Daily chart: SMA5 is attempting to cross SMA60, so a lot of resistance and rally. If it can cross, it will be an uptrend breakout. Otherwise, the temporary bump since Christmas fails, it will be a downtrend breakout.
Timing: usually the first time range to take profit is around 10:45-11ET. Volume is above average, expect to confirm uptrend, but could be a bull trap as this T/W. (Updated at 11amET: volume is below average now. So maybe the bull has ended.)
WARNING: options are extremely risky. I plan to sell them at the end of the day if there is any profit since the time value decays really fast. If hold it overnight, be prepared to cut this amount of money as loss.
Thanks for support! I just wanna to share one way to earn income without doing a full time job. DT is not recommended for most people, but long term investing using DCA (401K is one case) is strongly recommended. And understanding charts will provide you better entry and exit points.
Now is the best time to sell to open cash secured put options expired tomorrow if you can, and then use the money gained to buy call options expired next week.
This is golden spider pattern: SMA5,20,60 switch orders after the time marked by the vertical black line. BTW SMA20 is crossing over SMA60, is another confirmation of bull.
Irresponsible disclaimer: SS golden cross so holding long overnight, might sold 40% at 53.57 after market if it is reachable. Note: TDAmeritrade does not have after-market chart, etrade mobile app has.
Day trading is actually one of kind of swing trading. It uses the most zoomed/detailed hourly/mins charts. For none day traders, daily charts are good enough.
DCA: Dollar Cost Average. 401K is one implementation, i.e., depositing the same amount of money each period to buy various shares of equities. When the price of the equities goes high, the total investment value increases, but the same amount of money will buy less shares of equities this time; when the price of the equities goes down, the total investment value decreases in short term, but the same amount of money will buy more shares of equities.
History has back tested that DCA SPY will gain in long term (> 1 year).
Another interesting research about SPY: buying at close and then selling at open beats holding it always. In bear year (2008?), buying at close and then selling at open lose less than holding it always. This means the biggest loss days were intraday rather than overnight.
Irresponsible disclaimer: SS golden cross so holding long overnight, might sold 40% at 53.57 after market if it is reachable. Note: TDAmeritrade does not have after-market chart, etrade mobile app has.
Advanced topic to a novice: options. WARNING: extremely risky!!! I always consider the premiums paid to buy options as "LOSS" first, so I just use small amount that I have gained from stock to hedge my positions, not to bet the direction or momentum.
I usually hold both puts and calls, both long (buy to open) and short(sell to open).
Why both long and short? The worst enemy of holding an option is losing time value. Both long and short will avoid this a bit.
The most safe option operation is actually to sell to open cash secured put options. It almost equals to buy the underlining equity, but using price lower than current price. (It is more complicated than this.) If the equity keeps going up, you pocket the premiums. Someone did this to Apple 8 years ago.
I only uses its charts. My main account is Merrill Edge. I think they give me 100 free stock trading each month at least. So sometimes I bough and sold 1 share of TNA after market to play around.
Selling ETF has small fee. For TNA, $0.07 for 100 shares.
Advanced topic: options. WARNING: extremely risky!!! I always consider the premiums paid to buy options as "LOSS" first, so I just use small amount that I have gained from stock to hedge my positions, not to bet the direction or momentum.
I usually hold both puts and calls, both long (buy to open) and short(sell to open).
Why both long and short? The worst enemy of holding an option is losing time value. Both long and short will avoid this a bit.
The most safe option operation is actually to sell to open cash secured put options. It almost equals to buy the underlining equity, but using price lower than current price. (It is more complicated than this.) If the equity keeps going up, you pocket the premiums. Someone did this to Apple 8 years ago. finishstrong 发表于 1/24/2019 5:18:11 PM
Risk and capital management: - Before each entry, consider the potential gain AND LOSS, only proceed when potential gain is greater than loss, at least 2:1. - The first entry uses at most 10% of capital, better 1-2%. - Once buy order is fulfilled, set stop loss or at least have a mental one or buy put options as an insurance. In both cases, you pay premium for your protection. See here options are used for hedge your long positions, not to speculate. - Set a loss budge for each day. For me it is hundreds. Once the loss budge is reached, stop trading for today. Tomorrow is another (trading) day.
Risk and capital management: - Before each entry, consider the potential gain AND LOSS, only proceed when potential gain is greater than loss, at least 2:1. - The first entry uses at most 10% of capital, better 1-2%. - Once buy order is fulfilled, set stop loss or at least have a mental one or buy put options as an insurance. In both cases, you pay premium for your protection. See here options are used for hedge your long positions, not to speculate. - Set a loss budge for each day. For me it is hundreds. Once the loss budge is reached, stop trading for today. Tomorrow is another (trading) day.
留着钱玩options ---发自Huaren 官方 iOS APP
能详细说说option吗?都说那是大学水平,很好奇。
说真的别碰option,比赌博强点有限
非常感谢提醒,还没过股票这个小学水平,没准备玩option,就是好奇。
agree
paper trade then...
Agree.+1
DT一天顶全职一个月?
