Monday, 23 February 2015

Trades 23/02/15


Good trading today out the gate - enough to take rest of day off; sure, concentrated on a few too many tickers again out the gate, but worked out well, and it was less than usual ...


Trades: 

$SPPI bought puts Friday - you can read about it here $SPPI Puts

$RIGL in small - could be today's runner; float isnt quite small enough but it's big news; spooked out by not so favourable adam f tweet


$MHR gaps up but oil down hard and under $50, took some short premarket, not the best entries there, but great covers



$CYBR didnt really choose my entries properly so covered those entries you see on the chart for a loss (facepalm); I then added puts on that pop so overall profitable trade on it today


$CLSN had some o/n, sold some in the am as they had positive news, then added on a pop; it started to grind back so closed the trade for a loss; added back in later when momo slowed; i had to protect myself covering at highs, glad at least i got some back when it pulled



$RAVE close o/n position to focus on others; king of trade i need to stop making as it kept fading, no real reason to cover - target was $11 not $12

$RIGL swapped to short premarket as sentiment became negative; short leash, will add if .50s gives; didnt work; re-entered on a bounce with .60 risk; better entry, better trade; First day runner after all so had to take quick gains on flushes; those covers proved pretty decent as it bounced off to .60+ area afterwards

$AMAT calls again, smaller this time

$OREX had some calls from Friday which surprisingly sold for 50% even though stock was down 3% ... 

$ZIOP bought some shares for a quick flip and some calls on some $13 call buys - sold those for 15-20c

$OCN bought some $10 calls after it was unhalted, and flipped those for 10c

$GBSN flipped it twice, only once shows on chart (other time used IB)


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