Profit per
contract
$300,469+$12,146 last 30dcontract
Every alerted trade, tracked publicly. This is updated periodically. For real-time updates, check out my discord alert channel for paid subs.
| # | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| 935 | 7/10/26 | ES | Bought | 7540/7450 P | 7/10/26 | -2.7 | Expired | $135.00 | 100.00% | Put credit spread |
| 934 | 7/10/26 | TSLA | Bought | 415 C | 7/13/26 | 2.48 | -2.95 | $47.00 | 18.95% | |
| 933 | 7/10/26 | BE | Bought | 230/165 P | 8/7/26 | 25.3 | OPEN | β | β | Put credit spread |
| 932 | 7/9/26 | NQ | Bought | 29375/28900 P | 7/10/26 | -25 | Expired | $500.00 | 100.00% | Put credit spread |
| 931 | 7/9/26 | NQ | Bought | 29475/29000 P | 7/9/26 | -36 | 14 | $440.00 | 61.11% | Put debit spread |
| 930 | 7/8/26 | ES | Bought | Futures | β | 7525 | 7550 | $1,250.00 | 100.00% | |
| 929 | 7/8/26 | ES | Sold | 7550 C | 7/10/26 | -9 | Expired | $450.00 | 100.00% | Covered call |
| 928 | 7/8/26 | ES | Bought | 7475/7450 P | 7/10/26 | 8.8 | -7.1 | -$85.00 | -9.66% | Put debit spread |
| 927 | 7/7/26 | ES | Bought | 7525/7370 P | 7/8/26 | -6.5 | Expired | $325.00 | 100.00% | Put credit spread |
| 926 | 7/7/26 | NQ | Bought | 29300/28750 P | 7/7/26 | -31.5 | Expired | $630.00 | 100.00% | Put credit spread |
| 925 | 7/5/26 | ES | Bought | 7515/7400 P | 7/6/26 | -5 | 1.25 | $187.50 | 75.00% | Put credit spread |
| 924 | 7/2/26 | ES | Bought | 7525/4325 P | 7/2/26 | -4.3 | Expired | $215.00 | 100.00% | Put credit spread |
| 923 | 7/2/26 | NQ | Assignment | Future | β | 29800 | 29940 | $2,800.00 | 0.47% | |
| 922 | 7/1/26 | DELL | Bought | 380/320 P | 7/17/26 | -6.65 | 2.5 | $415.00 | 62.41% | Put credit spread |
| 921 | 7/1/26 | DRAM | Sold | 62.5 P | 7/10/26 | -2.1 | Expired | $210.00 | 100.00% | |
| 920 | 7/1/26 | INTC | Bought | 140C | 8/21/26 | 13.95 | OPEN | β | β | |
| 919 | 7/1/26 | INTC | Sold | 100P | 1/15/27 | -14.7 | OPEN | β | β | |
| 918 | 7/1/26 | NBIL | Bought | Shares | β | 40.75 | OPEN | β | β | |
| 917 | 7/1/26 | AMDL | Sold | 69 P | 7/10/26 | -4 | 2.5 | $150.00 | 37.50% | |
| 916 | 7/1/26 | GLW | Bought | 220 C | 8/21/26 | 31.8 | OPEN | β | β | |
| 915 | 7/1/26 | NQ | Bought | 29900/29100 P | 7/1/26 | -14.25 | 2 | $245.00 | 85.96% | Put credit spread |
| 914 | 7/1/26 | GLW | Bought | 195/160 P | 7/17/26 | -4..41 | OPEN | β | β | Put credit spread |
| 913 | 7/1/26 | NQ | Bought | 29800/28900 P | 7/2/26 | -54 | Expired | $1,080.00 | 100.00% | Put credit spread |
| 912 | 6/30/26 | BE | Bought | 260/200 P | 7/10/26 | -6.2 | 19.8 | -$1,360.00 | -219.35% | Put credit spread, rolled to 8/7 |
