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Ok, decision time...
I have decided to stay in G for the foreseeable future.
My "system" has failed and with a whopping 2.45% so far this year (yes folks, that is all I have for 6 months worth of IFTs and worry) I have to step back and realize I am not cut out for this... At least in the G fund (now getting a 2.125% rate), I will finish the year a little over 3.5%, which will at least keep me above the inflation rate (not the criminally reported Fed inflation rate of <1%).
Sorry BT, but I still have no confidence that the dow will be 30k by 2015, so I won't be parking in C or S...
The F fund is an abysmal failure and more than likely will continue to fail while equities are the only game in town...
So, with no "crystal ball" and a failed "system" I have no choice but to step back and ponder my options before I actually lose money...
Good Luck everyone!!
I wish you luck, RMI. However, I'm going to predict you will be back in stocks before year end. I'm also going to predict that this is just a "pause" for you, and you'll be back to timing the markets in one form or another at some point.
All in due time.
At this point, I doubt it. It isn't worth the stress (and weight gain from eating chocolate to "feel" better)...
have you considered substituting beer or nicotine? or on the really bad days you could try beer and nicotine. it might help you beat that choco jones, because we all know you can't quit the market.
have you considered substituting beer or nicotine? or on the really bad days you could try beer and nicotine. it might help you beat that choco jones, because we all know you can't quit the market.
Yeah, but the chocolate is usually washed down with a diet pepsi, so I get the caffeine kick too... but thanks :blink:
Ok, stupid options question...
If I am trying to buy an option on a stock (lets use CVX) that I think will go down...
Do I (buy to open, buy to close, sell to open, sell to close) on a (put or call)??
I tried to buy to open a put contract (one btw) on CVX, selling for 0.33 per contract, so I thought it would be $33 (which is said on the confirmation) and then it cancelled it saying it was over $12k to execute (didn't have the buying power)...
Playing with paper money on TOS, so no snide comments, just trying to figure this out. I thought I had the terminology right... I guess not.
Anyone, anyone? Bueller?
Yeah, but the chocolate is usually washed down with a diet pepsi, so I get the caffeine kick too... but thanks :blink:
Anyone, anyone? Bueller?
RMI, do you want me send you some chocolate covered macadamia nuts?Mac nuts are packed with numerous health-benefiting nutrients, minerals, antioxidants and vitamins...you can ease the anxiety by telling yourself you're eating healthy chocolate.
RMI forget writing calls etc. save that for the future. All you need to know is this:
Think the stock is going down buy to open a put. 1 contract is 100 shares so in your scenario it was .33 x 100
Think the stock is going up buy to open a call. Same as above.
When your rich and ready to sell you sell to close and collect all your money and buy chocolate. Leave the spreads and the rest for your next experiment once you get this down.
Today I bought to open 20 August 17 calls on the VIX for 1.45. I will sell for a loss if we continue the upward pattern this week but I feel the bear will return and 14.25 was my trigger for the buy. You can follow my buy and see how bad my buy is if you like. Hope this helps.
Try zinfandel or a nice cabernet with that chocolateYeah, but the chocolate is usually washed down with a diet pepsi, so I get the caffeine kick too... but thanks :blink: