Showing posts with label coin. Show all posts
Showing posts with label coin. Show all posts

Thursday, July 23, 2026

My Current Options Portfolio: Performance, Winners, Losers, and Key Risks

 

My Current Options Portfolio: Performance, Winners, Losers, and Key Risks

I recently reviewed my options portfolio to better understand where my returns are coming from, which positions are creating the most risk, and whether my portfolio remains aligned with my longer-term investment strategy.

At the time of this review, I had 21 open option positions representing 33 contracts, along with one closed trade. Most of my positions are long-dated call options, although I also hold one long put, several cash-secured puts, and one covered call.

Portfolio Overview

The total capital invested in my open long-option positions was approximately $62,175. The current market value of those positions was approximately $57,683, resulting in an unrealized loss of about $4,492.

However, I had also generated approximately $660 in option premium from cash-secured puts and a covered call. After accounting for that premium income, my estimated net open-position loss was approximately:

$3,832, or about 6.2% of the capital invested in my long-option positions.

While the portfolio is currently negative, the losses are not evenly distributed. A large portion of the decline is concentrated in one position.


My Options Strategy Mix

My open portfolio includes:

  • 16 long-call positions

  • 1 long-put position

  • 3 cash-secured puts

  • 1 covered call

Most of my long calls expire in 2028. This gives the underlying companies additional time to grow and allows my investment thesis more time to develop.

The long-dated expiration dates also reduce some of the short-term time-decay pressure associated with shorter-term options. However, long-dated options can still lose substantial value if the stock price declines, volatility falls, or the original investment thesis does not materialize.

My Best-Performing Positions

Several positions were profitable at the time of the review.

KLAC January 2028 $220 Call

My KLA Corporation call was my largest winner in dollar terms.

  • Initial cost: $8,000

  • Current market value: $8,700

  • Unrealized gain: $700

  • Return: 8.75%

KLAC remains one of my higher-conviction semiconductor positions. The company benefits from increasing semiconductor manufacturing complexity and the growing need for advanced process-control and inspection equipment.

ETHA June 2028 $16 Calls

My ETHA calls produced my strongest percentage return among the open positions.

  • Initial cost: $1,000

  • Current market value: $1,290

  • Unrealized gain: $290

  • Return: 29%

This position gives me exposure to Ethereum through an exchange-traded product rather than directly holding the cryptocurrency.

CRCL December 2028 $85 Call

One of my CRCL calls was also profitable.

  • Initial cost: $3,200

  • Current market value: $3,400

  • Unrealized gain: $200

  • Return: 6.25%

I hold two CRCL call positions with different strike prices. Although the $85 strike was profitable, the $80 strike was still showing a loss. This demonstrates how entry price, option premium, implied volatility, and timing can produce different results even when the underlying company is the same.

SLV December 2028 $55 Calls

My SLV calls were up approximately 6%.

  • Initial cost: $2,810

  • Current market value: $2,980

  • Unrealized gain: $170

  • Return: 6.05%

This position provides exposure to silver prices and may also benefit from growing industrial demand from solar energy, electronics, electrification, and other technologies.

COPX January 2028 $85 Call

My copper-mining ETF position was also profitable.

  • Initial cost: $1,700

  • Current market value: $1,860

  • Unrealized gain: $160

  • Return: 9.41%

Copper remains an important material for electric vehicles, renewable-energy systems, transmission infrastructure, data centers, and grid modernization.

My Largest Losing Positions

Although several positions were performing well, a few losses were having a significant effect on the overall portfolio.

GOOGL December 2028 $450 Calls

My Alphabet calls were my largest losing position.

  • Initial cost: $12,850

  • Current market value: $9,410

  • Unrealized loss: $3,440

  • Return: negative 26.77%

This one position represented approximately 90% of the net open-position loss after including the premium income from my short-option trades.

That is an important risk-management lesson. Even when a portfolio contains many positions, one large position can dominate the total result.

The GOOGL calls are far out of the money, with a $450 strike price. Although the expiration date is still more than two years away, the stock would need to appreciate substantially for the position to become profitable by expiration.

GME January 2027 $23 Calls

My GameStop calls had the largest percentage loss.

