Hey Guys,
The market has been volatile over the last 24 hours. The S&P 500 dipped down to 3,700 yesterday and then was as high as 3,780 this morning, but now is around 3,740. It's like a speedy snake that's slithering all over the place.
My portfolio has had mixed results. My DAL options reached their profit target despite the market's turbulence, which was fun to see. I closed my position on DEN this morning since it reached its time limit, and that one locked in a profit despite being in the red every other day that I owned it. I also locked in a small profit on my ABBV options yesterday.
But on the flip side, my CRM stock position hit its stoploss, and the options position for it might not be far behind.
I picked up two new stock positions in my main account this morning: Netflix and NOC.
If you have any questions or feedback, I'd love to hear from you.