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Thursday, December 23, 2021

Options trading : Dow Jones "Diamonds" ETF (DIA) bull put spread, 12/31/2021 exp | $217 profit

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Friday, 11/19/2021

sell -2 Dec 31, 2021 $333 puts at $1.83 (prob ITM 17%)

buy +2 Dec 31, 2021 $260 puts at $0.23 (prob ITM 2%)

  • net credit:  $1.60
  • DIA = $355.79
  • margin:  $5621


Tuesday, 12/21/2021

buy back both short puts ($333 strike) at $0.50 to remove the risk and to take profits


Wed. 12/22/2021

sell (to close) the two remaining long puts at $0.01


NET PROFIT:  $216.71


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Options trading : Activision (ATVI) put trade, 12/10/2021 | $6.64 loss

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Thu. 11/4/2021

sell -1 Dec 10, 2021 $$65 put at $1.29

  • prob ITM: 33%
  • ATVI = $68.09
  • oversold
  • 36 DTE


Wed. 12/1/2021 (ROLL)

buy (to close) +1 Dec 10, 2021 $65 put at $6.92

sell (to open) -1 Jan 21, 2022 $65 put at $7.94

net credit:  $1.02


Thu. 12/23/2021

buy back Jan 2022 $65 put at $2.35

I decided to close this trade at a loss because it was ATM with 29 days remaining.

The Universe gave me a "second" chance.

NET LOSS:  $6.64


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Tuesday, December 21, 2021

Options trading : Bitcoin Futures ETF, 12/23/2021 exp | $74 profit

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Friday, 11/19/2021

sell -1 Dec 23, 2021 $30 put at $1.05

  • prob ITM: 25%
  • BITO = $37.08
  • 34 DTE


Tuesday, 12/21/2021

buy back short put at $0.30

NET PROFIT:  $73.68


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Monday, December 20, 2021

Options trading : Activision (ATVI) short put, 10/1/2021 exp | $48.68

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Thu. 8/26/2021

sell -1 Oct 1, 2021 $76 put at $1.00

  • prob ITM: 26%
  • ATVI = $81.30
  • oversold
  • 36 DTE


Fri. 9/17/2021

buy back short put at $0.50

NET PROFIT:  $48.68


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Options trading : Carnival (CCL) short put trade, 8/6/2021 exp | $108.34 profit

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Fri. 7/2/2021

sell -1 August 6, 2021 $25.50 put at $1.06

  • prob ITM: 45.42%
  • CCL = $26.11
  • oversold
  • 35 DTE


Fri. 7/30/2021 <--- ROLL

buy (to close) 1 Aug 6 $25.50 put at $4.01

sell (to open) -1 Oct 15 $25 put at $4.54

net credit:  $0.53


Tue. 9/28/2021

buy back Oct 15 $25 put at $0.48 to take profits

NET PROFIT:  $108.34


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Options trading : Dow, Inc (DOW) short puts, 11/19/2021 exp | $100.66 profit

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Wed. 10/27/2021

sell -2 Nov 19, 2021 $54 puts at $0.54

  • prob ITM: 27%
  • DOW = $56.65
  • oversold
  • 22 DTE


Fri. 11/12/2021

buy back puts at $0.03

NET PROFIT:  $100.66


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Options trading : APPLE (AAPL) short put trade, 1/29/2021 exp | $108.33 profit

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Wed. 1/6/2021

sell -1 Jan 29, 2021 $112 put at $1.12

  • prob ITM: 17%
  • oversold
  • 23 DTE


Mon. 1/25/2021

I decided to buy back my put for $0.03 and close my trade before the Jan 27 earnings announcement.

NET PROFIT:  $108.33


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Options trading : Colgate (CL) Earnings Play, 5/21/2021 exp | $76.34 profit

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Thu. 4/29/2021

sell -1 May 21, 2021 $78 put at $0.77

  • prob ITM: 23%
  • CL = $80.70
  • earnings release on 4/30/2021 before markets open
  • oversold
  • 22 DTE


Fri. 5/21/2021 (expiration)

CL closed at $84.23

My short put expired "worthless."