| 911 | 6/30/26 | AMD | Bought | 500/450 P | 7/17/26 | -8.32 | 4.75 | $357.00 | 42.91% | Put credit spread |
| 910 | 6/29/26 | MU | Bought | 900/800 P | 7/17/26 | -15.5 | OPEN | β | β | Put credit spread |
| 909 | 6/28/26 | NQ | Bought | 28975/28510 P | 6/29/26 | -36 | Expired | $720.00 | 100.00% | Put credit spread |
| 908 | 6/26/26 | SNXX | Bought | 27.5 P | 7/17/26 | -2.795 | OPEN | β | β | |
| 907 | 6/26/26 | AMAT | Bought | 550/500 P | 7/17/26 | -6.75 | OPEN | β | β | Put credit spread |
| 906 | 6/26/26 | AMD | Bought | 475/450 P | 7/17/26 | -6 | OPEN | β | β | Put credit spread, trimmed 2.6 |
| 905 | 6/25/26 | DELL | Bought | 350/320 P | 7/17/26 | -5.5 | 2.15 | $335.00 | 60.91% | Put credit spread |
| 904 | 6/25/26 | NBIS | Bought | 180/150 P | 12/18/26 | -12.2 | OPEN | β | β | Put credit spread |
| 903 | 6/25/26 | MU | Bought | 800/700 P | 8/21/26 | -15.5 | OPEN | β | β | Put credit spread |
| 902 | 6/23/26 | NQ | Sold | 30000 C | 6/23/26 | -31 | 17.75 | $265.00 | 27.58% | |
| 901 | 6/23/26 | NQ | Assignment | Future | β | 29950 | 29970 | $400.00 | 1.34% | |
| 900 | 6/22/26 | NQ | Bought | 29950/29300 P | 6/23/26 | -30.5 | Expired | $610.00 | 100.00% | Put credit spread |
| 899 | 6/22/26 | ARM | Bought | 320/250 P | 9/18/26 | -25.25 | OPEN | β | β | Put credit spread |
| 898 | 6/21/26 | ES | Bought | 7435/7300 P | 6/22/26 | -6.4 | 0.4 | $300.00 | 93.75% | Put credit spread |
| 897 | 6/21/26 | NQ | Sold | 29975 P | 6/22/26 | -30 | Expired | $600.00 | 100.00% | |
| 896 | 6/16/26 | NQ | Bought | 29850P 1x, 29000P 2x | 6/18/26 | -67.5 | 58 | $190.00 | 14.07% | |
| 895 | 6/16/26 | SPX | Bought | 7495/7480 P | 6/16/26 | -0.9 | Expired | $90.00 | 100.00% | |
| 894 | 6/16/26 | BE | Bought | 250/220 P | 6/26/26 | -4.32 | 2.7 | $162.00 | 37.50% | |
| 893 | 6/16/26 | COHR | Sold | 355P | 6/26/26 | -6.85 | 3.4 | $345.00 | 50.36% | |
| 892 | 6/16/26 | NDX | Bought | 30250/30200 P | 6/16/26 | -6 | 50 | -$4,400.00 | -733.33% | |
| 891 | 6/16/26 | NQ | Bought | 29970/29325 P | 6/16/26 | -18.5 | 2.7 | $480.00 | 60.00% | |
| 890 | 6/15/26 | NQ | Bought | 28000P | 6/22/26 | 16.5 | 0 | -$330.00 | -100.00% | |
| 889 | 6/15/26 | SNDK | Bought | 1550/1450 P | 7/17/26 | -17.2 | OPEN | β | β | |
| 888 | 6/15/26 | NQ | Bought | 29950/29200 P | 6/15/26 | -12 | Expired | $240.00 | 100.00% | |
| 887 | 6/15/26 | PL | Sold | 34.5C | 6/26/26 | -1.3 | 0.39 | $91.00 | 70.00% | |
| 886 | 6/14/26 | NQ | Bought | 29775/29200 P | 6/15/26 | -26.25 | Expired | $525.00 | 100.00% | |
| 885 | 6/14/26 | NQ | Bought | 29650/29100 P | 6/15/26 | -40 | 16 | $480.00 | 60.00% | |
| 884 | 6/12/26 | PL | Assignment | Shares | β | 35 | 26.5 | -$8.50 | -24.29% | |
