Hey Guys,
The market has been snaking around a bit, but is generally in the same spot as it was when I emailed yesterday. The S&P 500 is near 4,560 right now.
I took on a few new positions today. In the main account, I bought stock for TSLA and MGA. In the options account, I bought options for AMD.
In my double down account, my LYB position hit its profit target yesterday, but this morning my SBUX stock position hit its stop loss. So it was a mixed bag of results in that account this week.
The same is true for my options account, where my early week winners were offset by losses on SIRI and SBUX options yesterday. I still walked away with a net profit for the week in that account, though.
If you have any questions or feedback, I'd love to hear from you.