NET PROFIT:  $76.34


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Options trading : Apple (AAPL) short put, 10/22/2021 exp | $132.34 profit

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Fri. 9/17/2021

sell -1 Oct 22, 2021 $135 put at $1.33

  • prob ITM: 20.40%
  • AAPL = $146.08
  • oversold
  • 35 DTE


Fri. 10/22/2021 (expiration)

AAPL closed at $148.69

My short put expired "worthless."

NET PROFIT:  $132.34


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Options trading : Kellogg (K) short put trade, 12/17/2021 exp | $87.36 profit

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Wed. 10/13/2021

sell -2 Dec 17, 2021 $57.50 puts at $0.85

  • prob ITM: 27%
  • K = $61.69
  • oversold
  • 65 DTE


Wed. 11/3/2021

buy back both puts at $0.40 

I wanted to close this trade and protect my profits prior to the earnings release on 11/4 a.m.

NET PROFIT:  $87.36


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Options trading : Apple short put trade, 6/4/2021 exp | $135.33 profit

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Tue. 5/4/2021

sell -1 June 4, 2021 $119 put at $1.37

  • prob ITM: 23%
  • AAPL = $127.41
  • oversold
  • 31 DTE


Fri. 6/4/2021 (expiration)

buy back short put at $0.01 to remove the risk of assignment

NET PROFIT:  $135.33


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Options trading : Apple short put, 7/2/2021 exp | $102.34 profit

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Fri. 5/21/2021

sell -1 July 2, 2021 $113 put at $1.03

  • prob ITM: 17%
  • AAPL = $125.32
  • oversold
  • 42 DTE


Fri. 7/2/2021 (expiration)

AAPL closed at $139.96

my put option expired "worthless"

NET PROFIT:  $102.34


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Sunday, December 19, 2021

Options trade : QYLD short put, 5/21/2021 exp | $90.67 profit

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Wed. 3/24/2021

sell -2 May 21, 2021 $22 puts at $0.46

  • prob ITM: 54%
  • QYLD = $22.32
  • stochastics = 58 (and dropping)
  • 58 DTE


Fri. 5/21/2021 (expiration)

QYLD = $22.13

short puts expired "worthless"

NET PROFIT:  $90.67


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Option trade : General Mills (GIS) short put, 2/19/2021 exp | $135.68 profit

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Wed. 12/30/2020

sell -1 Feb 19, 2021 $57.50 put at $1.52

  • prob ITM: 44%
  • oversold
  • 51 DTE


Thu. 2/18/2021

buy back short put at $0.15 to remove the risk of assignment

NET PROFIT:  $135.68


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Option trade : Morgan Stanley (MS) short put, 12/10/2021 exp | $126.68 profit

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Wed. 11/10/2021

sell -1 Dec 10, 2021 $95 put at $1.78

prob ITM: 36%

  • MS = $98.18
  • oversold
  • 30 DTE


Mon. 12/6/2021

buy back short put at $0.50 to remove the risk of assignment

NET PROFIT:  $126.68


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Option trade : Dow Jones ETF (DIA) credit (bull) put spread, 5/21/2021 exp | $83.36 profit

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Mon 4/26/2021

sell -1 May 21, 2021 $329 put at $2.03 (prob ITM 24%)

buy +1 May 21, 2021 $320 put at $0.97 (prob ITM 12%)

  • net credit: $1.06
  • DIA = $340.24
  • margin: $900
  • stochastics = 67 (heading down)
  • 25 DTE


Fri. 5/7/2021

buy back entire spread for $0.20 (debit)

NET PROFIT:  $83.36


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Option trade : US Treasury ETF (TLT) credit (bull) put spread, 12/17/2021 exp | $76 profit

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Wed. 11/17/2021

sell -2 Dec 17, 2021 $140 puts at $0.79 (prob ITM 22%)

buy +2 Dec 17, 2021 $130 puts at $0.11 (prob ITM 3.45%)

  • net credit: $0.68
  • TLT = $145.60
  • margin: $2000
  • oversold
  • 30 DTE


Fri. 11/19/2021

bought back entire spread for $0.30 debit

closed trade after just 2 days to take profits

NET PROFIT:  $70.70


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Monday, November 1, 2021

Option trade : Bullish Consumer Staples ETF (XLP) trade, 11/5/2021 exp | $124 profit

