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Well the little dip came and lasted under a week. Allowed to to get back in just a little. The OPE+ vs Biden commentary is humorous. Trying to shame them into more supply while he tries to wreck the industry at the same time. Their monthly increase plan seems to be keeping things stable enough. I suspect there will be more US drilling by spring but we shall see. It would seem crazy to not bring a little more product to market if prices are headed where we think they are. Demand is almost surely going to rise by then and you are going to cede it to OPEC and others if you don't.
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Oil taking a beating, thinking to sell some xle puts.
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I got one thing right. Oil isn't blasting through $100 by the end of the year. I'm not so sure that would be a good thing anyway. Economy doesn't need the scare. Oil will be more than fine by next summer. I've started nibbling again. I'll add a bit more as long as it's falling.
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11-20-2021, 09:50 AM
(This post was last modified: 11-20-2021, 09:51 AM by fenders53.)
IMO OPEC could increase output some with little effort, just like US producers. Whether they want to drop real CAPEX that might wreck the party in a year is another question. They are acting like US majors for now.
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Sold out the oxy I bought couple days back. Intention was to trade on it. Still have the xle, oxy, Wes in long account.
Loaded on ET on the pullback.
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I think my day will end with the CVX and EOG put sell. I have a few more open threatening to be exercised if oil doesn't bounce soon. I feel like I timed it better this time because I was expecting oil to cool off into winter. I'm good with adding at least one more time and comfortable holding what I have until next summer.
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Is there a reason why ET is a better investment than other pipelines like ENB? ET chart is scary.