| 883 | 6/12/26 | NQ | Bought | 28950/28400 P | 6/17/26 | -64.5 | 20 | $890.00 | 68.99% | |
| 882 | 6/12/26 | NQ | Bought | 27900P | 6/15/26 | 8 | 0 | -$160.00 | -100.00% | |
| 881 | 6/11/26 | NQ | Bought | 29000/28300 P | 6/12/26 | -56.5 | Expired | $1,130.00 | 100.00% | |
| 880 | 6/11/26 | NQ | Bought | 27800P | 6/12/26 | 15 | 0 | -$300.00 | -100.00% | |
| 879 | 6/11/26 | SNDK | Bought | 1500/1485 | 7/10/26 | -5 | Expired | $500.00 | 100.00% | |
| 878 | 6/10/26 | MU | Sold | 965C | 6/12/26 | -10 | Expired | $1,000.00 | 100.00% | Covered calls for half of the shares |
| 877 | 6/10/26 | MU | Bought | 820/700 | 8/21/26 | -50 | OPEN | β | β | |
| 876 | 6/9/26 | MU | Bought | 800/760 | 8/21/26 | -17.1 | 15.8 | $130.00 | 7.60% | |
| 875 | 6/9/26 | NQ | Bought | 28750/28400 P | 6/9/26 | -19 | 14 | $100.00 | 26.32% | |
| 874 | 6/8/26 | NQ | Bought | 28950P 1x, 28500P 2x | 6/9/26 | -13 | 4 | $180.00 | 69.23% | |
| 873 | 6/8/26 | RUN | Bought | -11P / +16C / -20C | 9/18/26 | -0.34 | -0.61 | $27.00 | 79.41% | |
| 872 | 6/8/26 | LITE | Bought | 750/650 P | 6/18/26 | -10.05 | Expired | $1,005.00 | 100.00% | |
| 871 | 6/8/26 | NQ | Bought | 28350P | 6/8/26 | 20 | 0 | -$400.00 | -100.00% | |
| 870 | 6/5/26 | MU | Assignment | Shares | β | 950 | 975.5 | $25.50 | 2.68% | |
| 869 | 6/5/26 | NQ | Sold | 30000P | 7/10/26 | -1143 | 60 | $21,660.00 | 94.75% | Rolled 6/5 30250P to 7/10 30000P |
| 868 | 6/5/26 | NQ | Bought | 28000P | 6/12/26 | 90 | -125 | $700.00 | 38.89% | |
| 867 | 6/5/26 | NQ | Sold | 29700P | 7/10/26 | -865 | 105 | $15,200.00 | 87.86% | Rolled 6/5 30000P to 7/10 29700P |
| 866 | 6/4/26 | NQ | Bought | 29800 / 29300 P | 6/8/26 | -50 | 257 | -$4,140.00 | -414.00% | Put credit spread |
| 865 | 6/4/26 | NQ | Bought | 30250 / 29400 P | 6/5/26 | -38.5 | 836 | -$15,950.00 | -2071.43% | Put credit spread |
| 864 | 6/4/26 | MU | Assignment | 975 / 925 P | 6/5/26 | -5.25 | Expired | -$5,000.00 | -952.38% | Put credit spread |
| 863 | 6/4/26 | MU | Bought | 950 / 850 P | 6/5/26 | -6.04 | Expired | $604.00 | 100.00% | Put credit spread |
| 862 | 6/3/26 | HD | Bought | 325 C | 6/18/26 | 2.78 | -4.85 | $207.00 | 74.46% | |
| 861 | 6/3/26 | NQ | Bought | 30275 / 29700 P | 6/4/26 | -36 | 12 | $480.00 | 66.67% | Put credit spread |
| 860 | 6/3/26 | AVGO | Bought | 400/250 P | 1/15/27 | -17.5 | OPEN | β | β | Originally was 400/350 -- cashed out the long 350P for -25 after ER dump |
| 859 | 6/3/26 | CRWD | Bought | 660 / 620 P | 6/18/26 | -6.51 | 2 | $451.00 | 69.28% | Put credit spread |
| 858 | 6/3/26 | MRVL | Bought | 200 / 220 P | 7/17 and 1/15/27 | -32.3 | OPEN | β | β | Diagonal |