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Tue. 9/28/2021

sell -2 Nov 5, 2021 $67 puts at $0.65

  • low stochastics
  • 38 DTE
  • prob ITM: 30%
  • XLP = $69

Thu. 10/28/2021

buy back puts at $0.03

NET PROFIT:  $122.66 (30 days)

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Friday, October 29, 2021

Option trade : Bullish Communications ETF (XLC) trade, 10/29/2021 exp | $100 profit

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Thu. 9/23/2021

sell -1 Oct 29, 2021 $80 put at $1.05

  • prob ITM: 36%
  • low stochastics
  • 36 DTE
  • XLC = $82


Fri. 10/29/2021 (Expiration)

buy back put at $0.05

NET PROFIT:  $99.33


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Option trade : Bullish ARK Innovation ETF (ARKK) trade, 11/12/2021 exp | $258 profit

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Fri. 10/8/2021

sell -2 Nov 12, 2021 $95 puts at $1.34

  • prob ITM: 18%
  • low stochastics
  • 35 DTE
  • ARKK = $111


Fri. 10/29/2021

buy back puts at $0.05

NET PROFIT:  $256.66 (21 days)


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Option trade: Bullish Coca Cola (KO) trade, 11/19/2021 exp | $44 profit

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Thu. 9/23/2021

sell -2 Nov 19, 2021 $47.50 puts at $0.24

  • prob ITM:  11%
  • KO = $54


Fri. 10/29/2021

buy back both puts at $0.02

PROFIT:  $44 (36 days)


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Monday, October 25, 2021

Option trade: Bullish ARK Innovation ETF (ARKK) trade, 11/5/2021 exp | $117 profit

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Wed. 9/29/2021

sell -1 Nov 5, 2021 $90 put at $1.18

  • prob ITM: 15%
  • low stochastics
  • 37 DTE
  • ARKK = $110


Mon. 10/25/2021

buy back short put at $0.01

NET PROFIT:  $116.33 (26 days)


FREE options trading lessons here!



Wednesday, October 20, 2021

Option trade: Vanguard REIT ETF (VNQ) bullish put trade, 11/19/2021 exp | $83 profit

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Fri. 9/24/2021

sell -1 Nov 19, 2021  $99 put at $1.08

  • prob ITM:  25%
  • VNQ =  $105
  • 56 DTE
  • low stochastics


Wed. 10/20/2021

buy back short put at $0.25

NET PROFIT:  $81.68 (26 days)


Tuesday, October 19, 2021

Option trade: Bullish Technology Sector trade | $115 profit

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Thu. 9/30/2021

sell -1 Nov 5, 2021 $143 put at $2.20

  • prob ITM: 30%
  • XLK = $150.41
  • oversold
  • 36 DTE


Mon. 10/11/2021

buy back short put at $1.05 to remove the risk of assignment

PROFIT:  $115 (11 days)

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Saturday, August 14, 2021

Options trade: SPX credit (bull) put spread, 8/13/2021 exp | $480 in 9 days (148% return)

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Wed. 8/4/2021

sell -2 Aug 13, 2021  4245 puts at $5.60 (prob ITM 10%)

buy +2 Aug 13, 2021  4180 puts at $3.20 (prob ITM 6%)

  • net credit:  $2.40 x 2 x 100 =  $480 (max profit)
  • SPX = 4406.96 (-16.19)
  • max risk (AT exp):  $13,000
  • 9 DTE


Fri. 8/13/2021 (Expiration Friday)

SPX settled at 4468 (+7.17)

all puts expired "worthless"

PROFIT:  $480 (9 days)

Return on capital:  148% (annualized)

FREE options trading videos here!


Thursday, August 12, 2021

Options trade: SPX diagonal put spread, 8/16/2021 exp | $103 in ONE DAY (3756% return)

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Tue. 8/10/2021

sell -2 August 16, 2021  4265 puts at $1.40 (prob ITM 3.88%) <--- 6 DTE

buy +2 August 11, 2021  4260 puts at $0.15 (prob ITM 0.67%)  <--- 1 DTE

  • net credit:  $1.25 x 2 x 100 =  $250
  • SPX = 4434.93 (+2.58)
  • margin: $1000


Wed. 8/11/2021 (NEXT DAY)

buy back Aug 16  4265 short put at $0.70

let the long puts expire

NET PROFIT:  $102.92 (ONE DAY)

Return on capital:  3756% (annualized)


FREE options trading videos here!


