Winner...
Anyway, do you really think we are going to hit 169 before 179? wow...
You don't have to change your number, I was ribbing you... I'll let you decide
The number was a lot lower than anyone expected, but the stock is going opposite direction. So far not a good year with TSP, at least I recoup on my regular account especially with AAPL with $20K gains with ZERO out of pocket for the last two weeks (as I mentioned my trades as Winner). In addition, VNDA that I apply as income strategy* that bring my cost average down to $9.70 or I collect an average $1 per contact/10% per month.
Income strategy => Buy shares then sell call contacts, example that I bought 1,000 shares of VNDA for $10.50 then sold 10 contacts for $11 @ $1 this bring my average cost down to $9.50, so when the price hit $11 or more then I could collect $1.50 profit or 13% within a month or I roll over to the next month for $12, $13, $14, $15, $16, etc. to collect additional $1 (I mentioned my actual cost & my trades as Winner as well).
So far because my balance with regular account is still low and able to hit my goal to increase an average 20% per month from the previous month balance for the last 14 months with all on OPTIONS.
I have 200 contact open on QQQ CALL APR 2014 $90 @.63. (current trade @ $1.05 with unrealized gain 65%), I bought this one based on unusual volume with 213K contracts bought @$.51 (total cost $10.86M) two days before I bought. If anyone want to get in at this time then go with calendar spread sell FEB 2014 for $.12/buy APR 2014 to bring the cost down around to $.93
While I'm typing I canceled a pending order for COST PUT FEB 14 $112/ MAR 07 $106 for $.05 credit from to Pending order COST PUT
SELL FEB 14 $112 /BUY MAR 07 $107 for $.04 credit (collect $4 per contract for this with ZERO out of pocket) and the strategy indicates that I have more 80% chance to lock in any profit/0.29% max profit/ZERO max LOST. This trade for COST is hold above $112 by this Friday to lock in the max profit and it'll continue down after this week.
I have 33% cash with majority on margin.