  • Initial cost: $1,760

  • Current market value: $975

  • Unrealized loss: $785

  • Return: negative 44.6%

This is one of the more speculative positions in the portfolio. Compared with my semiconductor, technology, metals, and infrastructure-related investments, the GME position depends more heavily on market sentiment, volatility, and the company’s ability to successfully transform its business.

ORCL December 2028 Calls

I hold two Oracle call positions.

The $135 strike call showed:

  • Initial cost: $5,000

  • Current market value: $4,743

  • Unrealized loss: $257

  • Return: negative 5.14%

The $130 strike call showed:

  • Initial cost: $5,300

  • Current market value: $4,858

  • Unrealized loss: $442

  • Return: negative 8.34%

Together, the two ORCL positions represented more than $10,000 of invested capital. Because both contracts depend on the same underlying stock, I view them as one combined exposure rather than two completely separate investments.

MSFT January 2028 $260 Put

My Microsoft put was also losing value.

  • Initial cost: $1,600

  • Current market value: $1,320

  • Unrealized loss: $280

  • Return: negative 17.5%

This position differs from most of the portfolio because it is bearish. Microsoft would need to decline substantially for the put to gain significant intrinsic value.

Because the rest of my portfolio is generally bullish on technology, the MSFT put provides some downside exposure. However, the hedge is imperfect because the strike price is far below Microsoft’s current market price.

Premium Income From Short Options

In addition to buying long calls and puts, I used cash-secured puts and a covered call to generate premium income.

The premium gains shown in the portfolio were:

  • DUOL $111 cash-secured put: $100

  • DUOL $135 covered call: $240

  • SPCX $110 cash-secured put: $190

  • ORCL $113 cash-secured put: $130

The total premium income was approximately:

$660

These contracts expired on July 31, 2026, making them the most time-sensitive positions in the portfolio.

Cash-secured puts can generate income, but they also create an obligation to purchase shares if the stock closes below the strike price at expiration. Covered calls generate income but may require me to sell my shares if the stock rises above the strike price.

For this reason, short-option positions require closer monitoring as expiration approaches.

My Closed LDOS Trade

I also closed one LDOS call trade.

  • Initial cost: $590

  • Sale value: $800

  • Realized gain: $210

  • Return: 35.59%

This was a successful trade and produced the highest realized percentage return in the portfolio review.

The result also highlights the importance of taking profits when an option has appreciated significantly. Long options can lose value quickly if the underlying stock reverses direction or implied volatility decreases.

Portfolio Concentration

My five largest long-option exposures were concentrated in:

  • GOOGL

  • ORCL

  • KLAC

  • COIN

  • CRCL

Together, these positions represented approximately 72% of the capital invested in my long options.

This means that although I own several different contracts, the portfolio is not as diversified as the number of positions might suggest.

I also have meaningful exposure to several correlated investment themes.

Technology and Semiconductors

This group includes:

  • GOOGL

  • KLAC

  • ORCL

  • MSFT

These positions may be affected by artificial-intelligence spending, cloud growth, semiconductor capital expenditures, interest rates, and technology-sector valuations.

Cryptocurrency and Digital Assets

This group includes:

  • ETHA

  • IBIT

  • COIN

  • CRCL

These positions may move together during periods of strong or weak cryptocurrency-market sentiment.

Metals and Mining

This group includes:

  • SLV

  • COPX

These investments are influenced by commodity prices, global economic growth, industrial demand, renewable-energy investment, and supply constraints.

Key Lessons From the Portfolio

The most important lesson from this review is that portfolio risk is driven by position size, not simply by the number of holdings.

I own many different option contracts, but the large GOOGL position has had a disproportionate effect on my total return.

The second lesson is that correlated investments should be evaluated together. ETHA, IBIT, COIN, and CRCL are different securities, but all are influenced by the broader digital-asset market. Similarly, several of my technology positions may decline together if market valuations compress.

The third lesson is that long-dated options still require active risk management. A 2028 expiration date provides more time, but it does not guarantee recovery. The underlying company must still grow enough for the stock price to overcome the strike price, the premium paid, and the effects of time decay.

Final Thoughts

My options portfolio was down approximately $3,832 after accounting for premium income, but the loss was heavily concentrated in the GOOGL position.

Several positions—including KLAC, ETHA, COPX, SLV, CRCL, and COIN—were profitable or close to breakeven. My closed LDOS trade also generated a strong realized return.