Options trade: Energy sector ETF (XLE) semi-bullish trade | How to manage an "unlucky" short-put trade

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Monday, 7/12/2021

sell -1 August 13, 2021  $51 put at $1.00

  • prob ITM (assignment):  35.60%
  • XLE = $53 (+0.155)
  • oversold
  • 32 DTE


Wednesday, 8/11/2021

buy back short put at $1.00 to break even


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Friday, August 6, 2021

Options trade: SPX credit (bull) put spread, 8/6/2021 exp | $330 in 8 days (185% return)

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Thu. 7/29/2021

sell -2 August 6, 2021  4280 puts (prob ITM 10%)

buy +2 August 6, 2021  4240 puts (prob ITM 7%)

  • SPX = 4419
  • net credit:  $1.65 x 2 x 100 =  $330 (max profit)
  • 8 days 'til exp
  • margin (risk):  $8000


Fri. 8/6/2021 (Expiration Friday)

SPX settled at 4436.52 (+7.42)

all puts expired "worthless"


PROFIT:  $330 (8 days)

Return on capital ($8000):  185% (annualized)


FREE options trading video here!



Tuesday, August 3, 2021

Options trade: SPX credit (bull) put spread, 8/4/2021 exp | $392 in 7 days (227% return)

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Wed. 7/28/2021

sell -2 August 4, 2021  4265 puts (prob ITM 10%)

buy +2 August 4, 2021  4220 puts (prob ITM 6%)

  • net credit:  $2.00 x 2 x 100 =  $400 (max profit)
  • SPX = 4399.12 (-2.34)
  • margin (risk):  $9,000
  • 7 days 'til exp


Tue. 8/3/2021 (1 DTE)

buy back short puts for $0.05

sell to close long puts for $0.05


NET PROFIT:  $391.72 (7 days)

Return on capital:  227% (annualized)


FREE options trading videos here!


Friday, July 23, 2021

Options trade: SPX credit (bull) put spread, 7/21/2021 exp | 269% return

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Fri. 7/16/2021

sell -2 July 21, 2021  4235 puts at $3.75 (prob ITM 10%)

buy +2 July 21, 2021  4195 puts at $2.25 (prob ITM 6%)

  • net credit:  $1.50
  • SPX = 4345.08 (-14.95)
  • margin (risk):  $8,000
  • 5 DTE


Wed. 7/21/2021 (EXPIRATION)

SPX settled at 4358.69 (+35.63)

NET PROFIT:  $295.02 (5 days)

Return on capital:  269% (annualized)

FREE options trading videos here!


Options trade: SPX credit (bull) put spread, 7/23/2021 exp | 206% return

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Fri. 7/16/2021

sell -2 July 23, 2021  4180 puts at $4.93 (prob ITM 10%)

buy +2 July 23, 2021  4135 puts at $3.13 (prob ITM 6%)

  • net credit:  $1.80
  • SPX =  4330 (-30)
  • margin (risk):  $9,000
  • 7 DTE


Fri. 7/23/2021 (EXPIRATION)

SPX settled at 4411.79 (+44.31)

all puts expired "worthless"

NET PROFIT:  $355.02 (7 days)

Return on capital:  206% (annualized)


FREE options trading videos here!


Thursday, July 22, 2021

Options trade: SPX credit (bull) put spread, 7/6/2021 exp | 160% return

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Tue. 6/29/2021

sell -2 July 6, 2021  4195 puts at $3.23 (prob ITM 9.62%)

buy + 2 July 6, 2021  4155 puts at $1.98 (prob ITM 5.55%)

  • net credit:  $1.25
  • SPX = 4292.70 (+2.10)
  • margin (risk):  $8,000


Wed. 7/6/2021 (Expiration)

SPX settled at 4343.55 (-8.80)

all puts expired "worthless"

NET PROFIT:  $245.04 (7 days)

Return on capital:  160% (annualized)


FREE options trading videos here!


