option

BurntWill BurntWill PRO SI1!, W, Short ,
SI1!: SI1! - Silver Future (short CALL Option)
36 0 4
SI1!, W Short
SI1! - Silver Future (short CALL Option)

Commercials are going short on silver volatility is low, so small trade sizes are adequate Strike 20, duration 29.06.2017

ChaoticTrader ChaoticTrader WYNN, D, Long ,
WYNN: Wynn Resorts (WYNN) Trade Idea 4.25.2017
38 0 4
WYNN, D Long
Wynn Resorts (WYNN) Trade Idea 4.25.2017

With Wynn Resorts (WYNN) continuing a relatively strong uptrend its bullish reversal move on 2/27/2017, the ticker pulled back almost to a closeout point at its middle offset moving average. But opportunity struck today with the only open risk remaining on earnings.  The stock pulled a large momentum move as we scanned following our loss on Netflix (NFLX).  We ...

VIX: VIX IronFly for a neutral bet on volatility
103 0 11
VIX, D
VIX IronFly for a neutral bet on volatility

After a a little upside on the VIX we got another fast contraction in volatility. Got the idea from the guys at tastytrade and I liked the trade. This is a neutral bet on the VIX and we make money if it stays between 15.50 and 11.50. Sold the 13.5 Straddle and bought the 17 Call and 10 Put wings to make an Iron fly for a $2 credit per contract and reducing our ...

ChaoticTrader ChaoticTrader NFLX, D, Short ,
NFLX: $NFLX SIGNAL 4/19
57 1 3
NFLX, D Short
$NFLX SIGNAL 4/19

Today's was a Netflix ($NFLX) trade. Check out our profile link to read more. Synopsis: Netflix (NFLX) has had a really strong uptrend run since the election and has gained a massive percent since their last earnings call. Unfortunately, the most recent quarterly earnings caused a clearly evident swing in emotions of traders, because the price crashed almost 1% ...

ChrisMoody ChrisMoody PRO SPY, D,
SPY: $1K Options System Exposed!  Any Interest In Weekly Options?
11217 128 54
SPY, D
$1K Options System Exposed! Any Interest In Weekly Options?

So I Saw Yet Another $1000 Dollar System For Sale. This Marketer Actually Had A Decent System…But Left A Lot Of Key…And I Mean Important Information Out. Likely To Get People To Pay For His Weekly Picks. ***I’m Tired Of These Marketers Hyping Up A System…Charging A Premium…And Taking Money From People Who After Taking The Course Don’t Even Realize How Much ...

GDXJ: Strangle on GDXJ for a 61% probability trade
100 2 8
GDXJ, D
Strangle on GDXJ for a 61% probability trade

It looks like Sellers are starting to come in, and I don't think buyers will give up that easily, so I expect some 2 way action in the next 30 days. With a decent IV Rank of 39 I want to sell some premium to add to my theta numbers. The trade: Sold the 32/37 Strangle for $1.83 per contract 61% probability of profit Will look to close it at 50% of the premium ...

AlexanderGotay AlexanderGotay PRO QQQ, D, Short ,
QQQ: 74% probability trade on QQQ (Synthetic Call Ratio)
106 0 11
QQQ, D Short
74% probability trade on QQQ (Synthetic Call Ratio)

With equities still rallying I can redeploy another trade on the Q's. If it continues to go higher it will get to our max profit zone, if it starts to drop we don't have any risk and still make money. Worst case scenario is that we continue this nonstop rally without mercy then we would be basically short from 136.50 which would be at the all times high. The ...

ichimokutrade ichimokutrade PRO TRIP, 30, Short ,
TRIP: $TRIP has a seasonality of 90% bearish probabatility
32 0 5
TRIP, 30 Short
$TRIP has a seasonality of 90% bearish probabatility

$TRIP has a seasonality of 90% bearish probability, Entered a day trade with options. Goal is to get the preserve mode i.e. pivot low. Once at preserve mode, take 50% positions off and then move it to higher time frame to ride it to earnings (if possible with stop)

NaughtyPines NaughtyPines XOP, D, Long ,
XOP: OPENING: XOP APRIL 21ST 33.5/JUNE 16TH 30 PUT DIAGONAL
54 0 7
XOP, D Long
OPENING: XOP APRIL 21ST 33.5/JUNE 16TH 30 PUT DIAGONAL

... for a .03 db. At its outset, you short put is basically completely "financing" the cost of your long put (but for the $3 it cost to put the trade on). Your goal is to roll the short option forward for duration, collecting credits along the way and to exit the setup for a debit that is less than what you collected in credits (as you would do with any credit ...