Going forward, my main priorities are to monitor position concentration, evaluate whether each investment thesis remains valid, manage assignment risk on short options, and avoid allowing a single position to dominate the performance of the entire portfolio.

Options can provide leverage, income, and exposure to long-term investment themes. However, they also require disciplined position sizing, careful expiration selection, and continuous review of both the underlying company and the option contract itself.

Disclaimer: This article documents my personal portfolio and investment experience. It is not financial advice or a recommendation to buy or sell any security or option contract. Options involve substantial risk and may not be appropriate for every investor.

Saturday, December 21, 2024

Weekly stock performance summary

 Quantum Computing Inc. (QUBT) led last week's market performance with a 150% gain, highlighting the growing interest in quantum computing technology, which promises revolutionary advancements in computing power.

D-Wave Quantum Inc. (QBTS) and Rigetti Computing, Inc. (RGTI) also showed significant gains, with 37% and 33%, respectively. This reflects their roles in advancing quantum computing systems and software, with recent partnerships like D-Wave's collaboration with NTT DOCOMO for network optimization.

IonQ, Inc. (IONQ) experienced a 38% increase, following leadership changes and industry recognition, demonstrating the sector's dynamic growth and its potential impact across various technology sectors.

Weekly performance: Quantum stocks dominated the market last week.

Last week's top performers in terms of gain:

$QUBT Quantum Computing Inc: +150.00%
$IONQ IONQ Inc: +38.00%
$QBTS D-Wave Quantum Inc: +37.00%
$RGTI Rigetti Computing Inc: +33.00%
$TEVA Teva Pharmaceutical Industries: +34.00%
$BB BlackBerry Ltd: +32.00%
$SOUN SoundHound AI Inc: +24.00%
$NSANY Nissan Motor Co Ltd: +21.00%
$LCID Lucid Group Inc: +17.00%
$SEDG Solaredge Technologies Inc: +15.00%
$DRI Darden Restaurants, Inc.: +13.00%
$DOCS Doximity Inc: +10.00%
$GME GameStop Corp: +8.40%
$LI Li Auto Inc: +7.80%
$JBL Jabil Inc: +7.60%
$PLTR Palantir Technologies Inc: +7.30%
$CHPT ChargePoint Holdings Inc: +6.60%
$ALK Alaska Air Group Inc: +7.40%
$BA Boeing Co: +6.30%
$APP Applovin Corp: +5.70%
$SAGE SAGE Therapeutics Inc: +5.50%
$PLUG Plug Power Inc: +8.70%
$TCEHY Tencent Holdings ADR: +5.20%
$FOXA Fox Corp Class A: +5.10%



Ibotta Inc., mentioned in the post with a -18.00% return, is a mobile technology company known for providing purchase cash-back rewards. It recently became a publicly traded company in April 2024, listed on the NYSE under the ticker symbol IBTA.

Upstart Holdings Inc., with a -19.00% return, is a company involved in AI lending technology. Recently, Kaua'i Federal Credit Union selected Upstart for personal lending, which might influence investor perceptions of the company's growth potential.

Novo Nordisk A/S, listed with a -21.00% return, is a global healthcare company focused on defeating diabetes and other chronic diseases. It is known for its commitment to using 100% renewable power in production facilities and its recent strategy to achieve zero environmental impact.

Weekly performance:
Last week's worst performers in terms of return:
$BNED Barnes & Noble Education Inc: -24.00%
$NVO Novo Nordisk A/S: -21.00%
$UPST Upstart Holdings Inc: -19.00%
$IBTA Ibotta Inc: -18.00%
$MP Mp Materials Corp: -17.00%
$ARM Arm Holdings PLC - ADR: -14.00%
$BITF Bitfarms Ltd: -14.00%
$MU Micron Technology Inc: -14.00%
$CELH Celsius Holdings Inc: -14.00%
$VRTX Vertex Pharmaceuticals Inc: -14.00%
$XPO XPO Inc: -14.00%
$MARA MARA Holdings Inc: -13.00%
$PZZA Papa John's International Inc: -13.00%
$MSTR MicroStrategy Inc: -13.00%
$NU Nu Holdings Ltd: -13.00%
$RIOT Riot Platforms Inc: -12.00%
$CTAS Cintas Corp: -12.00%
$OC Owens Corning: -12.00%
$COIN Coinbase Global Inc: -11.00%
$PAYC Paycom Software Inc: -11.00%
$WBD Warner Bros Discovery Inc: -11.00%
$HIMS Hims & Hers Health Inc: -6.30%