离首富不远了
能吹牛逼每天4%,就是傻X吧。
这个帖子鼓吹options,是害人帖子吧……
re。到时候把一群大妈忽悠的输的底裤都不剩,那玩意跟赌博似的
八年前学的,早忘了看过啥了。有MM要推荐,我在网上找了个单子,正好有ebook, 温故而知新。怕侵权,加点魅力,还是算侵权就删了。 ---发自Huaren 官方 iOS APP
你哪只眼睛看我鼓吹options? 我当年炒苹果果options, 头天赚几千,第二天周五输了了二万五。所以:玩option一定要用小钱。我一般是股票赚到的钱买。 ---发自Huaren 官方 iOS APP
mark
这位是被害妄想? ---发自Huaren 官方 iOS APP
今天周四。不负责任地根据我两个周四的实战经验,是”4%”天。8:54ET: 52.09-52.68. 设了个单买100x51.10, 主账户只够92x51.10.
今天打算趁高点卖点ESPP。昨天真是觉得钱到用时方恨少。如果买不起100股(1 round) 股票,level II直接忽视你,也没法卖call.
9:21ET: volume 34.04k.
9:29ET: volume 38.30k.
- 钱也分批入,永远有弹药。
- DT不能greedy. 见到1%
利必须走。
- 开盘后15-20分很volatile,不建议下单。 ---发自Huaren 官方 iOS APP
Daily chart:
SMA5 is attempting to cross SMA60, so a lot of resistance and rally. If it can cross, it will be an uptrend breakout. Otherwise, the temporary bump since Christmas fails, it will be a downtrend breakout.
你有阅读障碍吗?我哪有写每天? ---发自Huaren 官方 iOS APP
Volume is above average, expect to confirm uptrend, but could be a bull trap as this T/W. (Updated at 11amET: volume is below average now. So maybe the bull has ended.)
WARNING: I am bull biased today.
赌钱是技术活,大家看一下就好了。搞到跳楼就不好了。
- This is a candle stick chart.
- Blue volumes exceed red volumes - bullish for the day(WARNING: I am biased)/
隔三差五来传授经验 非常自信 不怕被拍 越战越勇
I don't know why you accused me. Which word is 想骗人?
WARNING: options are extremely risky. I plan to sell them at the end of the day if there is any profit since the time value decays really fast. If hold it overnight, be prepared to cut this amount of money as loss.
Thanks for support! I just wanna to share one way to earn income without doing a full time job. DT is not recommended for most people, but long term investing using DCA (401K is one case) is strongly recommended. And understanding charts will provide you better entry and exit points.
给MM递了个纸条,可否查收?
我相信你说的。这种帖子好些都是拉私人fund,偏偏就是有人信,总觉得自己是那个special的一个。
听她乱吹吧,要能维持3年都这个水平,我就跪了。
ok, wait for more details after the market is close.
mark.
炒股 is easy money, income.
健身有关的high tech startup can only burn money. I plan to make it a NGO project for high schoolers.
I don't need fund.
time will prove everything.
show me how is not clueless?
先quote一下你这句话。
Note: TDAmeritrade does not have after-market chart, etrade mobile app has.
didn't get ur point
Day trading is actually one of kind of swing trading. It uses the most zoomed/detailed hourly/mins charts. For none day traders, daily charts are good enough.
DCA: Dollar Cost Average. 401K is one implementation, i.e., depositing the same amount of money each period to buy various shares of equities. When the price of the equities goes high, the total investment value increases, but the same amount of money will buy less shares of equities this time; when the price of the equities goes down, the total investment value decreases in short term, but the same amount of money will buy more shares of equities.
History has back tested that DCA SPY will gain in long term (> 1 year).
Another interesting research about SPY: buying at close and then selling at open beats holding it always. In bear year (2008?), buying at close and then selling at open lose less than holding it always. This means the biggest loss days were intraday rather than overnight.
你老day trade 考虑一下commission 费用。。 TD 太贵了
I usually hold both puts and calls, both long (buy to open) and short(sell to open).
Why both long and short? The worst enemy of holding an option is losing time value. Both long and short will avoid this a bit.
The most safe option operation is actually to sell to open cash secured put options. It almost equals to buy the underlining equity, but using price lower than current price. (It is more complicated than this.) If the equity keeps going up, you pocket the premiums. Someone did this to Apple 8 years ago.
I only uses its charts. My main account is Merrill Edge. I think they give me 100 free stock trading each month at least. So sometimes I bough and sold 1 share of TNA after market to play around.
Selling ETF has small fee. For TNA, $0.07 for 100 shares.
这种不是什么advanced topics了。。 随便网上找个option basics, 就知道了。。
还有, sell options 是最不safe 的operation。。 我2008年就是sell options 破产的。。。
您老还是先switch to interactive broker 省点broker commission吧
Advanced to a novice.
Well, comparing with other options, cash secured put selling is the safest.
Did you do naked put sells? Used a lot of margin?
哪个put selling 不是cash secured?
