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Wiki Selling TSLA Options - Be the House

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Thanks. That’s a good reminder to me to be careful around July because of Q2 P&D.

Would you risk something higher and further out like -C240 or -C260 January 2025?

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I dont wanna risk q2 P&D. Sure as heck dont want to risk q2,3 and 4 P&Ds & ERs.

For 1/25 I have tons of 450Cs but they are too low now. Earlier this month I added a batch at 1.7 and now they are trading 0.93. Thats on top of the weeklies.
 
I think we get our answer tomorrow on how big this dump going be.

Then if we get a really big dump this week what happen during ER, has all the negatively now been baked in?

Boggled the mind..... especially one with a tiny head and small brain.
I'm not at all surprised by the dump in the price, I mean things are going from bad to awful, but I was wrong-footed by the resilience of the stock after P&D

Anyway, after sleeping on it, or rather lying awake half the night scheming, I'll look to roll the -c165's down to -c150 and close out the -p165's -> I'm still holding a lot of long calls to roll against if it goes the other way

But I see nothing but pain short term, can be the FSD story plays-out positively, but will take a while

Maybe we get some nicer CN numbers today that will ease things a bit
 
House Cleaning time ..
Closed all my Calls bought based on selling CC over the past 2 years.
Net loss is like 600 shares .... based on what I had accumulated 2 yrs ago



Jan 250, 270 CCs against all personal shares(all intact) still there

Not sure where to put my money to work, but I am thinking selling NVDA weekly PUTS .. a bit aggressive and won't mind if assigned (need some diversification)