EWZ: EEM/EWZ pairs trade (covered strangles)
65 0 10
EWZ, D
EEM/EWZ pairs trade (covered strangles)

EWZ and the Emerging Markets ETF EEM have a strong correlation (Since EEM have 7.7% of brazil stocks). The correlation for the last year have been .92, and the last 30 days have drop to .40. Today we got a strong move on EWZ of -3.18% at the time of the trade and -.64% on EEM. By trading one to the upside and the other to the downside I will look to reduce ...

Meunier Meunier PRO USDNOK, 15,
USDNOK: MM-Reversal-Probability-Index [MM-RPIDX]
165 0 4
USDNOK, 15
MM-Reversal-Probability-Index [MM-RPIDX]

This indicator tries to show the probability of an impending reversal. It's using a number of different input signals and candle stick patterns and conditions: 6 different moving averages Averages of moving averages MACD RSI Stochastics Keltner channels Pin bar patterns Engulfment patterns The indicator is designed as an oscillator and treats positive ...

NaughtyPines NaughtyPines AA, D,
AA: TRADE IDEA: AA MAY 5TH 28/32/32/36 IRON FLY
34 0 5
AA, D
TRADE IDEA: AA MAY 5TH 28/32/32/36 IRON FLY

AA (implied volatility rank 73/implied volatility 48) announces earnings on Monday after market close, so look to put on a play before the end of the session to take advantage of the post-announcement volatility crush. Metrics: Max Profit: $210/contract Max Loss/Buying Power Effect: $190/contract Break Evens: 29.90/34.10 Theta: 4.96 Delta: 3.51 Notes: This is a ...

FEZ: Near the money Strangle on Euro Stocks (FEZ ETF)
42 2 8
FEZ, D
Near the money Strangle on Euro Stocks (FEZ ETF)

We have the French election coming up and other than my trades on FXE I didn't have much on play for that. The IV Rank on FEZ is pretty high at 77 and I am selling the strangle with 30 days to go. After the first part of the election we might get a decent volatility. I am betting that Euro companies won't be impacted as much and I can get paid on the ...

A.FX A.FX CSCO, D, Short ,
CSCO: CSCO
57 0 5
CSCO, D Short
CSCO

Price pushed up through BB and then below them. Then price moved below 20 MA. This gives me reason to believe a significant short movement may be imminent. Therefore, I bought a 30 day put option (Apr17) on the movement. I stand to lose $108.49 if the option does not fulfill the movement I anticipate. Take profit target is at 200 MA.

TLT: Neutral - ATM Ratio on TLT with no risk to the upside
93 0 15
TLT, D
Neutral - ATM Ratio on TLT with no risk to the upside

Similar to the FXE trade we can make another at the money ratio spread on TLT. With a 71.8% chance of profit. We make money as long as we stay above 115.60 in the next 44 days.

NaughtyPines NaughtyPines RIGL, D,
RIGL: HIGH IMPLIED VOLATILITY OPTIONS (8/28)
327 0 3
RIGL, D
HIGH IMPLIED VOLATILITY OPTIONS (8/28)

One of the first things I do when searching for either covered calls to do or just general premium selling plays is to look for high implied volatility underlyings with relatively decent expirations, strike widths, and fairly tight spreads (i.e., having weeklies is best with $1 wide strike widths and a bid/ask that is no more than .15 wide from top to bottom is ...

AlexanderGotay AlexanderGotay PRO XOP, 240, Long ,
XOP: Jade Lizard on XOP,  72% probability
46 0 11
XOP, 240 Long
Jade Lizard on XOP, 72% probability

Sold the 36/37 Call credit spread and sold the 34 Put eliminating the risk to the upside. In total received $1.06. 72% probability of profit.

AlexanderGotay AlexanderGotay PRO EEM, 240,
EEM: No downside risk trade on Emerging Markets (70% probability)
52 0 10
EEM, 240
No downside risk trade on Emerging Markets (70% probability)

With 32 days to expiration and a 42 IV rank I Sold the 39.5 Straddle and bought the 38.5 Put, now If the price corrects down we don't have any risk to the downside. The Trade: Short 39.5 Call Short 39.5 Put Long 38.5 Put Total credit of 1.15 per contract. 70.5% probability of profit

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