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Old 02-25-2013, 05:55 PM   #8526
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I remember someone bringing up or mentioning NZ (new zealand energy). holy fck is that company getting hammered.
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Old 02-26-2013, 07:47 AM   #8527
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I remember someone bringing up or mentioning NZ (new zealand energy). holy fck is that company getting hammered.
Lowside67 was a fan, I had some but Avg. down from 3$ to roughly 1.80$ and pulled the pin with little to no loss. Thank god.

I'm not sure why they are taking such a beating as I havent been keeping up with their news. I guess just shitty wells...? I wouldn't count that company out unless some significant news came up!

Side note, still holding AMRN @ 10/share, down 20%... super geh, but they submitted the SNDA for Anchor indication this morning, so probably will start a bullish run in the next 70 days once the FDA approves the submission.. or not.
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Old 02-26-2013, 08:13 AM   #8528
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market is about toe wipe more soon this shiz gonna be BIBLICAL

lol used all my profits to short again on this bounce up.. swinging into tomorrow and tomorrow is fed pomo biggest of the year too.... inb4 25k loss

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Old 02-26-2013, 08:17 PM   #8529
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market is about toe wipe more soon this shiz gonna be BIBLICAL

lol used all my profits to short again on this bounce up.. swinging into tomorrow and tomorrow is fed pomo biggest of the year too.... inb4 25k loss
What would be a short trade you would play tmw am if you have some extra coin?
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Old 02-26-2013, 10:18 PM   #8530
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What would be a short trade you would play tmw am if you have some extra coin?
The short trade was shorting EOD today.. shorting the SPY with puts because I believe we open LOWER tomorrow.. so 2 potential good trades tomorrow would be shorting a gap UP or a fake out in the AM with a BULL RUN on LOW volume

Individual stocks.. risk/reward not there right now, would have to hit the 3rd leg of the big sell off which may not happen tomorrow, but if you catch the next leg of the sell off ( we make new lows) short financials ( XLF , GS)

Non-day trade idea : short Goog in 790s , stop loss break of $800
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Old 02-27-2013, 01:01 AM   #8531
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FALL... FALL!!!!
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Old 02-27-2013, 02:05 PM   #8532
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this thread should be re named the options thread
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Old 02-27-2013, 02:29 PM   #8533
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Old 02-27-2013, 02:52 PM   #8534
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Got fucking SMOKED today guys, 12k loss.. FED Pomo ramp got whoooped! just watching for tomorrow and friday not sure what to make of this action... that short thesis still in play but timing , just not sure when



hey sitting here 6 hours a day looking at screen, have to pretend to talk to someone
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Old 02-27-2013, 02:56 PM   #8535
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50 LNKD 160 calls $$$$$$
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Old 02-28-2013, 01:09 AM   #8536
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man getting destroyed by TDWH commissions.

strykn are you paying $0.25 - $0.70 per contract? (assuming you're still with IB)
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Old 02-28-2013, 06:10 AM   #8537
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Would like a second opinion here,

I am currently holding about 10,100 shares of AMRN at an AVG cost of around 10$/share (Currently trading around 8.25$).

I m thinking about selling a portion of my AMRN and doing the following:

- 10k will go into another 25k investment into the private placement I am in on (Which is growing at a rate of 3x every 9 months)
- Spend 10k on Jan 18 2014 AMRN calls. (10$ strike @ 1.78,

Basically I want pick up some more of the PP, but only have about 15k in investment moneys left... so I need to either liquidate something in my portfolio (Which is basically just AMRN), or dump more money into my investment account, which sort of goes against a golden rule I set long ago.

Thoughts? Need to decide before friday as this round of financing with the PP must be closed within three weeks.
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Old 02-28-2013, 12:59 PM   #8538
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Shorted GS & SPY via Puts soon as Sequester news hit. badabing!

Yea dasani. .70 flat rate! its great.

Expecting 50 point drop on SPX within 2-5 days

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Old 02-28-2013, 02:25 PM   #8539
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Got fucking SMOKED today guys, 12k loss.. FED Pomo ramp got whoooped! just watching for tomorrow and friday not sure what to make of this action... that short thesis still in play but timing , just not sure when



hey sitting here 6 hours a day looking at screen, have to pretend to talk to someone
lol don't act like you don't talk to anybody
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Old 03-01-2013, 09:21 PM   #8540
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bulls have it so easy its not even fair! not going to trade this tape till we break higher or break down
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Old 03-01-2013, 11:02 PM   #8541
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bulls have it so easy its not even fair! not going to trade this tape till we break higher or break down
traded on it and lost big
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Old 03-02-2013, 12:28 AM   #8542
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traded on it and lost big
Stop-loss & trade your own ideas m8!

Took profits on my puts in the morning, was about to reshort huge on the first spike up but saw some serious power in all sectors and GS with volume, saved me from a 20k+ loss
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Old 03-02-2013, 04:47 AM   #8543
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I'm down like 15.5% on my SP500 short and up 73.3% on crude oil short.

I'll be out of sp500 if it makes new highs. Oil I'll probably lock up some profit or get out if it starts turning around next week.
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Old 03-03-2013, 05:56 PM   #8544
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1. Market sucks in some more shorts, says FUCK sequester and rips to new highs

2. Market sucks in longs and just fawkkinn tanks

....... be ready for either!
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Old 03-03-2013, 06:28 PM   #8545
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1. Market sucks in some more shorts, says FUCK sequester and rips to new highs

2. Market sucks in longs and just fawkkinn tanks

....... be ready for either!
This post is as informative as saying the stock market will either rise or drop tomorrow.
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Old 03-03-2013, 11:06 PM   #8546
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it can go sideways too. LOL!!!!
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Old 03-04-2013, 09:38 AM   #8547
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Sideways ftw!! Lol
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Old 03-04-2013, 12:48 PM   #8548
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LNKD is a beast
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Old 03-04-2013, 01:35 PM   #8549
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LNKD baby now that is power!

Missed fill on the 175s by 3 cents in morning, didn't chase.. bummer easy 500%er

SPX 1530+ on a successful bank stress test ( march 7th)

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Old 03-05-2013, 06:35 AM   #8550
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30 Gs 155 @. 90... Risky ass play Gs needs to catch spy
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