Options trade: Energy sector ETF (XLE) short put trade (bullish), 5/21/2021 exp | 66% return

Watch THE VIDEO here.

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Tue. 4/20/2021

sell -1 May 21, 2021  $46 put at $1.30

  • prob ITM:  43.63%
  • XLE = $47.06 (-1.29)
  • oversold
  • 31 DTE


Mon. 5/3/2021

buy back short put at $0.20 to remove the risk of assignment

  • 18 DTE
  • overbought

NET PROFIT:  $108.68 (13 days)

Return on capital:  66% (annualized)


Options trade: SPX credit (bull) put spread, 6/30/2021 exp | 221% return

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Thu. 6/24/2021

sell -2 June 30, 2021  4175 puts at $3.36 (prob ITM 10.26%)
buy +2 June 30, 2021  4140 puts at $2.06 (prob ITM 6.05%)
  • net credit:  $1.30
  • SPX = 4265.40 (+23.56)
  • margin (risk):  $7,000
  • 6 DTE


Wed. 6/30/2021 (Expiration)

SPX settled at 4297.50 (+5.70)

all put options expired "worthless"

NET PROFIT:  $255.02 (6 days)

Return on capital:  221.62% (annualized)




Wednesday, July 21, 2021

Options trade: SPX credit (bull) put spread, 7/14/2021 exp | 274% return

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Thu. 7/8/2021

sell -2 July 14, 2021  4195 puts at $5.22 (prob ITM 11%)

buy +2 July 14, 2021  4160 puts at $3.62 (prob ITM 7.39%)

  • net credit:  $1.60
  • SPX = 4326.41 (-32)
  • margin (risk):  $7,000
  • 6 DTE


Wed. 7/14/2021 (Expiration)

SPX settled at 4374.30

all puts expired "worthless"

NET PROFIT:  $315.02 (6 days)

Return on capital:  274% (annualized)


FREE options trading videos here!

Options trade: SPX credit (bull) put spread, 7/16/2021 exp | 993% return



Tues. 7/13/2021

sell -2 July 16, 2021  4275 puts at $3.46 (prob ITM 10%)

buy +2 July 16, 2021  4240 puts at $2.16 (prob ITM 6%)

  • net credit:  $1.30
  • 3 DTE
  • SPX =  4372.25 (-12.38)
  • margin (risk):  $7,000


Wed. 7/14/2021 (2 DTE)

buy back put spread at $0.30 (debit)


NET PROFIT:  $190.40 (1 day)

Return on capital:  993% (annualized)



Options trade: SPX credit (bull) put spread, 5/21/2021 exp | 29,205% return!

Wed. 5/19/2021 (12:02 pm, PT)

sell -2 May 21 2021  3970 puts at $5.11 (prob ITM 11%)
buy +2 May 21, 2021  3940 puts at $3.41 (prob ITM 7.39%)
  • net credit:  $1.70
  • SPX =  4085.63 (-42.20)
  • 2 DTE
  • FOMC minutes at 11 am (PT)
  • margin (risk):  $6,000


Wed. 5/19/2021 (12:54:51 pm, PT)

buy back put spread at $0.65 (debit)

SPX = 4105.25 - 4109.82

NET PROFIT:  $200.04 (in 52 minutes!)

Return on capital ($6,000):  29,205% (annualized)





Options trade: SPX credit (bull) put spread, 5/5/2021 exp | 488% return

Monday, 5/3/2021

Sell -2 May 5, 2021  4125 puts at $2.02 (prob ITM 8.83%)
buy +2 May 5, 2021  4085 puts at $0.87 (prob ITM 3.73%)
  • net credit:  $1.15
  • margin (risk):  $8,000
  • SPX = 4195.06
  • 2 DTE


Wednesday, 5/5/2021 (EXPIRATION)

buy back short puts only (4125 strike) at $0.05 to remove the risk
let long puts expire

SPX settled at 4167.59

NET PROFIT:  $214.19 (2 days)

Return on capital ($8,000):  488% (annualized)





