Trading Review April 25 (+USD806 Profits) -> Options (+USD432) & Shares (+USD374)

After the catastrophe that happened in Feb 25 where my entire stock and options portfolio was liquidated, I started picking up options trading again with a low capital in April 25. I also traded some shares this month. In this post, I will share how I came to a total profit of USD806 through options … Continue reading Trading Review April 25 (+USD806 Profits) -> Options (+USD432) & Shares (+USD374)

The 6 Fatal Investing/ Trading Mistakes That Made Me Lose More Than $1M

The worst nightmare of any investor is to lose a lot of money in the stock market. In this article, I want to share with you how I lost more than $1M in the stock market over the years, so that you can prevent yourself from repeating my mistakes and losing your hard-earned money. Mistake … Continue reading The 6 Fatal Investing/ Trading Mistakes That Made Me Lose More Than $1M

I Was Margin Called, IBKR Liquidated ALL My Positions & Realised S$540k (USD400k) Worth Of Losses

I got a rude awakening on the night of 12 Feb 2025 when I logged onto my brokerage account and saw everything inside gone. This was a screenshot of my account the day before: This was what I saw on 12 Feb: My Equity with Loan Value dropped from 799k to just 86k. In my … Continue reading I Was Margin Called, IBKR Liquidated ALL My Positions & Realised S$540k (USD400k) Worth Of Losses

USD30.5k Profits On Palantir Over Last 3 Months | How I Positioned My Trades For More Gains

Palantir has been on an absolute rocketship since it reported Q2 earnings on 5th August, the fateful day of the US market flash crash due to the rapid unloading of Japanese Yen carry trade. Had I not sold my 1000 shares at USD21 that day to save my portfolio liquidity, I would be USD81k richer … Continue reading USD30.5k Profits On Palantir Over Last 3 Months | How I Positioned My Trades For More Gains

Turning Bearish On Nvidia & My Thoughts On Nvidia’s Outlook

The number one stock that has the biggest risk to my investing portfolio is Nvidia. This is because I owned 1600 shares of Nvidia, which are all on Covered CALL contracts and 14 SELL PUT contracts that are on USD256k worth of margins. The SELL PUT contracts were opened as a rectification to my mistake … Continue reading Turning Bearish On Nvidia & My Thoughts On Nvidia’s Outlook

Sharing My S$739k Investing Portfolio (Capital Allocation Into Stocks, Bond, Options & Cash) (Updated on Feb 2025)

In this post, I wish to share my capital allocation for my investment and trading portfolio. It serves as a good record and reference for me as I review my portfolio again in future. Hopefully, the strategies and philosophies that I share on how I will manage this capital will benefit you as well. Summary … Continue reading Sharing My S$739k Investing Portfolio (Capital Allocation Into Stocks, Bond, Options & Cash) (Updated on Feb 2025)

Repairing My Broken Tesla CALL Options

I bought Tesla CALL options when Tesla was trading around USD460+, anticipating that the stock would rally to USD500 by year end, but the Santa Claus rally did not happen and the stock then started to correct after the FOMC meeting. My CALL options started to lose money and I tried to roll 21 Feb … Continue reading Repairing My Broken Tesla CALL Options