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submitted 1 year ago by [email protected] to c/[email protected]
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So I included my original position my sales and my profits. I might have made more if I Hwang in there.

I bought more at .35 and that helped quite a bit. With short term options you only need a small move to make money. And the way this stock goes green 0.005% then red 0.005% profit taking is a good idea. One these days I will get burned.

But for now I made more in 2 days than I make in 2 months.

My main job is I am a teacher. So puts on the nexts generation.

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You can call me a regard. You can tell me I don’t know shit about fuck. All fine. But I’m not an alternative facts con artist like u/smartkuz. Come at me

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Yes, I’m still holding about $50,000 in RIVN calls expiring Sep ‘23.

PTON has recently significantly lowered its cost of goods sold. They have very competent management now. I don’t care if PTON is not technically oversold, it’s oversold. PTON’s setup is looking very much like SOFI, COIN and RIVN before their massive recent runs. Like SOFI, COIN and RIVN… PTON is very much a company I want to hold long-term.

I wanted to double my position today but I don’t have the buying power. My current position is worth about $14,500 in calls expiring Sep ‘23. See pics for proof.

As mods mentioned today, trading is not a team sport. Not encouraging anyone to follow my plays, simply sharing my recent run of successful trades and YOLOs because I’m a degenerate who lives to gamble.

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Im cashing out half of my Riot shares and going all in on Mattel stocks and holding till January 2024. With the Barbie movie coming out at the end of July, I think I can make a quick penny off it.

Thoughts?

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Was saved in the fall a little bit playing tsla earnings. Than I hoped onto the AI train. Now I’m in apple and adobe… I was green before the market dumped Friday

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