Not a big position here looking to fill 150 contracts. Strategy is a simple Long Call, buying 148 Calls expiring December 30th. I have limit orders for .08 and .06. 3 to 5 bagger payout if SPY
can hit 145 before Christmas.
This is me... aka
explaining a Long Call Strategy
If you want to take action before you wait you could also Sell 148 Calls and make nice 25 to 35% return