2025 Year of the Blue Snake - cocogxng

cocogxng

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Goal is to trade options until my account reaches over $25000. From there I may go back to stocks. Or keep trading options on a smalls scale.

Follow me on my journey!
:)


Day 1
$1679.64
$2224.28
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+$544.64
+ 32.43%
 
2/13/25

$2224.28
$2397.85
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+$173.57
+ 7.80%

Had positions but exited early, missing the big run up and the modest run down of qqq, nvda, tsla, and lost money on aapl by going against it during its run up.
Made small profits here and there for small gain for the day. Ran out of buying power.
 

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2/14/25

$2397.85
$2538.49
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+$140.64
+ 5.87%
 

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2/18/25

$2538.49
$2783.40
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+$244.91
+ 9.65%

dang man what a ride. 1st half it seemed like qqq could go either way. bet up since the big trend is still upwards. however, during 2nd half of the market it seemed like it could go down today. lost my gains, was up just $30. I was going to end for the day except I decided to bet just a little to qqq going down. It wouldn't move and went up a little. i doubled down. went up a little more. I tripled down. suddenly it dropped. not sure why but it just dropped. panic sold all my positions. if I kept it for another 1-2 mins would've had an additional $200-300. I still have ways to go...
 

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2/19/25

$2783.40
$2808.13
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+$24.73
+ 0.89%

man, iono what's happening so imma just end it for the day. nada not moving at all. tsla being tsla. aapl trying to break previous highs. yet when is the qqq going to go into corrections? iono mannn
 

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2/19/25

$2783.40
$2888.83
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+$105.43
+ 3.79%

update: couldn't sleep so came back to trade some more. difficult day. confusing day. but im still up 🙂
 

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2/20/25

$2888.83
$2838.07
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-$50.76
- 1.76%

holy f*** dodged a bullet. so I always blow up. I've been always blowing up. I feel like I can read the chart pretty good but I have horrible risk management. So I tell myself to go in just 1 contract even if im super sure of what's happening. Iono what happened, I've been in a winning streak so I just started with 3 without even thinking. I averaged my losses with 3 more. I kept adding until I had all my money in a single position. luckily there was a bounce but I saw myself blowing up again. This is how it always happens. 1-2 weeks of constant winning and blowing up in 1-2 days. Went down to $1700 only to come back up to $2838. Holy crap. wtf is wrong with me.
 

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2/21/25

$2838.07
$1102.08
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-$1735.49
- 61.15%

fuck google
 

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2/24/25

$1102.08
$2087.01
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+$984.43
+ 89.28%

saw an opportunity. normally, would only go in 1 contract. but I was so pissed. so I went all in. and it went down. down up to 30%. deposited $1000 so I go all in again. And I thought about it again and told myself there's crazy and there's idiot. let's not be an idiot so I canceled my $1000 deposit. if I went in and got 7 more contracts with my $1000, woulda had almost $2000 more in profit. Guess im the idiot.
 

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2/25/25

$2087.01
$2114.40
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+$27.39
+ 1.31%

I need help. read the chart completely wrong. kept averaging losses, which I should never do. did multiple contracts when I told myself yesterday ill keep the contracts back to 1. At one point I was losing $1450 so almost got wiped out. holy shit. I suck. I put in $1000 to help myself recover some losses. made $500 from it. I'm going to take the $1000 back out.
 

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2/26/25

$2114.40
$2248.17
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+$133.77
+ 6.33%

back to doing 1 contracts. actually did two. have an overnight position of Tesla option expiring this Friday. I think Tesla may make a big recovery this week.
 

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2/27/25

$2248.17
$2737.85
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+$489.68
+ 21.78%

good trading today. did 3-6 contracts sometimes but always started with one and added when it was going my way.
 

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2/28/25

$2735.85
$2956.36
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+$220.51
+ 8.06%

Feb: + $1276.72

man the Oval Office live with president trump and Zelenskyy was wild. trump sure is a show host. love him or hate him but agree he sure is lively and entertaining to see. he sure does things differently. as for stocks, I coulda done better but wanted to stay safe after the big losses couple days ago that almost wiped me out.

Good way to end Feb and almost doubled my money in 2.5 weeks trading options.
 

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3/03/25

$2956.36
$3609.83
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+$653.47
+ 22.10%

better than expected results from modest chart movements. luck played a part as well, as always. but for the most part predicted all the movements I made money off of.
 

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3/03/25 update

$2956.36
$3744.55
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+$788.19
+ 26.66%

was gonna go to sleep but I saw the big drop and just had to get back in. waited until the bounce was going to happen and made couple more profits using 3 contracts.
 

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3/04/25

$3744.55
$4286.65
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+$542.10
+ 14.48%

started with 1 contract. did 2-3 throughout the day, doing quick entries and quick exits as I saw hit. small, short term tradings and I made money on most except one entry where I lost $200... if that $200 went the other way might have seen another 1K day. Good trading today. Very satisfied with risk control and execution of entries and exits.
 

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3/05/25

$4286.65
$4616.23
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+$329.58
+ 7.69%

it was a tough market. made small profits here and there. man I had 4 contracts in and really thought the market would have a big bounce. however I thought it would go down a little more before the bounce so didn't enter and bam the big uplift happened. once it shot up I got scared to go in and that's why im an amateur. look at it go up higher... if I had though 4 contracts in I woulda had an additional $800 in profit right now. just thankful I didn't lose money today.
 

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