| 857 | 6/3/26 | NQ | Bought | 29700 / 30000 P | 6/4 and 6/5 | -38 | 589 | -$11,020.00 | -1450.00% | Diagonal |
| 856 | 6/3/26 | MU | Bought | 970 / 900 P | 6/12/26 | -13.89 | 37 | -$2,311.00 | -166.38% | Took loss on half, and rolled the other half |
| 855 | 6/3/26 | SNXX | Sold | 22.5 P | 6/18/26 | -1.45 | 0.05 | $140.00 | 96.55% | |
| 854 | 6/3/26 | AMD | Bought | 510 / 475 P | 6/5/26 | -4.72 | 33.8 | -$2,908.00 | -616.10% | Put credit spread |
| 853 | 6/3/26 | MU | Bought | 900 / 800 P | 7/17/26 | -30.5 | 20.5 | $1,000.00 | 32.79% | Put credit spread |
| 852 | 6/3/26 | NQ | Bought | 30450 / 29800 P | 6/3/26 | -20 | 2.75 | $345.00 | 86.25% | Put credit spread |
| 851 | 6/1/26 | NQ | Bought | 30030 / 29200 P | 6/2/26 | -27 | Expired | $540.00 | 100.00% | Put credit spread |
| 850 | 6/1/26 | NQ | Bought | 30050 / 29300 P | 6/2/26 | -31 | 11 | $400.00 | 64.52% | Put credit spread |
| 849 | 6/1/26 | META | Bought | 575 / 500 P | 7/17/26 | -13 | 4.15 | $885.00 | 68.08% | Put credit spread |
| 848 | 6/1/26 | COHR | Bought | 300P | 1/15/27 | -61.58 | 55.2 | $638.00 | 10.36% | |
| 847 | 6/1/26 | COHR | Sold | 360C | 7/17/26 | 49.66 | -91.56 | $4,190.00 | 84.37% | |
| 846 | 6/1/26 | CRDO | Bought | 197.5 / 180 P | 6/5/26 | -3.5 | 2.5 | $100.00 | 28.57% | Put credit spread |
| 845 | 6/1/26 | SNDK | Sold | 1475 P | 6/5/26 | -9.5 | Expired | $950.00 | 100.00% | |
| 844 | 6/1/26 | AMD | Bought | 470 / 415 P | 6/12/26 | -9.2 | 0.07 | $913.00 | 99.24% | Put credit spread |
| 843 | 6/1/26 | NDX | Bought | 30070 / 29990 P | 6/1/26 | -5.8 | Expired | $580.00 | 100.00% | Put credit spread |
| 842 | 6/1/26 | NQ | Bought | 30200 / 29500 P | 6/1/26 | -24 | Expired | $480.00 | 100.00% | Put credit spread |
| 841 | 6/1/26 | MU | Bought | 920 / 850 P | 6/5/26 | -8.5 | 5.5 | $300.00 | 35.29% | Put credit spread |
| 840 | 6/1/26 | NQ | Bought | 30250 / 29700 P | 6/1/26 | -22 | Expired | $440.00 | 100.00% | Put credit spread |
| 839 | 5/31/26 | NQ | Bought | 30075 / 29100 P | 6/1/26 | -17 | Expired | $340.00 | 100.00% | Put credit spread |
| 838 | 5/31/26 | NQ | Bought | 29975 / 29100 P | 6/1/26 | -20 | 4 | $320.00 | 80.00% | Put credit spread |
| 837 | 5/29/26 | MU | Bought | 915 / 850 P | 6/5/26 | -18 | 16.25 | $175.00 | 9.72% | Put credit spread |
| 836 | 5/29/26 | NQ | Bought | 29850 / 29600 P | 6/1 and 6/2 | -41.5 | Expired | $830.00 | 100.00% | Put credit spread |
| 835 | 5/29/26 | PL | Sold | 35 P | 6/12/26 | -1.35 | Expired | $135.00 | 100.00% | |
| 834 | 5/29/26 | ASTS | Sold | 83 P | 6/12/26 | -2 | 0.75 | $125.00 | 62.50% | |
| 833 | 5/29/26 | NQ | Bought | 30075 / 29150 P | 5/29/26 | -15.25 | Expired | $305.00 | 100.00% | Put credit spread |