Tuesday, December 17, 2024

Today's stock market update 12/17/2024

 Today's top 10 stocks in my list:

$PFE Pfizer Inc: 4.67%
$TSLA Tesla Inc: 3.64%
$BMY Bristol-Myers Squibb: 3.19%
$NIO Nio Inc - ADR: 2.71%
$ENTG Entegris Inc: 2.48%
$ABBV AbbVie Inc: 2.18%
$WSM Williams-Sonoma Inc: 2.15%
$REGN Regeneron Pharmaceuticals: 2.09%
$DXCM DexCom Inc: 1.82%
$JNJ       Johnson & Johnson: 1.79%


Today's worst 10 stocks on my list:

$MRVL Marvell Technology Inc: -10.04%
$CVS CVS Health Corp: -5.49%
$CELH Celsius Holdings Inc: -5.49%
$MSTR MicroStrategy Inc: -5.41%
$VRT Vertiv Holdings Co: -4.18%
$RIVN Rivian Automotive Inc: -4.17%
$AVGO Broadcom Inc: -3.91%
$VST Vistra Corp: -3.83%
$TMUS T-Mobile Us Inc: -3.82%
$ANET Arista Networks Inc: -3.04%


Today's highest option volumes:

$NVDA NVIDIA Corp: 3.68M
$TSLA Tesla Inc: 3.05M
$AVGO Broadcom Inc: 1.21M
$PLTR Palantir Technologies Inc: 1.00M
$AAPL Apple Inc: 732.26K
$GOOGL Alphabet Inc Class A: 673.20K
$SMCI Super Micro Computer Inc: 640.04K
$MSTR MicroStrategy Inc: 610.21K
$AMD Advanced Micro Devices Inc: 573.64K
$MU Micron Technology Inc: 518.42K
$AMZN Amazon Inc: 447.14K
$MARA MARA Holdings Inc: 438.16K
$RIVN Rivian Automotive Inc: 420.70K
$SOFI SoFi Technologies Inc: 412.42K
$SOUN SoundHound AI Inc: 400.58K
$RIOT Riot Platforms Inc: 398.38K
$INTC Intel Corp: 344.05K
$GME GameStop Corp: 282.43K
$UBER Uber Technologies Inc: 252.07K
$HOOD Robinhood Markets Inc: 239.43K
$RGTI Rigetti Computing Inc: 235.00K
$MSFT Microsoft Corp: 229.09K
$BA Boeing Co: 226.14K
$META Meta Platforms Inc: 224.10K
$COIN Coinbase Global Inc: 221.19K
$CLSK CleanSpark Inc: 217.01K
$PFE Pfizer Inc: 205.72K
$F Ford Motor Co: 197.87K
$BABA Alibaba Group: 189.36K
$QBTS D-Wave Quantum Inc: 185.95K

The following stocks reached a new 52-week high today:

$AAPL Apple Inc
$GOOGL Alphabet Inc Class A
$TSLA Tesla Inc
$AVGO Broadcom Inc
$V Visa Inc
$ANET Arista Networks Inc
$PANW Palo Alto Networks Inc
$DASH DoorDash Inc
$NET Cloudflare Inc
$WSM Williams-Sonoma Inc
$TEVA Teva Pharmaceutical Industries Ltd
$LII Lennox International Inc
$XPO XPO Inc
$SOFI SoFi Technologies Inc
$COHR Coherent Corp
$IONQ IONQ Inc

The following stocks reached a new 52-week low today:

$NSRGY Nestle SA - ADR
$PEP PepsiCo Inc
$BHP BHP Group Ltd
$COP ConocoPhillips
$BUD Anheuser-Busch Inbev SA
$ELV Elevance Health Inc
$REGN Regeneron Pharmaceuticals Inc
$CI Cigna Group
$CNI Canadian National Railway Co
$CVS CVS Health Corp
$PSX Phillips 66
$HMC Honda Motor Co Ltd
$MPC Marathon Petroleum Corp
$OXY Occidental Petroleum Corp
$VLO Valero Energy Corporation
$NUE Nucor Corp
$HAL Halliburton Co
$DVN Devon Energy Corp
$ARE Alexandria Real Estate Equities Inc
$AVY Avery Dennison Corp
$NSANY Nissan Motor Co Ltd
$SIRI Sirius XM Holdings Inc

