1) $PLCE Earnings Miss (123.15)
Stock Gapping down -$10 I would like to see this at $100-$102 and under then look to bounce it, let it sell off first then we nail it .

2) $MOMO Earnings Miss (31.50)
Stock Gapping down down -$4 would like a sell off on it to $25-$26 area or under then look to bounce it a few points then top it off then look to go short on it

3) $BZUN MOMO miss BZUN gets hurt (36.40)
Stock Gapping down -$2.30 would like more sell off towards $32.50 area if it comes then bottom curl it then look to bounce it, let it sell off first before going long, if you take now here at $34 give it room to add then it will bounce, but I would wait

4) $ROKU Market down this is down (39.78)
Stock Gapping down -$1.00 I would like more sell off on it today would love to see $37.50 and under then go long, if this bounces at open sell into it towards $40-$41 then look to short it again if the market dumps

5) $AVA Merger being held up by WUTC ($51.39)
Stock Gapping down -7 would go long some at $43.50 looking for $45-$46 rebound on it or more. So keep an eye on it, if this pulls at the open hard to $40-$41 I would be a buyer to bounce it

6) $THO Earnings Miss (64.31)
Stock Gapping down -$8 I would like more sell off at the open towards $55 and under then look for a 3-4 point bounce, love to see $59-$60 on it then look for a total sell off and fade all day on the stock

7) $OKTA Earnings Mixed (60.65)
Stock Gapping up +$4 would like full gap fill back to $61 and under look for bottom curl on it then look to go long for an all day slow move to the upside on it

8) $OLLI Earnings Miss (86.93)
Stock Gapping down -$7 would like a little more sell off at the open prefer $75-$76 and under then bottom curl it then look to nibble long, if this pops at open and gap fills to $84-$85 then would scale in short and fade it all day long

9) $ANET BofA upgrades to $300PT BUY rating (229.73) would buy 235-240 Jan Calls
Stock Gapping down -$5 like it here to nibble long at $225 room to $220 to add looking for this to touch $230-$232+ today if this pops at open watch those areas as topping then let it pullback a little then we bottom curl it then look to go long on it (Nibbled some long at $225)

10) $NTES Morgan Stanley out with a $300PT BUY rating from $260 (229.43) BUY 240 Jan Calls
Stock Gapping down -$5 like small pop at open then will be eyeing a decent pullback to $222 and under then bottom curl it then look to go long, I will wait for this to set up for me I like it here at $224 so I nibbled a few long starter room for pullback at the open will be patient

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Notable Calls:

$NFLX Market down this gets hurt (275.33) Gaping down -$10 I play this. this am at $268 to $272 for +$4 sold at $272 for a total of +$3. NOW I will wait, if this dumps along side $SPY I will be watching $265 and under and begin to nibble again LONG give it room to $258 to bounce it, I will be patient on this next entry but I will be playing it, if this pops at open thru $270+ it will rush and gap fill then fade for +5 more points so watch the open

$ADBE Market down this gets hurt (245.82) Gaping down -$6 nibbled a few long at $240 will give it room to $235 and add be patient on it, looking for $242-$244+ on it, if this pops at open I am a seller into it then I will watch for tipping and the market and look to short it

$LEDS Former runner being pick on today (3.68) Gaping up +.60 keep an eye on it with volume if it hits $3.77 area and under nibble a few long not much risk cut it off at $3.65 if this pops thru $4.10-$4.20 with volume can run quick to $5 then fade off