| 832 | 5/28/26 | NQ | Bought | 29750 / 28900 P | 6/1/26 | -42.75 | 15 | $555.00 | 64.91% | Put credit spread |
| 831 | 5/28/26 | AMD | Bought | 480 / 430 P | 6/5/26 | -6.36 | 0.77 | $559.00 | 87.89% | Put credit spread |
| 830 | 5/28/26 | AEHR | Bought | 93 / 70 P | 6/5/26 | -4.51 | 0.6 | $391.00 | 86.70% | Put credit spread |
| 829 | 5/28/26 | NVDA | Bought | 205 / 160 P | 7/10/26 | -6.33 | 1.5 | $483.00 | 76.30% | Put credit spread |
| 828 | 5/28/26 | MU | Bought | 870 / 750 P | 6/5/26 | -20.26 | 4 | $1,626.00 | 80.26% | Put credit spread |
| 827 | 5/28/26 | BE | Bought | 220 / 150 P | 1/15/27 | -30 | OPEN | β | β | Put credit spread |
| 826 | 5/28/26 | GEV | Bought | 925 / 850 P | 6/12/26 | -8.6 | 4 | $460.00 | 53.49% | Put credit spread |
| 825 | 5/27/26 | MUU | Bought | Shares | β | 755.5 | 845 | $89.50 | 11.85% | |
| 824 | 5/27/26 | NQ | Bought | 29790 / 29100 P | 5/28/26 | -32.25 | 4.8 | $549.00 | 85.12% | Put credit spread |
| 823 | 5/27/26 | NQ | Bought | 29700 / 29000 P | 5/28/26 | -25.63 | Expired | $512.60 | 100.00% | Put credit spread |
| 822 | 5/27/26 | META | Bought | 600 / 550 P | 6/18/26 | -7.24 | 3.7 | $354.00 | 48.90% | Put credit spread |
| 821 | 5/27/26 | LITE | Bought | 700 / 800 P | 6/18 and 6/26 | -33.54 | 3 | $3,054.00 | 91.06% | Diagonal |
| 820 | 5/27/26 | NBIS | Bought | 192.5 / 170 P | 5/29/26 | -2.22 | Expired | $222.00 | 100.00% | Put credit spread |
| 819 | 5/27/26 | NQ | Bought | 29575 / 29000 P | 5/28/26 | -32 | Expired | $640.00 | 100.00% | Put credit spread |
| 818 | 5/27/26 | NQ | Bought | 29775 / 29100 P | 5/27/26 | -25 | Expired | $500.00 | 100.00% | Put credit spread |
| 817 | 5/27/26 | MRVL | Bought | 185 / 190 P | 6/18/26 | -9.2 | 3.7 | $550.00 | 59.78% | Put credit spread |
| 816 | 5/27/26 | MUU | Bought | Shares | β | 761.5 | 800 | $38.50 | 5.06% | |
| 815 | 5/26/26 | NQ | Bought | 29740 / 28800 P | 5/27/26 | -19.25 | Expired | $385.00 | 100.00% | Put credit spread |
| 814 | 5/26/26 | CAT | Bought | 800 / 700 P | 7/17/26 | -11.7 | 0.26 | $1,144.00 | 97.78% | Put credit spread |
| 813 | 5/26/26 | SNDK | Bought | 1375 / 1000 P | 6/18 and 6/26 | -63 | 39.81 | $2,319.00 | 36.81% | |
| 812 | 5/26/26 | NDX | Bought | 29670 / 29570 P | 5/26/26 | -11 | Expired | $1,100.00 | 100.00% | Put credit spread |
| 811 | 5/26/26 | MU | Sold | 830 P | 6/26/26 | -75 | 2.8 | $7,220.00 | 96.27% | |
| 810 | 5/26/26 | NQ | Bought | 29840 / 29000 P | 5/26/26 | -15.75 | Expired | $315.00 | 100.00% | Put credit spread |
| 809 | 5/25/26 | NQ | Bought | 29490 / 28875 P | 5/26/26 | -24 | Expired | $480.00 | 100.00% | Put credit spread |
