BANK OF AMERICA:
- Bought ROKU SEP 23 75 YOLO @ 230$
- Averaged ROKU SEP 23 75 Yolo @160$
- Sold both ROKU Yolos for 286$ (100$ Loss)
- Bought QQQ SEP 23 280 Put for 222$
- Bought SPY SEP 21 375 Puts for 276$
- Sold SPY SEP 21 375 Puts for 90$ (200$ loss)
bad trading day - in general.
TD AmeriTrade:
- Bought MMM Stocks (New Position)
- Bought SPY OCT 341 Put for 151$ (2 of them)
- Bought ROKU Stocks (New Position)
- Averaged DVN Stocks (Buying the dip in Oil/Natural Gas)
- Bought NOV YUMC 55 call for 140$
- Bought NXPI, ZS Stocks (New Position)
- Bought SEP 23 ZS 175 Yolo for 288$ (only trade that worked positive today - in a big way)
- Bought SEP 23 ROKU 76 Yolos for 266$ (2)
- Bought S OCT 30 Calls for 205$
- Added one more SPY OCT 341 Put for 136$
- Bought SEP 23 SPY 280 Put for 335$ and averaged later one more put for 235$
- Bought 2 QQQ SEP 30 270 Puts for 360$
- Bought LVS NOV 42 Call 198.
Bought too many hedges, may reduce few tomorrow.
e-Trade:
- Sold INMD, EDR Stocks (Took Profit)
- Bought EXPR, LCID and S (New Positions)
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