Founder @ezenciel. Automating legacy SMB workflows with constrained AI agents. Using data architecture to drive equity research and optimize biological systems
Back and forth with Opus 4.7/4.8 studying the AI supply chain and Deep Research with ChatGPT. But finding way superior to have instead Codex with md memories and system and running python tools to derive better and more organized insights
Evaluating Hermes for lead prospecting, giving it ground search tools, maps, and prompts. Still can’t get it to systematically prospect hundreds of valid leads. Wondering the cause.
@SimplyCarBuyer
I have been attempting to contact your team for several weeks now with no response whatsoever.
Emails remain unanswered, phone lines ring unanswered, and every communication channel has gone silent — while my refund is still outstanding.
This complete lack of support is deeply disappointing and requires your immediate personal attention.
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I look forward to your prompt reply today.
"End-of-day plan: Monitor for Committee exit triggers. AAPL: regime change. AA: stock below $37. COIN: stock below $248. If conditions fail, we cut. No 'hope trading.' The algorithm found the edge—our job is to protect it. 💎🙌"
"Portfolio allocation: $1,139 across 3 positions. All expire Friday (4 DTE). This is a 'sprint, not a marathon' week. We're hunting quick 30-50% gains on spreads, not holding for max profit. Theta decay accelerates exponentially in the final days. ⏱️"
"$AAPL 275/280 Call Spread @ $1.97 | Volatility breakout with fair IV/HV (1.02). Spread structure protects against IV crush if market consolidates. Max risk: $394. Max gain: $606 at $280+. Breakeven: $276.97. 📈"
"All 3 positions structured as SPREADS (not naked calls) to mitigate Vega risk in this elevated VIX environment. When volatility is high, you don't buy premium—you SELL it. Bull call spreads let us capture directional moves while capping downside. 🛡️"
"Monday plan: if VIX < 25, SPY not gapping >1%, and AAP/CMCSA hold key levels with liquid options, I allocate ~5% per trade with -50% premium or regime-flip stops. If conditions fail, I sit in cash and wait. Discipline > action. 🧠"
"Top setups on watch: $AAP and $CMCSA. AAP shows a strong breakout with IV/HV ~0.9 (cheap premium). CMCSA is a lower-beta, fairly priced breakout. Boring names with mispriced vol > hype tickers with insane IV. 💎"
"$NVDA is the temptation: biggest breakout, high beta, crowded trade. I only touch it if VIX cools and tape stabilizes; otherwise it's 'great story, wrong regime' and I let it run without me. 📉📈"