DTE Stock Chart

DTE ENERGY CO

 

DTE

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NaughtyPines NaughtyPines SPY, D,
SPY: JUNE SPY CORE POSITION
67 0 8
SPY, D
JUNE SPY CORE POSITION

This post collates all my current SPY positions in the June expiry including (a) the legs noted as 2x (which were from a setup rolled out to avoid call-side assignment risk around March ex-divvy); (b) a Jade Lizard addition that was intended to add in long delta with no upside risk; and (c) my most current short put vertical credit spread, which was also intended ...

Benji Benji PRO TLT, D,
TLT: TLT Synthetic Straddle
31 0 5
TLT, D
TLT Synthetic Straddle

Trade Setup: -1 TLT May 19 114/122/122/130 Synthetic Straddle @ $4.00 DTE: 53 Max Win: $400 Max Loss: $400 Breakevens: $118 & $126 Trade Management: 25% profit; Full loser, will take off near worthless side if we test an extreme. Green zone is profit; Vertical black bar is expiration.

Benji Benji PRO XLF, D,
XLF: XLF Synthetic Straddle
22 0 5
XLF, D
XLF Synthetic Straddle

Trade Setup: -1 XLF May 19 20/23/23/27 Synthetic Straddle @ $1.26 DTE: 53 Max Win: $126 Max Loss: $126 (1x credit received) Breakevens: $21.74 & $24.26 Trade Management: 25% profit; 1x credit received loss Green is profit zone; Vertical black bar is expiration.

Benji Benji PRO IWM, D,
IWM: IWM Synthetic Straddle
21 0 5
IWM, D
IWM Synthetic Straddle

Trade Setup: -1 IWM May 19 123/133/133/143 Synthetic Straddle @ $5.84 DTE: 53 Max Win: $584 Max Loss: $416 Breakevens: $127.16 & $138.84 Trade Management: 25% profit; Full loser, will eliminate a side if near worthless. Green is profit zone; Vertical black bar is expiration.

Benji Benji PRO SPY, D,
SPY: SPY Synthetic Strangle
44 0 6
SPY, D
SPY Synthetic Strangle

Trade Setup: -1 SPY May 19 225/235/236/245 Synthetic Strangle @ $5.51 DTE: 56 Max Win: $551 Max Loss: $449 Breakevens: $229.49 & $241.51 Trade Management: 25% winner; full loser. Will take off a side if nearly worthless; Will roll put out if ITM at expiration. Green is profit zone; Vertical black bar is expiration.

Benji Benji PRO MU, D,
MU: MU Straddle
62 0 3
MU, D
MU Straddle

Trade Setup: -1 MU May 19 23/29/29/35 Synthetic Straddle @ $3.01 DTE: 56 Max Win: $301 Max Loss: $299 Breakevens: $25.99 & $32.01 Trade Management: 25% profit; Full loser, will roll out short put spread if ITM at expiration. Green is profit zone; Vertical black bar is expiration.

Benji Benji PRO AAL, D, Long ,
AAL: Short Put Spread - AAL
23 0 6
AAL, D Long
Short Put Spread - AAL

Trade Setup: -1 AAL May 19 36/41 Short Put Spread @ $1.39 DTE: 57 Max Win: $139 Max Loss: $361 (will manage 2x credit, so $280) Breakeven: $39.61 Trade Management: 50% profit; 2x credit received as max loss; Will roll out if on the dance floor. Green is profit zone and up; Vertical black bar is expiration.

Benji Benji PRO XLK, D,
XLK: XLK Synthetic Straddle
28 0 8
XLK, D
XLK Synthetic Straddle

Trade Setup: - 1 XLK May 19 45/53/53/57 Synthetic Straddle @ 1.97. DTE: 57 Max Win: $197 Max Loss: $603 (theoretically), but will manage at 2x credit, so ~$200. Breakevens: $51.03 & $54.97 Trade Management: 25% profit; WIll risk full loser to upside and only 2x credit received to downside. I often will take off one of the sides when it becomes nearly worthless ...

Benji Benji PRO XLE, D,
XLE: XLE Iron Fly
23 0 6
XLE, D
XLE Iron Fly

Trade Setup: -1 XLE Apr 21 65/69.5/69.5/74 Iron Fly @ $2.33 DTE: 30 Max Win: $233 Max Loss: $217 Breakevens: $67.17 & $71.83 Trade Management: 25% profit; Full loser, possibly roll the ITM side out in time if my bias is the same near expiration. Green is profit zone; vertical black bar is expiration.