Sunday, December 8, 2024

Last week's top and worst performing stocks

 Last week's best-performing stocks:

$DOCU Docusign Inc +35.00%
$SMCI Super Micro Computer Inc +27.00%
$LULU Lululemon Athletica Inc +24.00%
$PSTG Pure Storage Inc +22.00%
$ROKU Roku Inc +20.00%
$AAL American Airlines Group Inc +20.00%
$U Unity Software Inc +17.00%
$WDAY Workday Inc +17.00%
$MRVL Marvell Technology Inc +16.00%
$RBLX Roblox Corp +15.00%
$PLTR Palantir Technologies Inc +15.00%
$HPE Hewlett Packard Enterprise Co +14.00%
$RDDT Reddit Inc +14.00%
$COIN Coinbase Global Inc +13.00%
$TSLA Tesla Inc +12.00%
$ULTA Ulta Beauty Inc +10.00%
$AVGO Broadcom Inc +10.00%
$DDOG Datadog Inc +9.70%
$EL Estee Lauder Companies Inc +9.60%
$CRM Salesforce Inc +9.40%
$HOOD Robinhood Markets Inc +9.10%
$WSM Williams-Sonoma, Inc. +8.70%
$TER Teradyne Inc +8.60%
$META Meta Platforms Inc +7.90%


Last week's worst performers:

$INTC Intel Corp: -16.00%
$MCHP Microchip Technology Inc: -13.00%
$RKLB Rocket Lab USA Inc: -12.00%
$UNH UnitedHealth Group Inc: -11.00%
$HAL Halliburton Company: -10.00%
$NUE Nucor Corp: -8.90%
$UBER Uber Technologies Inc: -8.30%
$BALL Ball Corp: -7.80%
$DVN Devon Energy Corp: -7.50%
$UPS United Parcel Service, Inc.: -7.40%
$CVS CVS Health Corp: -7.40%
$CPB Campbell's Co: -7.30%
$FDX FedEx Corp: -6.90%
$SNPS Synopsys Inc: -6.70%
$CTRA Coterra Energy Inc: -6.70%
$ON ON Semiconductor Corp: -6.70%
$MBLY Mobileye Global Inc: -6.70%
$LYB LyondellBasell Industries NV: -6.60%
$SLB Schlumberger NV: -6.50%
$LEN Lennar Corp Class A: -6.40%
$ELV Elevance Health Inc: -6.40%
$CHWY Chewy Inc: -6.30%




