Flipped the calls on open due to weak pre-market trading, looks to close the gap before heading back up. Earnings report actually looks pretty good, holding 500 shares in 401k Rollover.
LOL, already went negative while I was typing this. Long term this is a buy.
LOL, already went negative while I was typing this. Long term this is a buy.
코멘트:
Looks to me it wants the gap just above $40. Will roll into some April calls and add some more in the 401k if it does.
액티브 트레이드:
Bought some March 29 calls on the gap fill
코멘트:
Double bottom, not what I was looking for. Will probably dump the calls tomorrow depending on what happens.
Probably waffles around in $40 - 42 area for a couple of months, don't anticipate a double top any time soon.
Probably waffles around in $40 - 42 area for a couple of months, don't anticipate a double top any time soon.
매매 수동청산:
Sold everything on open