| 808 | 5/22/26 | SNDK | Bought | 1285 / 1100 P | 5/29/26 | -7.7 | 3.2 | $450.00 | 58.44% | Put credit spread |
| 807 | 5/22/26 | MU | Bought | 700 / 650 P | 5/29/26 | -6.15 | Expired | $615.00 | 100.00% | Put credit spread |
| 806 | 5/22/26 | NQ | Bought | 29325 / 28800 P | 5/22/26 | -26 | Expired | $520.00 | 100.00% | Put credit spread |
| 805 | 5/22/26 | NDX | Bought | 29180 / 28950 P | 5/22/26 | -10.5 | Expired | $1,050.00 | 100.00% | Put credit spread |
| 804 | 5/22/26 | AMD | Bought | 452.5 / 400 P | 5/22/26 | -1.45 | Expired | $145.00 | 100.00% | Put credit spread |
| 803 | 5/22/26 | NQ | Bought | 29275 / 28700 P | 5/22/26 | -14 | Expired | $280.00 | 100.00% | Put credit spread |
| 802 | 5/22/26 | NQ | Bought | 29000 / 28000 P | 5/26/26 | -60 | 20 | $800.00 | 66.67% | Put credit spread |
| 801 | 5/21/26 | NQ | Bought | 29000 / 28500 P | 5/26/26 | -78 | 20 | $1,160.00 | 74.36% | Put credit spread |
| 800 | 5/21/26 | TSLA | Bought | 400 / 375 P | 6/12/26 | -5.44 | 2.3 | $314.00 | 57.72% | Put credit spread |
| 799 | 5/21/26 | NQ | Bought | 29000 / 28200 P | 5/22/26 | -69 | Expired | $1,380.00 | 100.00% | Put credit spread |
| 798 | 5/21/26 | CRWD | Bought | 500P / 450P / 650C / 700C | Jan 15 and 12/18 | -13 | 4.98 | $802.00 | 61.69% | Diagonal |
| 797 | 5/21/26 | AMD | Bought | 400 / 350 P | 6/18/26 | -10.2 | 3.5 | $670.00 | 65.69% | Put credit spread |
| 796 | 5/21/26 | RKLB | Bought | 115P / 100P | 6/12 and 6/18 | -5.31 | 12.1 | -$679.00 | -127.87% | Diagonal |
| 795 | 5/21/26 | MSFT | Bought | 390 / 320 P | 7/17/26 | -7.1 | 6.5 | $60.00 | 8.45% | Put credit spread |
| 794 | 5/21/26 | NQ | Bought | 28900 / 28000 P | 5/21/26 | -30.25 | Expired | $605.00 | 100.00% | Put credit spread |
| 793 | 5/21/26 | NQ | Bought | 28875 / 28100 P | 5/21/26 | -27 | 3.6 | $468.00 | 86.67% | Put credit spread |
| 792 | 5/20/26 | NQ | Sold | 28850 P | 5/21/26 | -36.5 | Expired | $730.00 | 100.00% | |
| 791 | 5/20/26 | PLTU | Bought | Shares | β | 36.88 | 45.5 | $8.62 | 23.37% | Trimmed at 44.5 |
| 790 | 5/20/26 | NQ | Bought | 28550 / 27700 P | 5/21/26 | -28 | Expired | $560.00 | 100.00% | Put credit spread |
| 789 | 5/20/26 | NQ | Bought | 28780 / 28000 P | 5/20/26 | -27 | Expired | $540.00 | 100.00% | Put credit spread |
| 788 | 5/19/26 | NQ | Bought | 28725 / 28100 P | 5/20/26 | -65.31 | Expired | $1,306.20 | 100.00% | Put credit spread |
| 787 | 5/19/26 | NQ | Bought | 27250 / 27000 P | 6/18 and 6/5 | -141 | Expired | $2,820.00 | 100.00% | Diagonal |
| 786 | 5/19/26 | CIFR | Bought | 15 C | 12/18/26 | 6.95 | -8.75 | $180.00 | 25.90% | |