Friday, July 9, 2021

Options trade: ARK ETF (ARKK) Ratio Put Spread, 7/9/2021 exp | 15% return

Tue. 6/8/2021

buy +1 July 9, 2021  $101 put at $1.64 (prob ITM 22.64%)

sell -2 July 9, 2021  $100 puts at $1.47 (prob ITM 21%)

  • net credit:  $1.30 x 1 x 100 =  $130
  • if ARKK > $101 at exp, max profit =  $130
  • if ARKK AT $100 at exp, max profit =  $230
  • ARKK at $112.59 on 6/8
  • stochastics "overbought"
  • 31 days 'til exp (DTE)


Wed. 6/28/2021 <---  11 DTE

buy back 1 short put ($100 strike) at $0.03 to remove the risk of assignment

keep holding remaining debit put spread until expiration


Fri. 7/9/2021 <--- Expiration

ARKK closed at $125.62, so the remaining debit put spread expired "worthless."

NET PROFIT:  $125 (31 days)

Return on capital ($10,000):  15% (annualized)


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Wednesday, June 30, 2021

Options trade: Financial Sector ETF (XLF) short put, 7/23/2021 exp | 21% return

Thu. 6/17/2021

sell -1 July 23, 2021  $34.50 put at $0.41

  • prob ITM:  28%
  • max profit at exp:  $41
  • XLF = $36.09
  • 36 DTE
  • stochastics near "oversold"


Wed. 6/30/2021 <---  23 DTE

bought back short put at $0.14 to remove the risk of assignment

NET PROFIT:  $25.68 (14 days)

Return on capital ($3450):  21% (annualized)


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Friday, June 25, 2021

Options trade: Carnival (CCL) earnings play, 6/25/2021 exp | 241% return!

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Wed. 6/23/2021 (11:38 am, PT)

sell -1 June 25, 2021  $27.50 put option at $0.38 (credit)

Notes:

  • 2 DTE
  • earnings before opening bell on 6/24/2021
  • market maker move = up/down $1.16
  • prob ITM: 36%
  • CCL = $28.14


Fri. 6/25/2021 (12 pm)  <--- EXPIRATION

buy back short put at $0.01

NET PROFIT:  $36.33 (2 days)

Return on capital ($2750):  241% (annualized)


For private coaching, contact moneyandlilia888@gmail.com.

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Wednesday, June 23, 2021

Options trade: SPX credit (bull) put spread, 5/26/2021 exp | 183% return

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Tue. 5/18/2021 (8 DTE)

sell -1 May 26, 2021  3920 put at $4.80 (prob ITM 7.60%)

buy +1 May 26, 2021  3880 put at $3.50 (prob ITM 5.54%)

  • net credit:  $1.30 x 1 x 100 =  $130 (max profit)
  • margin (risk):  $4,000
  • SPX = 4146 (-16.62)


Mon. 5/24/2021 (2 DTE)

buy back entire put spread for $0.05 (debit)

NET PROFIT:  $120.22 (6 days)

Return on capital:  $183% (annualized)

For private coaching, contact moneyandlilia888@gmail.com.

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Options trade: SPX credit (bull) put spread, 5/21/2021 exp | 29,205% return!

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Wed. 5/19/2021 (12:02 pm, PT)

sell -2 May 21, 2021  3970 puts at $5.11 (prob ITM 11%)

buy +2 May 21, 2021  3940 puts at $3.41 (prob ITM 7.39%)

SPX = 4085 (-42)

net credit:  $1.70 x 2 x 100 =  $340 (max profit)

margin (risk):  $6000


Wed. 5/19/2021 (12:54 pm, PT) <--- 52 MINUTES later!

bought back entire spread for $0.65 (debit)

NET PROFIT:  $200.04 (52 MINUTES!)

Return on capital:  29,205% (annualized)

For private training, contact moneyandlilia888@gmail.com

Watch my FREE videos here!


Options trade: SPX credit (bull) put spread, 5/28/2021 exp | 174% return

Fri. 5/21/2021 (7 DTE)

sell -2 May 28, 2021  3935 puts at $3.50 (prob ITM 5.42%)

buy +2 May 28, 2021  3895 puts at $2.40 (prob ITM 3.75%)

net credit:  $1.10 x 2 x 100 =  $220 (max profit)

Margin (risk):  $8000

SPX = 4155 (-3.26)


Wed. 5/26/2021 <--- 2 DTE and SPX = 4196

buy back entire spread for $0.10 (debit)

NET PROFIT:  $190.42 (5 days)

Return on capital: 174% (annualized)

For private training, contact moneyandlilia888@gmail.com

FREE videos here!

