I got smacked pretty hard today, with NRP, HCLP and BAS all taking blows. The earnings out of NRP and HCLP apparently spooked some investors, and BAS just sort of followed along.
I am not concerned about any one of these positions. The rest of the holdings were a pretty mixed bag.
I dare not address the Tesla selloff just yet, for fear I somehow jinx it. I refuse to report any of the numbers on my put position, as it is so small and just unpredictable. Suffice to say, the first batch of options expire with early 2014. The next two thirds of them expire with early 2015. I’ll mark them down as they expire worthless, or record the profits when I actually have something more concrete.
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Appreciate your candor. This muppet
is curious- why add to $HCLP.
cheers
Because I like the partnership
Looks like an obvious correction started today, but then one must consider qe4ever. Momo and most recent winners got smoked. While a few mega crap dogs went ape shit.
(laughter) why did an obvious correction start yesterday?
“obvious” is always a dumbass way to describe the tape, no doubt. Momo shitting a brick basically out of nowhere while softee goes full retard and blah blah… Just a guess.