| 785 | 5/19/26 | NDX | Bought | 28340 / 28200 P | 5/19/26 | -13.5 | 4.5 | $900.00 | 66.67% | Put credit spread |
| 784 | 5/19/26 | NQ | Bought | 28475 / 28200 P | 5/19/26 | -23 | 8 | $300.00 | 65.22% | Put credit spread |
| 783 | 5/18/26 | NQ | Bought | 28800 / 28200 P | 5/19/26 | -40 | Expired | $800.00 | 100.00% | Put credit spread |
| 782 | 5/18/26 | RKLB | Bought | 118 / 95 P | 5/22/26 | -2.52 | 0.6 | $192.00 | 76.19% | Put credit spread |
| 781 | 5/18/26 | MU | Bought | 400P +2x / 600P -1x | 6/18/26 | -23.16 | Expired | $2,316.00 | 100.00% | Ratio |
| 780 | 5/18/26 | AXTI | Bought | 100 / 60 P | 6/18/26 | -10 | 6.3 | $370.00 | 37.00% | Put credit spread |
| 779 | 5/18/26 | CRWV | Bought | 95 / 80 P | 6/18/26 | -4.3 | 3.05 | $125.00 | 29.07% | Put credit spread |
| 778 | 5/18/26 | NQ | Bought | 29075 / 28200 P | 5/18/26 | -40 | Expired | $800.00 | 100.00% | Put credit spread |
| 777 | 5/18/26 | NQ | Sold | 29090 P | 5/18/26 | -33 | 26 | $140.00 | 21.21% | |
| 776 | 5/17/26 | NQ | Bought | 28750 / 28000 P | 5/19/26 | -112 | 70 | $840.00 | 37.50% | Put credit spread |
| 775 | 5/15/26 | NQ | Bought | 28800 / 28100 P | 5/18/26 | -29.5 | 2.7 | $536.00 | 90.85% | Put credit spread |
| 774 | 5/15/26 | BE | Bought | 200 / 95 P | 7/17/26 | -12 | 11.41 | $59.00 | 4.92% | Put credit spread |
| 773 | 5/15/26 | NDX | Bought | 28890 / 28820 P | 5/15/26 | -4 | Expired | $400.00 | 100.00% | Put credit spread |
| 772 | 5/15/26 | SNXX | Bought | 130 / 110 P | 7/17/26 | -10.5 | 5.15 | $535.00 | 50.95% | Put credit spread |
| 771 | 5/15/26 | NQ | Bought | 28750 / 28200 P | 5/18/26 | -33.5 | Expired | $670.00 | 100.00% | Put credit spread |
| 770 | 5/15/26 | MU | Bought | 670 / 650 P | 5/22/26 | -5 | 0.25 | $475.00 | 95.00% | Put credit spread |
| 769 | 5/15/26 | NDX | Bought | 28770 / 28700 P | 5/15/26 | -8.5 | Expired | $850.00 | 100.00% | Put credit spread |
| 768 | 5/15/26 | NVDL | Bought | Shares | β | 118 | OPEN | β | β | |
| 767 | 5/15/26 | DELL | Bought | 227.5 / 200 P | 5/22/26 | -4.6 | Expired | $460.00 | 100.00% | Put credit spread |
| 766 | 5/15/26 | AMD | Assignment | Shares | β | 425 | 460 | $35.00 | 8.00% | |
| 765 | 5/15/26 | NVDA | Assignment | Shares | β | 227.5 | OPEN | β | β | |
| 764 | 5/15/26 | NQ | Bought | 28900 P -1x / 28300 P +2x | 5/15/26 | -12 | Expired | $240.00 | 100.00% | Ratio |
| 763 | 5/15/26 | NQ | Assignment | Future | β | 29300 | 29340 | $800.00 | 0.14% | |
| 762 | 5/14/26 | NQ | Bought | 29300 / 28000 P | 5/15/26 | -25 | Expired | $500.00 | 100.00% | Put credit spread |
| 761 | 5/14/26 | NQ | Sold | 29250 P | 5/15/26 | -31 | Expired | $620.00 | 100.00% | |