Tuesday, June 22, 2021

Options trade: SPX credit bull put spread, 6/23/2021 exp | 204% return

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Wed. 6/16/2021 (right after FOMC announcement)

sell -2 June 23, 2021  4025 puts at $5.63 (prob ITM 9%)

buy +2 June 23, 2021  3990 puts at $4.33 (prob ITM 7%)

credit:  $1.30 x 2 x 100 = $260 (max profit)

margin (risk):  $7,000


Tue. 6/22/2021

bought back the entire spread for $0.05 (debit)

NET PROFIT:  $235.42 (6 days)

Return on capital:  204% (annualized)

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Options trade: SPX credit bull put spread, 6/18/2021 exp | 135% return

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Wed. 6/9/2021

sell -2 June 18, 2021  4045 puts at $6.50 (prob ITM 10%)

buy +2 June 18, 2021  4015 puts at $5.30 (prob ITM 8%)

net credit:  $1.20 x 2 x 100 =  $240

SPX = 4227.58

margin (risk):  $6000


Wed. 6/16/2021

bought back the entire spread for $0.35

NET PROFIT:  $155.08 (7 days)

Return on capital:  135% (annualized)

Learn to trade options!

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Options trade: SPX credit (bull) put spread, 6/4/2021 exp | 487% return

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Tue. 5/25/2021 (10 DTE)

sell -2 June 4, 2021 4025 puts at $6.57 (prob ITM 10%)

buy +2 June 4, 2021  3995 puts at $5.12 (prob ITM 8%)

SPX = 4195

margin (risk):  $6000

net credit:  $1.45 x 2 x 100 =  $290 (max profit)



Fri. 5/28/2021 (7 DTE)

buy back entire spread for $0.20 (debit)

NET PROFIT:  $240.22 (3 days)

Return on capital:  487% (annualized)

For private coaching, contact moneyandlilia888@gmail.com

Watch my FREE videos here!


Friday, June 18, 2021

Options trade: bullish Starbucks trade, 6/18/2021 exp | 8% return

4/28/2021

sell -1 June 18, 2021  $105 put at $1.18

  • prob ITM:  23.77%
  • SBUX trading at $112.32
  • margin:  $10,500
  • 51 DTE


6/18/2021 (Expiration)

SBUX closed at $109.70

my short put expired worthless

NET PROFIT:  $117.33 (51 days)

Return on capital:  8% (annualized)

Learn to trade options!

Tuesday, June 15, 2021

Options trade: SPX credit bull put spread, 6/16/2021 exp | 198% return

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Tue. 6/8/2021 (8 DTE)

sell -2 June 16, 2021  4090 puts at $5.05 (prob ITM 10.30%)

buy +2 June 16, 2021  4060 puts at $3.80 (prob ITM 7.59%)

  • net credit:  $1.25 x 2 x 100 =  $250
  • SPX = 4226.43
  • margin (risk):  $6000


Mon. 6/14/2021  <--- 2 DTE

buy back entire spread for $0.20 (debit)

I wanted to close the trade prior to the FOMC press conference on 6/16/2021

NET PROFIT:  $195.42 (6 days)

Return on capital:  198% (annualized)

Learn to trade options!

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Friday, June 4, 2021

Options trade: SPX credit bull put spread, 6/9/2021 exp | 1536% return

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Thu. 6/3/2021 (6 DTE)

sell -2 June 9, 2021  4090 puts at $4.30 (prob ITM 10.28%)

buy +2 June 9, 2021  4065 puts at $3.00 (prob ITM 7.21%)

  • net credit:  $1.30 x 2 x 100 =  $260
  • SPX = 4199
  • margin (risk):  $5000


Fri. 6/4/2021 (5 DTE)

SPX rose over 37 points today, so I was able to buy back my entire put spread for $0.20 (debit)

NET PROFIT:  $210.40 (1 day!)

