$mrna calls
STRIKE: $370
EXR: dec-03-21
TARGET: $377
MY POTENTIAL ENTRY:
after break of the
$367 resistance
STOP LOSS max 30%
if it can't hold above
the resistance
$ba CALLS
STRIKE: $202.5
EXR: dec-03-21
TARGET: $205
MY POTENTIAL ENTRY:
if it can hold above
the $201 support
STOP LOSS max 30%
if it can't hold above
the support
$aapl CALLS
STRIKE: $160
EXR: dec-03-21
TARGET: $161
MY POTENTIAL ENTRY:
after the break of
premarket highs
STOP LOSS max 30%
if it can't hold above
premarket highs
$amd CALLS
STRIKE: $157.5
EXR: dec-03-21
TARGET: $160
MY POTENTIAL ENTRY:
after the break of the
$158 resistance
STOP LOSS max 30%
if it can't hold above
the resistance
$spy CALLS
STRIKE: $464
EXR: nov-29-21
TARGET: $466
MY POTENTIAL ENTRY:
if it can hold above
premarket highs
STOP LOSS max 30%
$spy puts
STRIKE: $462
EXR: nov-29-21
TARGET: $460
MY POTENTIAL ENTRY:
if it breaks support
STOP LOSS max 30%
I TRADE WEEKLY OPTIONS everyday
FOR OVER 6 YEARS NOW
IN THE PREMARKET i CREATE
A PLAN BASED ON MY EXPERIENCE
OF THOUSANDS OF TRADES
WHEN THE MARKET OPENS
i watch my selection TO BREAK
A SIGNIFICANT LEVEL WHICH
INCREASES THE PROBABILITY
OF further CONTINUATION
to the next resistance
(target)
IF IAM in THE TRADE AND THE
STOCK IS MOVING AGAINST ME OR
NOT MOVING AT ALL I STOP OUT
AND MOVE ON QUICKLY
i USE THE 2 MIN TIMEFRAME
AT THE MARKET OPEN
i USE MOSTLY MARKET ORDER
WHEN PLACING THE TRADES
i ONLY USE LIMIT ORDER IF THE BID
AND ASK PRICE IS TOO WIDE
I USE THE POWER ETRADE PLATFORM
MOST profits i MADE IN
THE FIRST 30 MINUTES
MOST MONEY I LOST AFTER TRADING
LONGER THAN 30 MINUTES