Stock Operator
6K posts

Stock Operator
@stockoperator88
I'm documenting the real-time growth of a $100,000 investment account created for my newborn son. Not Financial Advice.
เข้าร่วม Haziran 2020
241 กำลังติดตาม1.8K ผู้ติดตาม

I'm getting the hang of these Parabolic Shorts. Very satisfying to see the intraday play out exactly as I've studied. The framework of my setup version is based on @stamatoudism. I've added some additional criteria (Bollinger Band, ATRx & RSI) to his % Gain which works for me.


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@WaxlNakamoto It’s crazy how good it looks. ETH at 2k lmao…
Should go to 20
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Stock Operator รีทวีตแล้ว

For those who do investing full time:
- how long did you need to swap your 9-5 with investing biz?
- what made a difference for you? what advice you'd give to the rest of us who are pursuing this goal?
- is this even possible for 99% of us?
Having a full time job, family, errands, life outside - it all takes time. Is it even possible to make your hobby your primary occupation? Not talking just about buying and selling, it can be any type of work - people who do podcasts, write article, do research, create youtube videos, or anything else.
If you have any experiece trying to achieve this goal, regardless if you achieved it, or currently working on it, or switched to pursue other goals, please share your story.
I hope this brings value not only to me, but to anyone else working towards the same goal.
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04/18/26 Portfolio Update (19.8% YTD vs SPY/IWV 4.5%)
Call Spread - 11.8%
$XLF (Calls) - 2.3%
$NBIS (Calls) - 1.3%
TIGR (Calls) - 1.0%
$ZM (Calls) - 0.9%
CRWV (Calls) - 0.7%
U (Calls) - 0.6%
FXY (Calls) - 0.5%
PAGS (Calls) - 0.5%
CPNG (Calls) - 0.5%
GME (Calls) - 0.4%
PEGA (Calls) - 0.4%
QCOM (Calls) - 0.4%
$OKLO (Calls) - 0.3%
KLAR (Calls) - 0.3%
MITK (Calls) - 0.3%
STNE (Calls) - 0.3%
$SMR (Calls) - 0.3%
S (Calls) - 0.2%
ENPH (Calls) - 0.2%
TEM (Calls) - 0.2%
NVO (Calls) - 0.2%
GTLB (Calls) - 0.2%
CRCL (Calls) - 0.1%
Mag7 - 7.2%
$AMZN - 3.8%
$TSLA - 3.4%
Financials - 6.6%
$FIGR - 4.8%
RKT - 1.8%
Technology - 6.5%
TWLO - 2.1%
TTMI - 2.1%
AEVA - 1.3%
PATH - 1.0%
Crypto & Blockchain - 6.0%
BMNR - 3.0%
$MSTR - 2.3%
ORBS - 0.7%
Hydrogen - 4.8%
BE - 2.4%
BLDP - 2.3%
Space - 4.1%
IRDM - 2.7%
RDW - 1.4%
Battery - 3.8%
SGML - 2.9%
QS - 0.9%
Consumer Discretionary - 3.7%
CRSR - 2.1%
STUB - 1.6%
Nuclear - 3.7%
LEU - 1.9%
BWXT - 1.8%
Healthcare - 3.7%
UNH - 1.9%
NVO - 1.8%
Consumer Staples - 3.4%
ELF - 1.8%
CELH - 1.7%
Emerging Markets - 2.9%
SE - 1.7%
MELI - 1.2%
Solar - 1.7%
NXT - 1.7%
Long Call - 1.1%
FISV (Calls) - 0.8%
DPRO (Calls) - 0.3%
Materials - 1.0%
PANL - 1.0%
Indices & ETFs (Broad Market) - 0.4%
FRMM - 0.3%
QCLS - 0.1%
Fixed Income - 28.2%
BIZD - 3.5%
$STRC - 3.4%
EMLC - 3.4%
VWOB - 3.3%
SPHY - 3.2%
JAAA - 2.3%
FSCO - 1.8%
OXLC - 1.8%
AGNC - 1.8%
MGRB - 1.6%
MFA - 1.1%
FTAIN - 0.9%
Cash: 0.1%
What a welcome surprise as I made my move from America to Europe. I'm excited for this next stage in my life and this market. Everything did what it was supposed to do this week and I'm happy i was able to catch a lot of the upside.


