOOG was on a tear, obviously, and this nice gapped-up C&H gave me faith. It did get down to a ~2k loss at one point, not long after openning the position.
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In .73 at 1100 - out .80 1430. QQQ 41 mar C again.
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I can only get Options charts for the past month and forward, so here is a March 41 Call on the QQQQ. I could have held for $1, but couldn't take the heat, so prbably would have exited at .85, enter at .6, for 1 day 30% profit.
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So here we are at 11/2/5, Weds. Right about the bounce, but happend early, in 1st 1/2 hr. Then rode up. If I'd been smart enough to get in, would have been out on 1st red bar at 12noon, but would have got more kick if I'd waited 1/2 hr to exit. So, this is QQQQ itself from 10/31 to 11/2/5. Now let's look at one of it's options,
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Well! It gapped down, then stayed pretty flat all day, though the "rounding up" part I got right. Then it flattened into this tight range again. I'm expecting another bouncy day, down then up, relative to open. Am I just seeing the immediate past?
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QQQQ - This is 30min chart up to close on 10/31/05. Based on the c&h and last 30min action, I expect a possile slight rounding down with a rise to close higher next day. 31st is a monday, 1/2 way through lunar day.
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