| 760 | 5/14/26 | NBIS | Bought | 180 / 130 P | 6/18/26 | -11.11 | 2.15 | $896.00 | 80.65% | Put credit spread |
| 759 | 5/14/26 | AXTI | Sold | 94 P | 5/22/26 | -3.35 | Expired | $335.00 | 100.00% | |
| 758 | 5/14/26 | ES | Bought | 7450 / 7400 P | 5/14/26 | -2.3 | 0.5 | $90.00 | 78.26% | Put credit spread |
| 757 | 5/14/26 | NVDA | Sold | 227.5 P | 5/15/26 | -1.67 | Expired | $167.00 | 100.00% | |
| 756 | 5/14/26 | NQ | Bought | 28600 / 28950 P | 5/14 and 5/15 | -32.25 | 7.5 | $495.00 | 76.74% | Diagonal |
| 755 | 5/14/26 | NQ | Bought | 29250 / 28500 P | 5/14/26 | -22 | Expired | $440.00 | 100.00% | Put credit spread |
| 754 | 5/13/26 | MU | Bought | 745 / 650 P | 5/15/26 | -10.1 | 3.85 | $625.00 | 61.88% | Put credit spread |
| 753 | 5/13/26 | NQ | Bought | 28850 / 28200 P | 5/14/26 | -32 | Expired | $640.00 | 100.00% | Put credit spread |
| 752 | 5/13/26 | INTC | Sold | 100 P | 6/18/26 | -4.13 | 0.07 | $406.00 | 98.31% | |
| 751 | 5/13/26 | AMD | Bought | 425 / 390 P | 5/15/26 | -3.45 | Expired | $345.00 | 100.00% | Put credit spread |
| 750 | 5/13/26 | NQ | Bought | 29000 / 28300 P | 5/13/26 | -20.5 | Expired | $410.00 | 100.00% | Put credit spread |
| 749 | 5/12/26 | NQ | Bought | 28825 / 28000 P | 5/13/26 | -25.25 | Expired | $505.00 | 100.00% | Put credit spread |
| 748 | 5/12/26 | MU | Bought | Shares | β | 765 | 1011 | $246.00 | 32.16% | |
| 747 | 5/12/26 | LITE | Bought | 750P +2x / 945P -1x | 5/15/26 | -8 | Expired | $800.00 | 100.00% | Diagonal |
| 746 | 5/12/26 | TSM | Bought | 360 / 165 P | 6/18/26 | -7.21 | OPEN | β | β | Put credit spread |
| 745 | 5/12/26 | NQ | Bought | 28500 / 28300 P | 5/15 and 5/13 | -71.75 | 23 | $975.00 | 67.94% | Diagonal |
| 744 | 5/11/26 | NQ | Bought | 29050 / 28300 P | 5/12/26 | -40.25 | Expired | $805.00 | 100.00% | Put credit spread |
| 743 | 5/11/26 | INTC | Bought | 50 P +2x / 100 P -1x | 7/17 and 9/18 | -11.75 | OPEN | β | β | Diagonal |
| 742 | 5/11/26 | SNDK | Bought | 1325 / 1100 P | 5/15/26 | -13.53 | 4 | $953.00 | 70.44% | Put credit spread |
| 741 | 5/11/26 | MU | Bought | 690 / 635 P | 5/15/26 | -5.5 | 0.6 | $490.00 | 89.09% | Put credit spread |
| 740 | 5/11/26 | NQ | Bought | 29050 / 28970 P | 5/11/26 | -5.5 | Expired | $110.00 | 100.00% | Put credit spread |
| 739 | 5/10/26 | NQ | Bought | 28970 / 28000 P | 5/11/26 | -21.25 | Expired | $425.00 | 100.00% | Put credit spread |
| 738 | 5/10/26 | NQ | Sold | 28990 P | 5/11/26 | -32 | Expired | $640.00 | 100.00% | |
| 737 | 5/8/26 | MU | Bought | 665 / 550 P | 5/15/26 | -11.65 | 9.3 | $235.00 | 54.94% | Put credit spread |
| 736 | 5/8/26 | NQ | Sold | 28750 P | 5/8/26 | -12.5 | Expired | $250.00 | 100.00% |