逆天邪神云澈
逆天邪神云澈
BSc in Real Estate. Currently working in a property developer company.
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$NVIDIA(NVDA)$   The most profitable stock in my portfolio but I am still holding tight to ot. Target price to take profit - at least above 220.
$CRM DIAGONAL 260618/260731 PUT 180.0/PUT 175.0$ Rolling down my strike price to a further expiration date. Setting a goal for June 2026: to collect more than $1,000 in premium (including premiums paid to close the options). Collected to date: -$1,569
$PYPL 20251031 67.0 PUT$ Bullish on pypl and decided to sell more puts to earn the premiums. Doubt it will drop significantly next week [Miser]  
$CRM 20260717 210.0 CALL$ Intend to lower my strike price  Setting a goal for June 2026: to collect more than $1,000 in premium (including premiums paid to close the options). Collected to date: -$1,622
$UNH 20260410 292.5 CALL$ Rolled to a higher strike price 
$NVIDIA(NVDA)$ considering to sell some shares to release the margin to buy into other stocks. But will monitor and see how...
$PYPL 20260731 50.0 CALL$ Covered call Setting a goal for June 2026: to collect more than $1,000 in premium (including premiums paid to close the options). Collected to date: -$1,807
$NVDA 20260612 215.0 CALL$ Lowering my strike price  Setting a goal for June 2026: to collect more than $12,000 in premiums (including premiums paid to close the options). Collected to date: $5,904
$NOW 20260612 84.0 PUT$ Give it another 3 months,  the share price ought to be above 100. If have $$$, can consider to buy the shares by selling put . Premium collected can use to lower your cost price 
$Duolingo, Inc.(DUOL)$ Strategy: going to sell covered call to earn premium while waiting for the price to recover[Miser]  

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