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Post by cosmic on Jul 26, 2011 16:10:22 GMT -5
I missed the afternoon session today so I don't have many thoughts at this point. No new trades. Hope everyone made some money today and will do so tomorrow. Members please post your results along with your RDA of smileys!
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Post by Clinton SPX on Jul 26, 2011 16:13:02 GMT -5
two scalps both barely green remaining equities -1%
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Post by demanuel2001 on Jul 26, 2011 16:18:49 GMT -5
Fairly quiet today - (before the close!) made back most of what I lost yesterday minus 1% yesterday plus a percent today. Scalped LVS shares. Sold out of my VXX calls for a nice game. Decided to buy a bunch of LVS weekly $50 calls. After the close I have to be up another 5% or so as LVS is up $2.50 AH - but that will get counted properly tomorrow as I cannot really price my options (well I could but don't care to).
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Post by sloop on Jul 26, 2011 16:26:13 GMT -5
i tried, i lost
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Post by maxi on Jul 26, 2011 16:32:47 GMT -5
Scalped a few sheckels off of FFIV. All cash again.
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Post by puurfectten on Jul 26, 2011 17:42:55 GMT -5
held my vxx calls...picked up a couple of erts 24 puts....
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Post by exabi on Jul 26, 2011 18:00:23 GMT -5
Nothing for me today...waffled with F in the lo 13's...saved myself $0.20...looks like I sold LVS a couple of bucks too early.
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Post by sneaker09 on Jul 26, 2011 18:08:34 GMT -5
no trades +1% today on paper
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Post by kryptos2009 on Jul 26, 2011 18:58:01 GMT -5
Bought 1 AGQ Aug 20 220.0 Call @ $15.00 (10:21am) Sold 1 AGQ Aug 20 220.0 Call @ $17.60 (13:24pm)
+15.68% / $238.52 ;D
1 Daytrade round trip used
All cash EOD
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Post by PoorHomey on Jul 26, 2011 19:05:41 GMT -5
I was tempted a few times but fought the urge.. AET reports tomorrow morning - I've traded this one about 20 times both long and short between ~$42.70 - $45 over the last 2 months with pretty good success but am far too chicken to be long OR short into earnings. Last few earnings reports were fairly dramatic so it might be a fun one to watch tomorrow AM.
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Post by davetherave on Jul 26, 2011 19:45:40 GMT -5
Portfolio was off about %1 today with BOX being the culprit and the rest mixed.
DAC mentioned in their earnings that container rates were soft for the quarter. I need to make sure the BOX story is still in tact. The stock looked like it wanted to test 14 anyway. So, we will see.
Two sells today...trimmed NGD and AGU.
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