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1.28K
General
逆天邪神云澈
·
08-10
$AMD 20260814 450.0 PUT$ Naked put - hope it expires worthless and I get to keep the $592 premium without the obligation to buy the stock  I don't just want a lucky win—I want consistent profits. I'm willing to put in whatever effort is required to achieve that. My goal for Aug is to earn $10,000 (including premiums paid to close the options). June / Jul 2026: $1,721 / $26,431 Aug 2026: $15,195
AMD PUT
08-10 21:34
US20260814 450.0
SidePrice | FilledRealized P&L
Sell
Open
5.92
1Lot(s)
--
Closed
Advanced Micro Devices
$AMD 20260814 450.0 PUT$ Naked put - hope it expires worthless and I get to keep the $592 premium without the obligation to buy the stock I don't j...
TOPPSG2010: 450 is spicy lol I sell AMD puts too, but lower. You really want assignment there?
2
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1.22K
General
逆天邪神云澈
·
08-10
$CRWV 20260814 75.0 PUT$ Earnings play - Hope it expires worthless  I don't just want a lucky win—I want consistent profits. I'm willing to put in whatever effort is required to achieve that. My goal for Aug is to earn $10,000 (including premiums paid to close the options). June / Jul 2026: $1,721 / $26,431 Aug 2026: $15,300
CRWV PUT
08-10 21:41
US20260814 75.0
SidePrice | FilledRealized P&L
Sell
Open
1.05
1Lot(s)
--
Closed
CoreWeave, Inc.
$CRWV 20260814 75.0 PUT$ Earnings play - Hope it expires worthless I don't just want a lucky win—I want consistent profits. I'm willing to put in w...
TOPwobee: 75 got buyers for a reason. I’m bullish, but can you keep this pace every month?
1
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1.15K
General
逆天邪神云澈
·
08-10
$BABA 20260821 117.0 PUT$ Hope to add more to my portfolio  I don't just want a lucky win—I want consistent profits. I'm willing to put in whatever effort is required to achieve that. My goal for Aug is to earn $10,000 (including premiums paid to close the options). June / Jul 2026: $1,721 / $26,431 Aug 2026: $15,589
BABA PUT
08-10 21:44
US20260821 117.0
SidePrice | FilledRealized P&L
Sell
Open
1.09
1Lot(s)
--
Closed
Alibaba
$BABA 20260821 117.0 PUT$ Hope to add more to my portfolio I don't just want a lucky win—I want consistent profits. I'm willing to put in whatever ...
TOPfluffix: I added on the post-earnings dip too, odds look good here. You letting the puts expire or buying back early?
1
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1.03K
General
LiverpoolRed
·
08-10
$SPCX 20260814 135.0 PUT$ selling put option to earn premium and leveraging my share price 
SPCX PUT
08-10 22:24
US20260814 135.0
SidePrice | FilledRealized P&L
Sell
Open
6.10
1Lot(s)
--
Closed
SpaceX
$SPCX 20260814 135.0 PUT$ selling put option to earn premium and leveraging my share price
TOPflixzy: I sold the 130 put too, 135 for 6.1 feels richer. You playing assignment or just farming theta?
1
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8.84K
Hot
Optionspuppy
·
08-10
$NVIDIA(NVDA)$ 🐶📉 Why I Just Sold NVDA to Take Profit — Daily Chart + Minute Chart + My Cash-Secured Put Plan Today I decided to take profit on NVDA at around $219.20 🐶💰. I only sold a tiny fraction of my position, but the reason is important: I want to lock in gains while the stock is showing signs of short-term weakness. My next plan is to sell a cash-secured put at the $195 strike and collect premium while waiting for a better entry price. 🦴📊 📈🐶 What I Saw on the Daily Chart Looking at the daily chart, NVDA recently rallied strongly and moved above the $222–223 resistance area 🚀📈. However, today’s candle pulled back after touching that region. The stock is now trading around $219, which is below the recent intraday high. That tells me mome
NVDA
08-10 23:42
USNVIDIA
SidePriceRealized P&L
Sell
Close
219.20+23.20%
Closed
NVIDIA
$NVIDIA(NVDA)$ 🐶📉 Why I Just Sold NVDA to Take Profit — Daily Chart + Minute Chart + My Cash-Secured Put Plan Today I decided to take profit on NVD...
TOPOptionspuppy: @Shernice軒嬣 2000 mummy nvdia stalling maybe
10
Report
4.95K
General
Mathematical Money
·
08-11
$ORCL 20260821 119.0 PUT$ Releasing some cash. Taking profits on this almost worthless sell put 
ORCL PUT
08-11 00:17
US20260821 119.0
SidePrice | FilledRealized P&L
Buy
Close
0.18
2Lot(s)
+95.26%
Closed
Oracle
$ORCL 20260821 119.0 PUT$ Releasing some cash. Taking profits on this almost worthless sell put
TOPAnnaMaria: Used the put premium to add shares too, nice cleanup. You still selling puts here?
3
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5.19K
General
mster
·
08-11
$SPCX 20260821 115.0 PUT$ Last week both my SPCX cash secured put contracts expired worthless as its share price rebounded after the lock up period.  While I sell CSP on SPCX, I have yet to have an idea at what price point do I really want to own the underlying.  Will set my strike price as resistance and support level, and depending on price action where the price will be at time of expiration to decide if to take on assignment or to roll it if the share price do drop below my strike. This new CSP included.  
SPCX PUT
08-10 21:50
US20260821 115.0
SidePriceRealized P&L
Sell
Open
1.80--
Closed
SpaceX
$SPCX 20260821 115.0 PUT$ Last week both my SPCX cash secured put contracts expired worthless as its share price rebounded after the lock up period...
TOPJoy34: I sold the 110 put too. 115 feels fine only if IV stays bid though
2
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11.22K
General
mster
·
08-11
$AMD 20261218 450.0 CALL$ Closing a call on AMD that was bought 2 weeks ago. This call was a lot more profitable when few days back, unfortunately The share price been declining and has dipped below my to close level.  Smaller profit better than back to negative which I often ended up with and kicking myself for that.  
AMD CALL
08-10 22:36
US20261218 450.0
SidePriceRealized P&L
Sell
Close
90.00+8.42%
Closed
Advanced Micro Devices
$AMD 20261218 450.0 CALL$ Closing a call on AMD that was bought 2 weeks ago. This call was a lot more profitable when few days back, unfortunately ...
TOPYNWIM: Smaller green is still a win lol. What % did that 90 sell lock in?
4
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615
General
PawsAndProfits
·
08-10