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Stock Operator รีทวีตแล้ว

@Odtsaga @lufthansa Mine is showing the same thing, I am betting that it’s incorrect in my case. They will probably end up canceling the flight last minute.
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@lufthansa
Hi! If my flight on Tuesday the 14th is still showing as "on time" on my app, and I didn't receive any cancellation notification emails, that means it wasn't affected by the strike, right?
#Lufthansa #Strike
#Flight ✈️
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Despite all the doom and gloom about the world blowing up we are right on track for an average year currently in April. Actually we are outperforming by .06% LFG!
Green cycle day 3 and we are nearly tapped out for a full average green cycle gain.
Good luck next week, and have a great weekend. $SPY $QQQ

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04/10/26 Portfolio Update (6.5% YTD vs SPY/IWV 0.0%)
Call Spread - 9.5%
XLF (Calls) - 1.8%
$NBIS (Calls) - 1.3%
TDW (Calls) - 0.9%
$CRWV (Calls) - 0.7%
TIGR (Calls) - 0.6%
FXY (Calls) - 0.5%
ZM (Calls) - 0.5%
STNE (Calls) - 0.4%
PAGS (Calls) - 0.4%
U (Calls) - 0.4%
CPNG (Calls) - 0.4%
$GME (Calls) - 0.3%
MITK (Calls) - 0.3%
PEGA (Calls) - 0.2%
ENPH (Calls) - 0.2%
KLAR (Calls) - 0.2%
Mag7 - 7.7%
$AMZN - 4.4%
TSLA - 3.4%
Financials - 6.8%
$FIGR - 5.0%
RKT - 1.8%
Technology - 6.5%
$TTMI - 2.3%
TWLO - 2.0%
AEVA - 1.3%
PATH - 1.0%
Crypto & Blockchain - 5.7%
BMNR - 3.1%
MSTR - 2.0%
ORBS - 0.6%
Hydrogen - 4.7%
BLDP - 2.5%
BE - 2.2%
Nuclear - 3.9%
BWXT - 2.0%
LEU - 1.9%
Space - 3.9%
IRDM - 2.5%
RDW - 1.4%
Healthcare - 3.9%
UNH - 2.0%
NVO - 1.8%
Consumer Staples - 3.8%
ELF - 1.9%
CELH - 1.9%
Consumer Discretionary - 3.7%
CRSR - 2.1%
STUB - 1.6%
Battery - 3.4%
SGML - 2.5%
QS - 0.9%
Emerging Markets - 3.1%
SE - 1.8%
MELI - 1.3%
Solar - 2.1%
NXT - 2.1%
Long Call - 1.6%
QCOM (Calls) - 0.5%
FISV (Calls) - 0.4%
DPRO (Calls) - 0.4%
SMR (Calls) - 0.3%
Industrials - 1.1%
PANL - 1.1%
Fixed Income - 28.6%
STRC - 3.9%
EMLC - 3.8%
BIZD - 3.7%
VWOB - 3.6%
SPHY - 3.6%
OXLC - 2.0%
FSCO - 2.0%
AGNC - 1.9%
MGRB - 1.8%
MFA - 1.2%
FTAIN - 1.0%
Indices & ETFs (Broad Market) - 0.1%
QCLS - 0.1%
Cash: 0.2%
This week was great, all together good action for the portfolio. We are finally moving back in the right direction after this long sideways movement in the market. Some highlights were over add of NBIS calls, we picked up the 135 septmeber calls when the stock was around 90$ and we sold the 185 calls against those after we had a 10% gain on the options. This is a typically strategy we use for entering into spreads.
In general the action we are seeing under the surface is LONG datacenters / chips / energy SHORT software.
During the drawdown we had taken some profit on the energy names like MTDR, TDW, FANG that helped the portfolio buffer some of the losses from tech we were holding.


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