Strategy Details:
• Buy 1 ARRY Sep 19 ’25 5 Call at ask price ~0.85 (implied vol ~70%).
• Sell 1 ARRY Sep 19 ’25 6 Call at bid price ~0.30 (implied vol ~70%).
• Net debit (cost): ~0.55 per share (or $55 per contract).
• Max profit: 0.45 per share ($45 per contract) if ARRY ≥ 6 at expiration.
• Max loss: 0.55 per share ($55 per contract) if ARRY ≤ 5 at expiration.
• Breakeven: 5.55 (5 strike plus debit).
• Risk/Reward: Risk $55 to make $45 (about 82% return on risk if max profit).
• Buy 1 ARRY Sep 19 ’25 5 Call at ask price ~0.85 (implied vol ~70%).
• Sell 1 ARRY Sep 19 ’25 6 Call at bid price ~0.30 (implied vol ~70%).
• Net debit (cost): ~0.55 per share (or $55 per contract).
• Max profit: 0.45 per share ($45 per contract) if ARRY ≥ 6 at expiration.
• Max loss: 0.55 per share ($55 per contract) if ARRY ≤ 5 at expiration.
• Breakeven: 5.55 (5 strike plus debit).
• Risk/Reward: Risk $55 to make $45 (about 82% return on risk if max profit).
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.