MCD is more than just a fast food business?

Disclaimer: Nothing I say or post should be considered financial advice. Please do your own due diligence before making any investment decisions. We have always known MCD as the dividend king, or a “blue chip” stock. With that mindset, investors often doubt it’s potential to grow in the future, compared to its counterparts. However, this author has an interesting perspective to share. We could see MCD as a REIT as well, with its extensive real estate holdings d/t its global influence. So perhaps it has potential to pivot and offer shareholders even more heading into the future. Are you loving it? I definitely am loving it. This is one of the stock which provides me consistent profit through selling put options over the past 6 months. As everyone is chasing that new darling stock, when AI i
MCD is more than just a fast food business?
TOPzaza10: Been selling MCD puts too, and the real estate angle makes it easier to sit tight. Feels way calmer than chasing AI lol
2
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1.56K
Selection
orsiri
·
08-10

Datadog’s 19% Reality Check

When a great quarter becomes a bad result I have always thought Datadog was one of those software companies where the business can do almost everything right and still annoy investors. That peculiar talent was on full display after its August 6 results. Revenue jumped 36% year on year to $1.12 billion, beating expectations, while adjusted, non-GAAP EPS came in at $0.65 versus $0.58 expected. Management also raised full-year guidance for the third consecutive quarter. When your biggest customer can build the competition itself The reward? The shares fell 19% over the two sessions after earnings. That is not the market declaring $Datadog(DDOG)$ a busted business. It is the market discovering, rather painfully, that when you pay a premium price, even
Datadog’s 19% Reality Check
TOPRandyHall: still holding DDOG, 19% down just made it less stupidly expensive lol
4
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1.55K
Selection
Optionspuppy
·
08-10

🐶📈 Why I Sell a Long-Dated PLTR Put 15 Months Away — The Options Puppy Way SG61 Trading Arena for SGX Listed Securities!