你不sell naked puts 也可以, 你可以sell vertical。。但你看看max loss 和max profit就知道合不合算了, long term来说。。。
您老还是换个便宜的broker, 然后不要丢了自己的retirement fund
昏。都说股票交易commission free了。所以我主要交易股票。昨天CSR电话我,我问他要options discount.
Level 5可以naked.
retirement fund??? 连roll over都懒得做。只是举个栗子。
你要是非要上三倍margin个股求暴富,就算只买股票也有可能被wipe out。资金管理很重要,千万不能头脑发热all in.
越看她越像需要心理关怀的人,所以可能大家需要包容一点
原来你是东坡 ---发自Huaren 官方 iOS APP
DT的好处是每天收盘后现金在手。非DT反而只能被劫地当🐷。
Premarket 53.90-54.02, setting a sell order to sell 40%.
---发自Huaren 官方 iOS APP
不累at all
不得不说一句,记得MM发资产账户图,也是被拍得一塌糊涂,唉。发现了,现在只要是发炒股帖子,基本上都没什么好结果。其实lz还好啦,只是在一个帖子里分享自己的操作经验,我觉得总比那些所谓的明星毁三观的帖子强多了。至于谁愿意跟着lz一起玩儿,只要风险自己承担就好了。有些MMS进来提醒一下“跟风需谨慎”,也挺好的。不明白为什么一定要踩S谁才能罢休呢?
Sold @54.37, gain 二千多刀 ---发自Huaren 官方 iOS APP
我可没写每天。再说我又不是钱的奴隶,赚个没完。为什么不是每周有一天奋力赚四千,其它天想干吗干吗呢?
---发自Huaren 官方 iOS APP
👍
没关系了
---发自Huaren 官方 iOS APP
可否问下,DT到年底交税的话,是按百分之几交?谢谢。
算short term capital gain or loss.
Case by case. Usually 30%.
好吧,我看太多了,都是3天新鲜,自己想一套就觉得可行。看你炒股那么激动就知道是个新人。久了你亏的实在受不了了自然就没有发帖的动力。只是想说你自己没有赚钱就别瞎bb害人了。乱买乱卖绝对是亏钱的操作。牛市赚的还不如捂着的多。熊市亏的更厉害。
历史资产图不敢放,也没见你放任何历史交易截图。其他图都放的欢,就知道你自欺欺人了。
你如果交易了截图上来实打实的我不会说什么,可是你乱叫的话我觉得要提醒大家一下。
炒股帖子危害大多了好不好,去年那个简理财mm拉了个投资群,天天在里面宣传熊市将至,Cash is King,忽悠好多人在去年12月最低点清仓,然后眼睁睁看着大盘一路上涨,那都是真金白银的损失,比看个明星八卦严重多了。
听说你爱贴,是想人人都贴?你爱炫富,我可没不爱也不需要。发个帖子都想当control freak, 笑死人不偿命。
也没见你放任何历史交易截图?真敢说。我贴了一个好不好?
---发自Huaren 官方 iOS APP
真金白银,自己有脑子自己做主,别怨天尤人 ---发自Huaren 官方 iOS APP
Agree ---发自Huaren 官方 iOS APP
竟然没看到那个帖子呢,错过了一个亿的赶脚,呵呵
想说,如果凭着一个人的忽悠就跟风,亏了钱也只能当交智商税了吧。难怪这个世道都是会忽悠的赚钱,可怜了小白菜们。似乎人都是这样的“无知者无畏”啊。
明白为什么炒股贴要被踩了,谢谢解惑。
我不贴历史交易截图是因为操作秘密。我贴了账户资产历史图证明炒股是能赚钱的。我没有想教其他人怎样炒股。
你帖子标题说一天dt顶一个月,然后里面有没有任何证明,我只看到乱贴一气。我个人感觉你误导性太强,我只是提醒看贴的人而已。网上新人小白刚进入社会的每天数量不少,不想她们给误导了。
我的point是如果你不能长期consistant的盈利,就不能说可以取代朝九晚五。因为你今天奋力赚四千,下周就可能奋力赔四千。
同意这个,这个帖子里的操作看看挺有趣,但是标题太惊悚。光看这标题给人的感觉是LZ每天挣得都顶一个月。其实只是偶尔一天挣得顶一个月。操作不好的瞎跟风还会偶尔一天亏的顶一个月呢
194#
不贴历史交易截图是因为操作秘密???
post today's first premarket sell and current gain at #194.
--发自Huaren 官方 iOS APP
风验控制十资金管理x3 ---发自Huaren 官方 iOS APP
don't want to be a baozi
Risk and capital management:
- Before each entry, consider the potential gain AND LOSS, only proceed when potential gain is greater than loss, at least 2:1.
- The first entry uses at most 10% of capital, better 1-2%.
- Once buy order is fulfilled, set stop loss or at least have a mental one or buy put options as an insurance. In both cases, you pay premium for your protection. See here options are used for hedge your long positions, not to speculate.
- Set a loss budge for each day. For me it is hundreds. Once the loss budge is reached, stop trading for today. Tomorrow is another (trading) day.
都是好建议。同意。但是有最后一条不可能做到连续的DT一天顶全职一个月啊。熊市了跌的多涨得少咋办?