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Economy stonks v19, ffs. nasdaq is murdered

lulz shoulda held andor bought more WISH. almost 100% in 1 day on the commons
 
lulz shoulda held andor bought more WISH. almost 100% in 1 day on the commons

sold at $10.80 damn it 700 shares.

also sold sofi before the pump today.

Bought tlry and clyne.

going ham on PUBM before the degenerates get on it
 
sold at $10.80 damn it 700 shares.

also sold sofi before the pump today.

Bought tlry and clyne.

going ham on PUBM before the degenerates get on it

they might not, pubm has no options. the wsb con is to get people to buy up shares after they bought calls.
 
they might not, pubm has no options. the wsb con is to get people to buy up shares after they bought calls.

Saw that will stay put. Probably won’t see big gains.

Looking for multi bags!

UWMC looks like a decent punt.

Clyne is going out of orbit just lol this is crazy man.
 
lmao fukk WISH SDC and ROOT would/were so good and I didnt hold my own shot-call cause I'm needlessly swamped with non-trading to be playing ball big.
 
pdsb caught a bunch of price target increases. still very undervalued.
 
i left money on the table getting cute with options. will self-flagellate later.

or i decided to risk free money for future more money. regardless, meh.
 
i left money on the table getting cute with options. will self-flagellate later.

or i decided to risk free money for future more money. regardless, meh.
I had the opposite. First day back at the desk and could hardly miss.

Left a ton on the table while making nice dough.

I would have legitimately made six figures in a few days if I had been allocated to my WISH and ROOT and SDC plays and not cash-away-trip, pulled the ripstop today when I said it was done and/or shorted off that moment.
 
Phew. Sold out of CLOV near open. Locked big gains.

Holding CLNE still. Will sell at open 2moro. Rug pull incoming lol.

Sitting heavy on cash. Now its more of a question of what's up next I guess.
 
PATK hit a high of about $98 back in May. Now it's down to $82 again. Nothing bad happened. Earnings were great. Just a volatile little fella. Might pick up a little more. Might not. Depends how I feel after I eat my egg sandwich and drink my coffee.
 
In recent months I've been DCA into AAPL, AMZN, COST, GOOGL and MSFT. Buy every other day.

I'm up on all of them but I'd be up a hell of a lot more if I just dropped all my cash into them when I decided to do this. GOOGL was like $2,000 when I started. Now it is $2,430. Will it revisit $2,000 again? Maybe - very likely not though.

The only one that really dipped below the price I initially started buying at was COST. AAPL only very briefly too.
 
$MVIS getting Dat Russell bump today.
 
siggghhhh left so much money on the table today.

Closed my PDSB short too soon.
Sold SOL up 4% instead of 15% lol
 
back to selling puts on cciv. sold all my uwmc and sold some puts on that, too. it's ironic how the wsb hordes keep messing with my options strategies. i was content holding that indefinitely, as long as i could get ~.1 otm contracts/month on them. but shit, i guess i had to sell and (and maybe rebuy) for these numbers.
 
Oil was down and vol way up, so I bought levered oil and made over a days work in like 20 seconds by some stroke of luck.
 
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