Trinhinvests

198 posts

Trinhinvests

Trinhinvests

@Trinhvests

10 Year Value-Based Stock Investor/Trader 📈

Los Angeles, CA Katılım Mart 2025
32 Takip Edilen326 Takipçiler
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Trinhinvests
Trinhinvests@Trinhvests·
Bottom is in. Nearly 1M position, brought my position average all the way from 309-279. Happy to rest it here. Let’s ride. See you guys on the other side. $UNH
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Heisenberg
Heisenberg@Mr_Derivatives·
$LULU Trading at a 9 forward multiple now I believe. Trading below their Covid lows. Trading at levels lat seen since January 2019. Falling knife. Not for the faint of heart. If you must just use subway sandwich money on it or stay out. This name reminds me of DUOL, down down down down down….
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Trinhinvests
Trinhinvests@Trinhvests·
Rolled my 125 P to an extreme conservative 115 2 weeks out. Plan was to sell aggressive CCs at 125 but price action unforgiving Swing and a miss on this but should be able to come out of this alive in a couple weeks. $LULU
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Trinhinvests
Trinhinvests@Trinhvests·
@RolfOptions Rather conservative. I sell weekly contracts utilizing about 800-1M notional and generate 8-10k/week. 100k should generate at least 700-800/wk otherwise it’d likely be more beneficial to just put money in an index.
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Rolf Strasse | "Financial Freedom Books" Series
People that have never sold options cannot comprehend on the idea that these are average returns per month $3,000 = $45 $5,000 = $75 $10,000 = $150 $20,000 = $300 $100,000 = $1,500 Some months can be higher Some months can be lower But you will never have such returns if you have your capital sitting in the bank
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Trinhinvests
Trinhinvests@Trinhvests·
@ely77789 Would love to own it at 125 if stock decides to drop, will then run aggressive CCs
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Trinhinvests
Trinhinvests@Trinhvests·
Selling the 125Ps expiring 5/15 on $LULU. Wildly oversold here on the daily RSI, should have local bottom here and the 125 provides quite a nice buffer and great R:R from a valuation and technical point. Tying up $700k plus in equity for 8k in premium.
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Trinhinvests
Trinhinvests@Trinhvests·
Pains me to say but $PYPL fundamental story is not as bright as I’d hope. It seems @acce and management keep using macro as an excuse year after year while other companies are growing at a much rapid pace.
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Trinhinvests
Trinhinvests@Trinhvests·
Fun day. Started the day with 66.94 average and was able to play the dips and bounces to effectively reduce my average to 61.68. Took about 10k in total losses but small price to pay for where I’m taking this position. Back at a million plus in this position, have powder for 60s. $PYPL
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Trinhinvests
Trinhinvests@Trinhvests·
@SilentC52 Nothing I went heavy on this dip opportunity to lower my average. Now hold 1 million at a much lower average with still another million for powder if any further dips.
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Trinhinvests
Trinhinvests@Trinhvests·
Selling half at breakeven. Did a lot of averaging down to bring this to a very good average. Thanks Mr. market. $PYPL
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Trinhinvests
Trinhinvests@Trinhvests·
$NVO One of my core holdings. Just may have bottom-ticked this stock with $PYPL. Up 64k with NVO, 26k with PYPL. Let’s ride.
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Dividend Dynasty
Dividend Dynasty@DividendDynasty·
From >$80 back down to $65 after that last earnings report is crazy. Pay attention folks this might be the best opportunity to load up on cheap shares I think we’ve ever had… Are you buying? 🤔
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Trinhinvests
Trinhinvests@Trinhvests·
IYKYK. Makes me reflect on how far I’ve come from trading small $500 acc to multi million dollar trades.
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Trinhinvests
Trinhinvests@Trinhvests·
One of the biggest reasons I put millions of dollars into $PYPL and not $FI is deep dive into management, as is becoming more apparent in earnings call. All the right moves from $PYPL to reinvigorate growth with low valuation multiple. Post Dan Schulnn had inflection in all right areas
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