Return on capital:  1536% (annualized)

Learn to trade options.

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Tuesday, May 4, 2021

Options trade: Coca Cola (KO) short put trade and assignment

Tuesday, 11/24/2020 (3 DTE)

sell -2 November 27, 2020  $53.50 puts at $0.50 (ITM)

prob ITM:  70.53% (high)


Friday, 11/27/2020 (EXPIRATION)

KO closed at $52.70

My short puts were in-the-money (ITM) at expiration, so I assigned 200 shares of KO.

In plain English:  I had to BUY 200 shares of KO at my strike price of $53.50/share.



Monday, May 3, 2021

Options trade: UPS Earnings Play (2-day trade) | 121% return



Monday, 4/26/2021 (4 DTE)

sell -1 April 30, 2021  $167.50 put at $1.15

  • UPS at $175.45 (-$3.51)
  • prob ITM: 21.41%
  • Market Maker Move:  plus/minus $7.21
  • earnings before Opening Bell on 4/27/2021


Wednesday, 4/28/2021 (2 DTE)

buy back short put at $0.03

NET PROFIT:  $111.33 (2 days)

Return on capital:  121% (annualized)




Options trade: SPX credit (bull) put spread, 5/3/2021 exp | 477% ROC

Friday, 4/30/2021

sell -2 May 3, 2021  4125 puts at $2.15 (prob ITM 10%)
buy +2 May 3, 2021  4095 puts at $0.95 (prob ITM 5%)

  • margin: $6000
  • net credit:  $1.20 x 2 x 100 =  $240 (max profit)
  • SPX at 4185.32

Monday, 5/3/2021 (EXPIRATION)

SPX settled at 4192.66
All put options expired "worthless"

NET PROFIT:  $235.20 (3 days)
Return on capital:  477% (annualized)


Friday, April 23, 2021

Options trade: Bullish Apple trade, 4/23/2021 exp

Thu. 3/25/2021

sell -1 Apr 23, 2021 $109 put at $1.01

  • prob ITM:  18.25%
  • AAPL at $119.70
  • 29 DTE
  • low stochastics

Fri. 4/23/2021 (expiration)

AAPL closed at $134.32
let all puts expire

NET PROFIT:  $100.34


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Friday, April 16, 2021

Options trade: SPX bull (credit) put spread | 429% return

Wednesday, 4/14/2021

sell -1 April 16, 2021  4030 put at $2.12 (prob ITM 7.08%)

buy +1 April 16, 2021  3980 put at $0.92 (prob ITM 2.95%)

net credit:  $1.20 x 1 x 100 = $120

margin: $5000

SPX at 4124


Friday, 4/16/2021 (EXPIRATION)

Strong up day, let all options expire "worthless"

NET PROFIT:  $117.61 (2 days)

Return on capital: 429% (annualized)


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Wednesday, April 14, 2021

Options trade: SPX credit call spread | 1095% return

 Monday, 3/29/2021

buy +1 March 31, 2021  4065 call at $0.75 (prob ITM 3.64%)

sell -1 March 31, 2021  4035 call at $2.55 (prob ITM 11%)

net credit: $1.80 x 1 x 100 = $180

margin: $2868

2 DTE

SPX between 3968 and 3974


Wednesday, 3/31/2021 (EXPIRATION)

buy back short call (4035 strike) at $0.05 to remove the risk of assignment

let long call expire

SPX closed at 3972.89

NET PROFIT:  $172.11 (in 2 days)

Return on capital:  1095% (annualized)


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Options trade: SPX credit (bull) put spread | 1217% return

Monday, 3/1/2021 (10:02 am, PT) <--- EXPIRATION DAY

sell -1 March 1, 2021  3870 put at $1.45 (prob ITM 14.30%)
buy +1 March 1, 2021  3835 put at $0.25 (prob ITM 2.31%)

net credit:  $1.20 x 1 x 100 =  $120 (max profit)
margin:  3361
SPX at 3893


Monday, 3/1/2021 (12:52 pm, PT)  <--- almost 3 hours later

buy back 3870 short put at $0.05

NET PROFIT:  $112.11 (in about 3 hours)

ROC:  3.33% (in about 3 hours) =  1217% (annualized)