gogogofo
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avatargogogofo
12-20 23:41
I opened $PLTR 20241227 77.0 CALL$  ,Sold a call higher as I adjusted 
avatargogogofo
12-20 23:40
I closed $PLTR 20241227 76.0 PUT$  ,Bought back profit 
avatargogogofo
12-20 23:21
I opened $JPMorgan Equity Premium Income ETF(JEPI)$  ,Why I Buy JEPI ETF: 5 Key Reasons 1. Consistent High Dividend Yield JEPI offers a high monthly dividend yield, making it an attractive option for income-focused investors. Its strategy of writing covered calls allows it to generate steady income, even in volatile markets. 2. Risk Management with Low Volatility JEPI focuses on large-cap, high-quality stocks and uses equity-linked notes (ELNs) to manage risk. This results in lower volatility compared to traditional equity funds, providing a smoother investment experience. 3. Reliable Income Stream in Any Market Whether the market is rising, falling, or trading sideways, JEPI’s covered call strategy ensures consistent income generation. This mak
avatargogogofo
12-20 23:15
我开仓了$阿里巴巴(BABA)$ ,为什么我买入阿里巴巴(BABA):四大理由 1. 电商领域的绝对领先地位 阿里巴巴是领先的电商平台,旗下包括淘宝、天猫和Lazada等,拥有庞大的市场份额。其完善的生态系统确保了持续的收入增长和巨大的扩展潜力,尤其是在消费需求旺盛的地区。 2. 云计算的增长潜力 阿里云是全球领先的云计算服务提供商之一。随着对云服务需求的不断增加,这一板块成为了高速增长的机会,有望在未来成为主要的利润驱动因素。 3. 被低估的股票价值 尽管基本面强劲,阿里巴巴的股价因监管问题和市场情绪而被低估。对于价值投资者来说,这是一个以较低价格买入优质企业的绝佳机会。 4. 多元化的收入来源 阿里巴巴不仅仅是电商公司,它还涉足物流(菜鸟)、数字支付(支付宝)、娱乐(优酷)以及国际市场扩展(Lazada)。这种多元化降低了对单一业务的依赖,并增强了其长期增长潜力。 总结 阿里巴巴凭借其市场领导地位、云计算增长潜力、吸引人的估值和多元化业务,成为投资者关注的优质标的之一,为长期投资者提供了强大的数字生态系统布局机会。
avatargogogofo
12-20 23:15
I opened $Alibaba(BABA)$  ,Why I Buy Alibaba (BABA): 4 Key Reasons 1. Strong E-commerce Dominance Alibaba is the leading e-commerce platform, commanding significant market share through platforms like Taobao, Tmall, and Lazada. Its established ecosystem ensures consistent revenue growth and scalability, particularly in large and growing consumer markets. 2. Cloud Computing Growth Alibaba Cloud ranks among the global leaders in cloud computing. With the increasing demand for cloud services, this segment represents a high-growth opportunity and is expected to become a major profit driver in the future. 3. Undervalued Stock Despite its strong fundamentals, Alibaba’s stock has been trading at a discount due to regulatory concerns and market sentimen
avatargogogofo
12-20 23:03
我开仓了$纳斯达克100 Covered Call ETF-Global X(QYLD)$ ,$Global X Nasdaq 100 Covered Call ETF(QYLD)$  $Global X Nasdaq 100 Covered Call ETF(QYLD)$   为什么我买入 QYLD ETF QYLD 是一只可靠的收益型 ETF,通过对纳斯达克 100 指数成分股写入备兑看涨期权来实现稳定的月度分红。尽管这种策略限制了价格上涨的空间,但其高收益率,尤其是在市场波动或横盘整理时期,弥补了这一缺点,非常适合注重收入的投资者。 市场下跌时逢低定投的五大理由 1. 降低持仓成本 当市场下跌时,买入更多的 QYLD 可以降低你的平均买入成本。这让你在未来市场复苏或获取分红时受益更大。 2. 利用市场波动性 QYLD 通过写入备兑看涨期权获取收益,而市场波动性越大,期权溢价就越高。市场下跌通常伴随波动性增加,这将提高 ETF 的收益潜力和分红水平。 3. 稳定的收益来源 QYLD 的核心吸引力在于其稳定的分红。在低价位增持意味着你将以更高的收益率锁定投资,分红相对于更低的股价比例更为可观。 4. 投资于科技巨头 QYLD 跟踪纳斯达克 100 指数,这些科技公司在历史上经历市场下跌后通常能快速反弹。逢低买入能确保你在未来科技复苏中获利。 5. 保持纪律性投资策略 定投策
avatargogogofo
12-20 23:02
I opened $Global X Nasdaq 100 Covered Call ETF(QYLD)$  ,Why I Buy QYLD ETF QYLD is a reliable income-generating ETF that writes covered call options on the Nasdaq 100. Its strategy offers steady monthly dividends, making it an ideal choice for income-focused investors. Despite the trade-off of limited price appreciation, the high yield compensates for this, especially during volatile or sideways markets. 5 Reasons to Dollar-Cost Average During Market Drops 1. Lower Your Cost Basis When markets fall, buying more QYLD allows you to lower your average purchase price. This positions you to benefit more significantly from future income or market recoveries. 2. Take Advantage of Volatility QYLD generates income from covered call premiums, which increa
avatargogogofo
12-20 22:37
I opened $PLTR 20241227 74.0 CALL$  ,Sold another call 
avatargogogofo
12-20 22:37
I closed $PLTR 20241220 72.0 CALL$  ,Bought a call 
avatargogogofo
12-20 00:06
I closed $PLTR 20241227 76.0 PUT$  ,Bought a lot lower 
avatargogogofo
12-19 22:55
I opened $PLTR 20241227 76.0 PUT$  ,Sold. Put 
avatargogogofo
12-19 04:25
I opened $PLTR 20241227 76.0 PUT$  ,Sold another put 
avatargogogofo
12-18 22:53
I closed $PLTR 20241220 72.0 PUT$  ,Took $PLTR 20241220 72.0 PUT$  Maximizing Returns with Cash-Secured Puts Selling cash-secured puts is a strategy where investors sell put options while holding sufficient cash to purchase the underlying stock if the option is exercised. The primary goal is to earn the premium income while agreeing to potentially buy the stock at a lower price. For instance, selling a PLTR put at a $72 strike price with a premium of $1.44 means you earn $144 (less fees) for each contract. If the stock remains above $72 by expiration, the option expires worthless, and you keep the premium as profit. This strategy can generate consistent incom
I opened $SOFI 20241220 14.5 PUT$  ,Sold another call nearer date 
I opened $PLTR 20241220 72.0 PUT$  ,Sold another put 
I closed $PLTR 20241227 70.0 PUT$  ,bought back again at 1.66
I closed $SOFI 20241227 13.0 PUT$  ,After selling bought back 
I opened $PLTR 20241227 70.0 PUT$  ,Sold again at 1.69 
I closed $PLTR 20241227 70.0 PUT$  ,Bought back at some profit cause I feel there is volatility 
I closed $PLTR 20241213 62.0 CALL$  ,Was excerised and reduced position 

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