Daytrader not a Professional, do not take my posts as financial advice. I play short term options for large % gains. I swing Big.

Louisville, Kentucky
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My Best Trades of 2022 $NFLX $PYPL I din't get a full screenshot of Paypal but I sold my $146 puts at $10 and my $140's for $7.
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$TSLA proving the grift over and over again
My power wall has been disabled for 4 weeks since this rolling recall on $8 billion of power walls. Zero attempts from Tesla to Schedule a replacement. Truly the worst customer service in the business.
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MWM retweeted
This pretty much sums it up 😂:
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JUST IN: There is now a 64% chance Democrats sweep the midterms, per Polymarket⁠.com. That's up from around 40% in July, with the gap widening every month since.
Paid partnership (ad)
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MWM retweeted
Foreign Investors pumped $426 Billion into U.S. Stocks during the 2nd quarter, the largest inflow in history, shattering the previous record of $299 Billion set in 2022 🚨
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The S&P 500 is 0.7% below a record high, yet 430 of those stocks are 21.7% below their highs. That means on average 86% of the stocks are in a bear market. Breadth has only been this bad twice, in January 1973 and in 1999/2000. On both occasions, the S&P then crashed nearly 50%
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🚨Oracle might be in big trouble. Its credit default swaps just hit a record high, and its 2056 bonds are now yielding over 8% for the first time. Oracle is one downgrade away from junk status. If that happens, $120 billion of its bonds get automatically pulled from investment-grade indexes. This comes right after Oracle's force majeure notice on its New Mexico data center, and while long-term US yields are hitting multi-decade highs. This isn't just an Oracle problem. Credit default swaps are rising across Google, Microsoft, Amazon, Meta, Nvidia, and SpaceX too. The market is starting to worry about how this entire AI buildout is being financed.
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The average US stock is struggling. The ratio of the equal-weighted S&P 500 to the S&P 500 index is down to 1.11, its 3rd-lowest level since April 2003. This ratio has declined for 5 consecutive weeks by a total of -5.5%. Over this period, the equal-weighted S&P 500 has fallen -4.4% while the S&P 500 has increased by +0.8%. This also puts the ratio on track for its 4th consecutive annual decline, the longest streak since 1999. By comparison, this metric peaked at 1.60 in April 2015. AI is carrying the entire stock market.
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Hear me out… perhaps the Republican leadership shouldn’t have shut down Congress until after the election just to stop the rest of the Epstein files from being released.
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MWM retweeted
I think Stripe is back in the loop $PYPL
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$SKFG Nasdaq here we come!
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$SKFG Sweet!!! Uplisting is coming!
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BREAKING: President Trump has rejected Iran’s proposal for a 7-day ceasefire and has told aides he expects to begin bombing Iran after the November midterms, per WSJ. Iran’s proposal would have reopened the Strait of Hormuz and resumed nuclear talks in return for the US lifting its blockade of Iranian ports. Trump is reportedly skeptical Iran will meet his demands and has told his staff that he sees a renewed bombing campaign as likely. Today marks day 209 of the Iran War.
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🚨 There is a 80% high probability that $META could buy $PYPL and augment it to META-PAY It’s a direct call to bring 440 million global accounts into meta muse platform 📈
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$pypl board wanting all cash
$META: Piper Sandler PT $875, TD Cowen PT $865, Canaccord PT $950
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Revenue and stock price need some couples therapy 💔 $PYPL
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$PYPL starting to think this move is legitimate
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$PYPL next week's $60's????????
$PYPL that is a lot of late day option action!
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