When people see that I sold a PLTR put expiring 15 months away, they often ask me, “🐶 Why not sell a weekly put and collect premium faster?” My answer is simple: I prefer getting paid today while giving my investment thesis more time to work. I am not trying to predict tomorrow’s price movement; I am trying to build income patiently, just like an Options Puppy waiting for treats to come over time. 🦴💰 🐶💡 My First Rule: I Must Be Willing to Own PLTR Before I sell any put, I ask myself one important question: Would I be happy to own 100 shares if assigned? 🤔📊 If my answer is “no,” I do not sell the put. Selling a put means I may have to buy the shares later, so I treat it as a real investment decision, not a lottery ticket. 🎯🐾 For PLTR, I believe the company has long-term growth potential in
🐶📈 Why I Sell a Long-Dated PLTR Put 15 Months Away — The Options Puppy Way SG61 Trading Arena for SGX Listed Securities!
TOPjoozy: Curious how you size this one though - what share of your options book is tied to this PLTR put?
1
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834
General
Shyon
·
08-10
I’m choosing A:Yes, earnings growth will keep driving the S&P 500 higher. What encourages me most about J.P. Morgan’s 8,000 target isn’t the number itself, but the stronger earnings behind it. With more than 85% of companies beating expectations and EPS forecasts rising, the rally is increasingly supported by fundamentals rather than valuation expansion. I also think the AI story is entering a more important phase. It’s no longer just about AI spending, but whether that spending translates into cloud growth, stronger backlogs & real revenue. I’ll continue watching GOOGL, AMZN and MSFT, alongside AI infrastructure names like AMAT and CRWV. That said, I won’t chase the index simply because Wall Street raised its target. CPI & Treasury yields remain key risks. I’ll stay invested,
I’m choosing A:Yes, earnings growth will keep driving the S&P 500 higher. What encourages me most about J.P. Morgan’s 8,000 target isn’t the number...
TOPtwixzy: Same read here — if AI spend starts showing up in cloud revenue and backlog, 8000 feels earned. AMAT and MSFT are the right tells, ngl
2
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833
General
Shyon
·
08-11
For me, $Advanced Micro Devices(AMD)$ remains the most attractive long-term play. The post-earnings pullback looks more like an expectation reset than a fundamental problem, with Data Center revenue up 107% and Helios offering another potential catalyst. After such a strong run, I’d rather DCA on weakness than chase. $Lumentum(LITE)$ is the more aggressive bet. The 1.6T optical opportunity is exciting as AI clusters scale, but after a 127% YTD rally, expectations are high. I’d want strong FY2027 guidance before adding. $CoreWeave
For me, $Advanced Micro Devices(AMD)$ remains the most attractive long-term play. The post-earnings pullback looks more like an expectation reset t...
TOPNicoleBryce: 107% is strong, but I already trimmed AI chips. You really think that data center pace holds into next year?
4
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1.54K
General
Shernice軒嬣 2000
·
08-11

