Swat Stocks (swatstocks)
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$BIDU - possible 111.5$ next week - a breakdown there, next target @ 105$ - on watch
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$PCLN - open gap @ 591-595$ from Feb, still open - it could be closed next week - watching 600$ breakdown
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$AAPL - believe we could see 542$ next week - under that could get nasty.... watch it
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$CRM - one to watch if 130$ holds - if dont hold, next target @ 122-124$ and will re-evaluate there
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$VIX > SMA200 @ 25.16 and above SAFE ZONE - Above 31 get ready for the real bloodbath - Watch it
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OPTIONS TRADING - SWAT WEEK REVIEW - MAY.29-JUN.01 - http://ow.ly/bjm5b
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GM Swat Team!
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GM Swat Team!
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$GLD - played GLD JUN.01 PUT SPREAD 154/152 and made 207% PROFITS with strategy posted on #SWATOPTIONS #CHAT - some still in progress
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$NFLX - today tried Jun.01 CALL 72.5 @ 0.88$ but was stopped at 0.75$ for 15% loss - it isn't ready yet - should have waited a bit more
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$AAPL - yesterday we bought $AAPL MAY.25 CALL 590 @ 0.22-0.25 and add some more - holding freebies now - I wonder how they will go today....
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$AAPL - we play downside yest. and today another play in progress that already hit 314% PROFITS - locked profits and holding free contracts
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$DELL - yesterday alert DELL JUN PUT 15 @ 0.57$ into #EARNINGS - closed position today @ 2.22$ (289%) but hit 2,68$ (370%) - #SWATOPTIONS
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$AAPL - yesterday we got MAY.25 PUT 525 @ 0.25$ - locked profits and hold free contracts for today - today we hit 0.75$ for 200% PROFITS
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$XHB - May.21 got on JUN CALL 20 @ 0.70$ - got out today at 0.92$ for 31% profits - could have waited a bit more because went to 1.12$ (60%)
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$DISH - yesterday got JUN CALL 29 @ 1.10$ because thought could be good but maybe a bit soon - cut today at 0.80$ and 27% loss
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$DELL - posted on chat I was bearish into #EARNINGS and looking for DELL JUN PUT 15 @ 0.53 - I couldn't resist and got it - AH @ 13.16$
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$AAPL - today at same time @ 12:55 EST post on chat my target on AAPL @ 555$ - we hit and our play gave 160% PROFITS - more play in progress
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$SPY - today @ 12:55EST post on chat my target on $SPY for today @ 131.5$ - we hit it and our play made quick 83% PROFITS - more in progress
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$X -- was in MAY.25 CALL 23 @ 0.31 for breakout but closed @ 0.28$ for 10% loss as I called intraday H&S and it would go down - was @ 22.5$