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Earnings season is here, and it’s your time to shine! With volatility, rate-cut expectations, and big earnings reports on the horizon, the options market is your arena to capture profitable moves. Whether you're positioning for volatility, hedging risk, or seizing long-term opportunities, now is the time to flex your tactical genius and share your strategies. Claim rewards worth up to 200,000 moo points this earnings season!
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the nklr earnings is just posted today. this is their first earnings report after despac. the iv crush happened so quickly I cannot react fast enough. also, it was delayed by a few days. my cover experienced a large iv crush. it is pretty much worthless now so I earn 100% of the cover. I also get to keep the stock it is covered for.
this stock has so much potential. I kind of overkilled on the cover distance. I was expecting a massive bu...
this stock has so much potential. I kind of overkilled on the cover distance. I was expecting a massive bu...
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I’m all-in on Dollar-Cost Averaging (DCA) for the most explosive sector on the planet right now: artificial intelligence, quantum computing, and the infrastructure that powers both. Instead of trying to guess tops and bottoms (a loser’s game), I simply buy a fixed dollar amount every single month, no matter what the price is doing. Emotion removed, math in control.
Dollar-Co...
Dollar-Co...
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What I trade:
I trade only the diva of all stonks: NDIVA. Earnings or no earnings, rain or sun, tariff or taco, only NDIVA everyday all day, up or down(well, there's other stocks/options also sometimes...)![]()
How I trade:
I am always short volatility and always deploy all of my capital to hedge and squeeze every dollar from my dollars.
I go long on dips and hedge with short calls. It's quite messy and I have many options positions open.
All in all, I have...
I trade only the diva of all stonks: NDIVA. Earnings or no earnings, rain or sun, tariff or taco, only NDIVA everyday all day, up or down(well, there's other stocks/options also sometimes...)
How I trade:
I am always short volatility and always deploy all of my capital to hedge and squeeze every dollar from my dollars.
I go long on dips and hedge with short calls. It's quite messy and I have many options positions open.
All in all, I have...
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Task 1 — Instrument & Target
This week I focused on $SOFI (SOFI.US)$ ahead of its upcoming catalysts. I chose the SOFI 11/21 27.5C because of:
• High implied volatility (over 110%)
• Strong recent momentum
• Cheap premium with a near-term expiration (a pure volatility play)
Task 2 — My Strategy & Goal
My plan was simple:
Buy SOFI calls into the run-up and sell BEFORE expiration to capture IV + price movement — not to hold into the last day.
Why?
...
This week I focused on $SOFI (SOFI.US)$ ahead of its upcoming catalysts. I chose the SOFI 11/21 27.5C because of:
• High implied volatility (over 110%)
• Strong recent momentum
• Cheap premium with a near-term expiration (a pure volatility play)
Task 2 — My Strategy & Goal
My plan was simple:
Buy SOFI calls into the run-up and sell BEFORE expiration to capture IV + price movement — not to hold into the last day.
Why?
...
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📊 Task 1 – Pick Your Instrument & Target
This week I focused on $Amazon (AMZN.US)$ during its post-earnings move. I traded the AMZN 251121 225C call option (exp Nov 21 2025, strike $225). Amazon had just delivered a strong Q3 report with upbeat guidance on cloud and retail margins, driving the stock to break above the $240 level. The move reflected a shift in sentiment across mega-cap tech after earnings, and AMZN ...
This week I focused on $Amazon (AMZN.US)$ during its post-earnings move. I traded the AMZN 251121 225C call option (exp Nov 21 2025, strike $225). Amazon had just delivered a strong Q3 report with upbeat guidance on cloud and retail margins, driving the stock to break above the $240 level. The move reflected a shift in sentiment across mega-cap tech after earnings, and AMZN ...
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🎯 Task 1 – Pick Your Instrument & Target
This earnings season, I focused on $TSM (Taiwan Semiconductor Manufacturing).
TSM often shows strong post-earnings volatility because of its key position in the global semiconductor chain and strong connection with AI-chip demand.
I was watching the TSM CALL 251107 300 contract for a potential momentum continuation after earnings.
⸻
🧩 Task 2 – Outline Your Strategy & G...
This earnings season, I focused on $TSM (Taiwan Semiconductor Manufacturing).
TSM often shows strong post-earnings volatility because of its key position in the global semiconductor chain and strong connection with AI-chip demand.
I was watching the TSM CALL 251107 300 contract for a potential momentum continuation after earnings.
⸻
🧩 Task 2 – Outline Your Strategy & G...
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My high probability + consistent income option playbook - Bought 100 shares of TSLA + Sell TSLA CALL 251121 505
Please like, comment and share. Appreciate it.
TASK 1:
In this earnings season, I was closely watching $Tesla (TSLA.US)$ - one of my most favoured companies, packed with strong expectations and trading interests. With high expectations comes high volatility, as we can see in the ...
Please like, comment and share. Appreciate it.
TASK 1:
In this earnings season, I was closely watching $Tesla (TSLA.US)$ - one of my most favoured companies, packed with strong expectations and trading interests. With high expectations comes high volatility, as we can see in the ...



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Warren Buffett said:
Rule No. 1: Never lose money.
Rule No. 2: Never forget Rule No. 1.
This is certainly not the smartest way of maximising your capital but in my opinion a safer approach, relatively less risky way of ‘collecting rent’
I recently sold a PUT option with a strike price of $7, expiring Jan 2028, and got paid $2 per share upfront.
Here’s what that means in plain terms:
I’m agreeing to buy the stock at $7 if it drops below tha...
Rule No. 1: Never lose money.
Rule No. 2: Never forget Rule No. 1.
This is certainly not the smartest way of maximising your capital but in my opinion a safer approach, relatively less risky way of ‘collecting rent’
I recently sold a PUT option with a strike price of $7, expiring Jan 2028, and got paid $2 per share upfront.
Here’s what that means in plain terms:
I’m agreeing to buy the stock at $7 if it drops below tha...

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Task 1 - Pick Your Instrument & Target
This round, I’m rolling my $SoFi Technologies (SOFI.US)$ and $Advanced Micro Devices (AMD.US)$ sell puts as usual. Both remain on my radar — SOFI for its long-term growth potential in fintech despite short-term volatility, and AMD for its strong position in AI chips, especially after its earnings momentum and relatively lower PE compared to NVDA.
Task 2 - Outline Your Strategy & Goal
My plan...
This round, I’m rolling my $SoFi Technologies (SOFI.US)$ and $Advanced Micro Devices (AMD.US)$ sell puts as usual. Both remain on my radar — SOFI for its long-term growth potential in fintech despite short-term volatility, and AMD for its strong position in AI chips, especially after its earnings momentum and relatively lower PE compared to NVDA.
Task 2 - Outline Your Strategy & Goal
My plan...
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Patsri : its all drama this week
neogroup888 : Jack Ma was seen with David Beckham at NBA China (saw Alibaba Tsai's interview).. Go go Jack Ma!!!
Tiggerpepper : they getting citations
xio wei :![undefined [undefined]](https://static.moomoo.com/nnq/emoji/static/image/default/default-black.png?imageMogr2/thumbnail/36x36)
![undefined [undefined]](https://static.moomoo.com/nnq/emoji/static/image/default/default-black.png?imageMogr2/thumbnail/36x36)
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73209919 : Roller coaster
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