Bessent Playbook: Fixing the Yen & Taming Yields during QT 📉🇯🇵🇺🇸

This is ​a completely new macro setup right now:  We are seeing QT happen while US Treasury yields drop, the Japanese Yen stabilizes, and bond yields/stock markets rally. But instead of a broad-based pump, this rally is rewarding actual cash-flowing giants printing record profits. Once the market starts aggressively pricing in a September pivot, rate-sensitive plays are gonna fly. Gotta get ahead of the crowd before the real move happens. 📈 This is exactly why I'm so bullish on rate-sensitive stocks right now. Loading up and buying aggressively and steadily. 📈 Of cos the risk is there....  $Upstart Holdings, Inc.(UPST)$   $Affirm Holdings, Inc.(AFRM)$  
Bessent Playbook: Fixing the Yen & Taming Yields during QT 📉🇯🇵🇺🇸
TOPOptionspuppy: Oh ya yen lower yields
8
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921
General
Shyon
·
08-11
I’m most interested in $COHERENT(COHR)$ . AI data-center demand continues to drive strong growth in optical connectivity, and I like COHR’s exposure to the expanding bandwidth requirements of AI infrastructure. For earnings, I’ll be watching whether EPS can beat expectations and, more importantly, whether management raises its outlook. Strong demand for AI-related optical products would give me more confidence that the growth story can continue. I’m bullish on COHR over the longer term, although after its strong run, I’d rather add on meaningful pullbacks than chase a big move after earnings. For me, the key is whether fundamentals can continue to catch up with
I’m most interested in $COHERENT(COHR)$ . AI data-center demand continues to drive strong growth in optical connectivity, and I like COHR’s exposur...
TOPDreamBig572: I like the long-term setup too, but after that run I'd wait for a real pullback. If guidance only comes in clean and not stronger, does this valuation still hold?
4
Report
868
General
Shyon
·
08-11
$CapLand IntCom T(C38U.SI)$ would be my first choice among the Orchard Road S-REITs. I like its scale, diversified portfolio and blue-chip quality, while exposure to ION Orchard, Plaza Singapura and Paragon gives it a strong position in Singapore’s prime retail market. At around book value, I also think the valuation is reasonable for a REIT of this quality. What attracts me most is the combination of income and potential DPU growth. The Paragon acquisition should provide additional contribution, while lower interest rates could gradually reduce financing costs.
$CapLand IntCom T(C38U.SI)$ would be my first choice among the Orchard Road S-REITs. I like its scale, diversified portfolio and blue-chip quality,...
TOPjinglese: Been holding CICT a long while — the fixed-rate debt mix is the big plus for me too. Do you think the overseas office drag matters more than gearing here?
6
Report
1.72K
General
Barcode
·
08-11
$Rocket Lab USA, Inc.(RKLB)$ $SpaceX(SPCX)$  $AST SpaceMobile, Inc.(ASTS)$  🚀 $RKLB Q2 2026 earnings: 16.9% Move Priced In, Shorts Are Watching Rocket Lab $RKLB reports Q2 earnings after the close tonight, and this one has the ingredients for a serious volatility event. The stock has finished 5 of its last 8 post-earnings sessions higher, including a monster 34.5% surge following its May report. That reaction came after Rocket Lab delivered record $200.3M Q1 revenue, up 63.5% YoY, while backlog climbed to $2.2B. (Rocket Lab Corporation⁠) Now the market is demanding another step-up. 📊 Earnings setup: • Average post-earnings move: 12.1% • Optio
$Rocket Lab USA, Inc.(RKLB)$ $SpaceX(SPCX)$ $AST SpaceMobile, Inc.(ASTS)$ 🚀 $RKLB Q2 2026 earnings: 16.9% Move Priced In, Shorts Are Watching Rocke...
TOP1PC: Nice Sharing 😁 @Aqa @DiAngel @JC888 @Shyon @koolgal @Shernice軒嬣 2000
7
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282
General
Pinkspider
·
08-11
CPI Wednesday is going to make 90% of traders lose money before lunch. Here's the exact playbook so you're not one of them 👇 🧊 COOL PRINT (0.1% or below) Market gaps up ~+0.24% at the open. That strength gets sold, median −0.27% intraday fade. The reversal isn't real, though: cool prints ran +1.05% over the next 3 sessions, the strongest follow-through of any outcome 📊 Don’t chase the gap up. Let the morning sellers finish, the real move comes over the rest of the week, so buy the dip ✅ IN-LINE (0.2%, the forecast) Near-zero intraday drift, tightest range of the three. Vol bleeds out once the event risk resolves. 71% close green, highest rate of any bucket and still +0.55% over the next 3 sessions 📊 Buy the Intra-Day Dips 🔥 HOT PRINT (0.3%+) Gaps down ~−0.30% at the open. Every hot print s
CPI Wednesday is going to make 90% of traders lose money before lunch. Here's the exact playbook so you're not one of them 👇 🧊 COOL PRINT (0.1% or ...
TOPBaronLyly: I reran those 9 hot prints too — even red opens still bounced. Only thing I'd fade is chasing the first 15 min
1
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260
General
Pinkspider
·
08-11

TRADE PLAN

TRADE PLAN for Tuesday 📈 $SPX just finished up a 4th day of consolidation above 7700. The market may not break out of this current range until after CPI data premarket on Wednesday. MOST likely we see another range day tomorrow so just wait until we see CPI data before trading this week. SPX needs through 7800 to test 8000. $MU every pop higher gets sold near/above 900 the past week. Until we see MU close above 900 and hold for at least 3 trading days, Avoid trading the upside for it. $QQQ all time high is at 748. QQQ closed at 720.87 today. QQQ can trade in a wide range from 712-748 for now. It's a risk off environment for Chip and memory stocks until we see $MU and $SNDK lead again.
TRADE PLAN
TOPWalterD: Core CPI under 0.3% and 7800 probably goes fast. Till then cash gang feels right
2
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839
Selection
天天是周末
·
08-11

Intel Expands Stock Sale to $20B: How $95 Offering Price Guides Strike Selection

$Intel(INTC)$ is expanding its common stock offering to $20 billion at an anticipated $95 per share offering price. While massive $100 billion institutional demand underscores long-term backing, near-term equity dilution keeps shares trading near $97.52. The $95 institutional price acts as a critical valuation anchor that directly dictates option strike selection. IF YOU ALREADY OWN THE SHARES If you hold 100 or more shares, selling a covered call (selling the right for someone else to buy your shares at a set price to collect immediate cash income) monetizes high implied volatility while buffering against dilution. Strike Selection: Choose strikes cleanly above the $95 offering price and current spot level, such as the 32-day $102 Call (bidding a
Intel Expands Stock Sale to $20B: How $95 Offering Price Guides Strike Selection
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