NaughtyPines NaughtyPines SPY, D, Long ,
SPY: LONG-TERM ACCOUNTS: 2017 401(K)/IRA SPY SHARE ACQUISITION LEVELS
93 0 13
SPY, D Long
LONG-TERM ACCOUNTS: 2017 401(K)/IRA SPY SHARE ACQUISITION LEVELS

For what seems like eons in the scheme of things, I've been working an IRA that is predominantly made up of SPY covered calls. Each month, I basically just look at selling calls against my shares to reduce cost basis in them and to give me a bit of some downside protection in the event of a sell off. Additionally, every quarter, I look at the long-term charts ...

Benji Benji PRO OIH, D,
OIH: OIH Iron Fly
13 0 6
OIH, D
OIH Iron Fly

Little pops around in oil related underlyings. Trade Setup: - 1 OIH Apr 21 26/30/30/34 Iron Fly @ $1.95 DTE: 37 Max Win: $195 Max Loss: $205 Breakevens: $28.05 & $31.95 Trade Management: 25% or about $49-50. Full loser is also comfortable on the trade. Green is profit zone; Vertical black bar is expiration.

Benji Benji PRO RIG, D, Long ,
RIG: RIG Diagonal
52 0 11
RIG, D Long
RIG Diagonal

Okay, here's a little different play than normal. With IV low across much of the market, I am looking at getting long a few beat up stocks with some synthetics. Trade Setup: +1 RIG Apr 21/ Mar 24 11/13 Diagonal @ $1.50 DTE: Short Call: 11; Long Call: 39 Max Win: If at $13 or above by Mar 24 - $50 Undefined if Short Call expires worthless Max Loss: ...

Benji Benji PRO ULTA, D,
ULTA: ULTA Iron Fly
28 0 6
ULTA, D
ULTA Iron Fly

Playing the high IV here in Ulta. Trade Setup: - 1 ULTA Apr 21 260/275/275/290 Iron Fly @ $10.50 DTE: 42 Max Win: $1050 Max Loss: $450 Breakevens: $264.50 & $285.50 Trade Management: 25% profit in the trade or ~$263. I will take off either side if it comes down to being worthless to have on as risk, closer to expiration. I'm willing to take this as full loser ...

Benji Benji PRO SPY, D, Long ,
SPY: Adding some long delta - SPY
93 0 4
SPY, D Long
Adding some long delta - SPY

Just grabbing some long deltas here for my smaller account. Trade Setup: -1 SPY Apr 21 234/235 Short Put Spread @ $0.29 DTE: 46 Max Win: $29 Max Loss: $71 Breakevens: 234.71 Trade Management: 50% on the trade or full loser, which would entail rolling out. Green is profit zone (tiny, I know); vertical black bar is expiration.

Benji Benji PRO XRT, D, Long ,
XRT: XRT Put Spread [ROLL]
15 0 3
XRT, D Long
XRT Put Spread [ROLL]

This position is part of the roll I did in part of my smaller XRT Iron Fly. I closed out that position and established this one because we were winding down to expiration (about 2 weeks left) and I needed to do something with it. Off to a negative start for the year in Retail, but not too worried, nonetheless. Trade Setup: -1 XRT Apr 21 41/42 Short Put Spread @ ...

Benji Benji PRO CRM, D,
CRM: CRM Iron Condor
43 0 8
CRM, D
CRM Iron Condor

Trade Setup: -1 CRM Apr 21 72.5/77.5/85/90 Iron Condor @ $1.63 DTE: 46 Max Win: $163 Max Loss: $337 Breakevens: $75.87 & $86.63 Trade Management: 50% or around $82 for this one. I will roll the untested side of this spread to reduce risk and increase credit received if need be. Full loser if that is the ending case. Green is profit zone; Vertical black bar is ...

Benji Benji PRO XRT, D,
XRT: XRT Iron Condor
24 0 7
XRT, D
XRT Iron Condor

Back to the well in XRT - improving some breakevens on my straddle and adding some more theta. Trade Setup: -2 XRT Apr 21 39/42/45/48 Iron Condor @ $0.96 DTE: 49 Max Win: $192 Max Loss: $408 Breakevens: 41.04 & 45.96 Trade Management: 50% profit or $96. I'll likely roll the untested side if we get movement. Content with taking a full loser as well with this ...

Benji Benji PRO IYR, D, Long ,
IYR: IYR Super Bull
17 0 4
IYR, D Long
IYR Super Bull

With the market running, I thought I would continue to add long delta on an ETF that is possibly catching up. This isn't a normal setup that I would do, but it still takes on one of the principles of premium selling, which is reducing cost basis. Trade Setup: +1 IYR Apr 21 76P/79P/81C Super Bull @ $0.01 DTE: 50 Max Win: Theoretically Undefined Max Loss: ...

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