Tuesday, June 25, 2024

Stock market summary - 06/25/2024

 Today's highest option volume

$NVDA NVIDIA Corp                                                 6.75M

$TSLA Tesla Inc                                                         1.37M

$AAPL Apple Inc                                                 1.30M

$AMZN Amazon.com Inc                                         846.25K

$AMD Advanced Micro Devices, Inc.                 515.55K

$GME GameStop Corp                                         350.41K

$PLTR Palantir Technologies Inc                         276.45K

$META Meta Platforms Inc                                         276.23K

$DJT Trump Media & Technology Group Corp 250.25K

$CCL Carnival Corp                                                 237.60K

$MARA Marathon Digital Holdings Inc                 223.60K

$SMCI Super Micro Computer Inc                         222.68K

$MU Micron Technology Inc                                 220.38K

$INTC Intel Corp                                                 201.30K

$COIN Coinbase Global Inc                                 197.17K

$F Ford Motor Co                                                 195.54K

$GOOGL Alphabet Inc Class A                         194.43K

$SOFI SoFi Technologies Inc                                 190.61K

$MSFT Microsoft Corp                                         184.31K

$PFE Pfizer Inc                                                 174.18K

$TSM Taiwan Semiconductor Mfg. Co. Ltd.         171.79K

$AMC AMC Entertainment Holdings Inc                 160.06K

$BABA Alibaba Group Holding Ltd - ADR         159.76K

$BAC Bank of America Corp                                 157.83K

$RIVN Rivian Automotive Inc                                 150.16K

$RIOT Riot Platforms Inc                                         131.83K

Notable stocks that reached 52-week high today

$GOOGL    Alphabet Inc Class A
$LLY     Eli Lilly And Co
$NVO     Novo Nordisk A/S
$MRK     Merck & Co Inc
$ISRG     Intuitive Surgical, Inc.
$BKNG     Booking Holdings Inc
$T             AT&T Inc
$REGN     Regeneron Pharmaceuticals Inc
$IBN     ICICI Bank Ltd
$CL             Colgate-Palmolive Company
$MCK     McKesson Corp
$CTAS     Cintas Corp
$FDX     FedEx Corp
$RCL     Royal Caribbean Cruises Ltd
$VRSK     Verisk Analytics, Inc.
$FICO     Fair Isaac Corp
$PINS     Pinterest Inc
$TRGP     Targa Resources Corp
$EBAY     eBay Inc
$CVNA     Carvana Co
$BURL     Burlington Stores Inc
$ALLY     Ally Financial Inc

Notable stocks that reached 52-week low today:

$SNOW Snowflake Inc
$WY Weyerhaeuser Co
$NKLA Nikola Corp
$POOL Pool Corp
$SOLV Solventum Corp
$EXAS Exact Sciences Corp
$FIZZ National Beverage Corp.
$MP Mp Materials Corp
$INTA Intapp Inc

Today's top 10 performers on my watchlist:

$MSTR MicroStrategy Inc                 9.01%
$RIVN Rivian Automotive Inc         8.63%
$NVDA NVIDIA Corp                         6.76%
$SNAP Snap Inc                                 6.64%
$ARM Arm Holdings PLC - ADR 6.31%
$IBIT iShares Bitcoin Trust         4.55%
$COIN Coinbase Global Inc         4.43%
$PINS Pinterest Inc                         4.31%
$RCL Royal Caribbean Cruises Ltd 4.02%
$MELI MercadoLibre Inc                 3.75%

Today's 10 worst performers on my watchlist:

$CELH Celsius Holdings, Inc.         -6.54%
$DKNG DraftKings Inc                 -5.02%
$LOW Lowe's Companies Inc         -4.88%
$TSCO Tractor Supply Co                 -4.62%
$WSM Williams-Sonoma, Inc.         -4.46%
$BLDR Builders FirstSource, Inc. -4.01%
$ALB Albemarle Corporation         -3.77%
$HD Home Depot Inc                 -3.58%
$GM General Motors Co                 -3.53%
$CE         Celanese Corporation         -3.34%


Friday, June 21, 2024

Stock Market Summary - 6/21/2024

 

Today's top 10 gainers on my watchlist:

                                        Ticker % Gain

DoorDash Inc                         $DASH 3.33

Gilead Sciences, Inc.         $GILD 3.18

Manhattan Associates Inc $MANH 3.02

Palo Alto Networks Inc         $PANW 2.99

Intuit Inc                                 $INTU 2.61

Robinhood Markets Inc         $HOOD 2.58

Danaher Corp                         $DHR 2.53

Bunge Global SA                 $BG 2.45

NXP Semiconductors NV $NXPI 2.4

                                        $EW 2.34

                                                

                    Today's worst 10 performers on my watchlist:

                                                        Ticker % Loss

Cipher Mining Inc                         $CIFR -12.98

CleanSpark Inc                         $CLSK -9.81

Riot Platforms Inc                         $RIOT -8.35

Marathon Digital Holdings Inc $MARA -7.02

Bitfarms Ltd                                 $BITF -5.77

Broadcom Inc                                 $AVGO -4.38

Coinbase Global Inc                 $COIN -3.9

NVIDIA Corp                                 $NVDA -3.22

Micron Technology Inc                 $MU -3.22

WestRock Co                                 $WRK -2.85


Notable stocks that reached 52 week high today:

Alphabet Inc Class A                     $GOOGL

Walmart Inc                                     $WMT

Honeywell International Inc             $HON

AT&T Inc                                     $T

Regeneron Pharmaceuticals Inc     $REGN

Boston Scientific Corporation     $BSX

Marsh & McLennan Companies Inc  $MMC

Colgate-Palmolive Company             $CL

McKesson Corp                             $MCK

Ecolab Inc                                     $ECL

Motorola Solutions Inc                     $MSI

Roper Technologies Inc                     $ROP

Aflac Inc                                             $AFL

Ameriprise Financial, Inc.             $AMP

Sea Ltd                                             $SE

Verisk Analytics, Inc.                     $VRSK

Corning Inc                                     $GLW

Targa Resources Corp                     $TRGP

Brown & Brown, Inc.                     $BRO

ADT Inc                                             $ADT

Stocks that reached 52 week low today:

