Friday, September 16, 2022

16 SEPTEMBER TRADES

 Bank of America: 

  1. Bought AA SEP 23 44 call for 126$
  2. Bought 10 AA SEP 43 Calls for 130$ and sold for 60$. Minor loss. 
  3. Averaged AA SEP 23 44 Call for 95$
  4. Sold AA SEP 23 44 calls for 146$ (for minor loss)
Bad Trades on AA

TD AMERITRADE: 
  1. Bought TLT DEC 115 call for 187$
  2. Sold CLF Stocks.
  3. Bought 3 MU OCT 60 Calls for 246$
  4. Bought MU, INTC, FUTU, VALE Stocks (New Positions)
  5. Averaged BMBL position by buying more stocks. 
e-TRADE: 
  1. Sold VIPS Stocks (Reducing china exposure)
  2. Sold MANU Stocks (Rumor about buyout did not pan out)
  3. Sold POSH Stocks (took profit)
  4. Bought more RDFN stocks (some of the housing related stocks are cheap buy)
  5. Sold FUTU Stocks (bought at TD Ameritrade to free up some margin balance)
  6. Sold ONON stocks (Keeping FTCH in the same space) 
  7. Bought DHT Stocks (adding oil exposure)
  8. Sold BOX stocks (Inv H & S didn't work)





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