Baidu Inc                         $BIDU

Li Auto Inc                         $LI

Albertsons Companies Inc $ACI

Albemarle Corporation         $ALB

Solventum Corp                 $SOLV

SoFi Technologies Inc         $SOFI

Unity Software Inc                 $U

Hugo Boss AG - ADR         $BOSSY

Solaredge Technologies Inc $SEDG

Udemy Inc                         $UDMY

Figs Inc                                 $FIGS

Lionsgate Studios Corp         $LION

Today's highest option volume:

NVIDIA Corp                                                 $NVDA 10.62M

Advanced Micro Devices, Inc.                 $AMD 2.07M

Apple Inc                                                 $AAPL 1.71M

Tesla Inc                                                         $TSLA 1.59M

Amazon.com Inc                                         $AMZN 733.27K

GameStop Corp                                         $GME 614.80K

Palantir Technologies Inc                         $PLTR 612.21K

Dell Technologies Inc                                 $DELL 469.10K

Super Micro Computer Inc                         $SMCI 454.89K

Micron Technology Inc                                 $MU 392.62K

Marathon Digital Holdings Inc                 $MARA 343.32K

Intel Corp                                                 $INTC 308.56K

Taiwan Semiconductor Mfg. Co. Ltd.         $TSM 299.18K

Arm Holdings PLC - ADR                         $ARM 273.99K

Meta Platforms Inc                                         $META 261.30K

Microsoft Corp                                         $MSFT 237.40K

ChargePoint Holdings Inc                         $CHPT 197.24K

Sirius XM Holdings Inc                                 $SIRI 194.83K

Trump Media & Technology Group Corp $DJT 182.66K

Bank of America Corp                                 $BAC 177.47K

AMC Entertainment Holdings Inc                 $AMC 166.10K

Broadcom Inc                                                 $AVGO 158.66K

Salesforce Inc                                                 $CRM 157.11K

Alphabet Inc Class A                                 $GOOGL151.02K

SoFi Technologies Inc                                 $SOFI 150.51K

Coinbase Global Inc                                 $COIN 150.06K

Alibaba Group Holding Ltd - ADR         $BABA 145.37K

Qualcomm Inc                                         $QCOM 140.63K

Gilead Sciences, Inc.                                 $GILD 135.93K

PayPal Holdings Inc                                 $PYPL 134.38K

Pfizer Inc                                                 $PFE 133.50K

Robinhood Markets Inc                                 $HOOD 131.70K

Riot Platforms Inc                                         $RIOT 127.65K

Rivian Automotive Inc                                 $RIVN 126.22K

Snowflake Inc                                                 $SNOW 122.53K

Exxon Mobil Corp                                         $XOM 120.72K

Boeing Co                                                 $BA 117.26K

Cisco Systems Inc                                         $CSCO 116.73K

Monday, April 29, 2024

4/29/2024'S best and worst performers on my watchlist

Today's top 10 performers on my watchlist:


$TSLA - Tesla: +15.31%

$ALB - Albemarle: +7.57%

$VST - Vistra: +7.24%

$IP - International Paper: +4.47%

$SMCI - Super Micro Comp: +3.84%

$FCX - Freeport-McMoran: +3.78%

$BA - Boeing: +3.75%

$HSY - Hershey: +3.39%

$EXR - Extra Space: +2.89%

$FICO - Fair Isaac: +2.88%


Today's 10 worst performers on my watchlist:

$SOFI -SoFi: -10.48%

$CIFR - Cipher Mining: -10.22%

$COIN - Coinbase: -7.68%

$TSMC - Taiwan Semiconductor: -7.47%

$MARA - Marathon Digital: -7.21%

$RIOT - RIOT platforms: -7.12%

$CLSK - Clean Spark: -5.77%

$BITF - Bitfarms: -3.57%

$GOOGL - Alphabet: -3.37%

$HOOD - Robinhood: -3.02%