straddle

A.FX A.FX AUDUSD, 15, 14 hours ago
AUDUSD: AUDUSD Straddle
58 0 4
AUDUSD, 15
AUDUSD Straddle
No crystal ball here. I'm not going to pretend like I know where this is going to go. However, I am hoping to get a position activated that give me profit a few days to many days down the road. Whichever way AUDUSD decides to go, I want to be on it! AUDUSD qualified for an entry by having 1) consistently low ...
A.FX A.FX AUDUSD, 15, 3 days ago
AUDUSD: AUDUSD
62 0 2
AUDUSD, 15
AUDUSD
Straddle set up. 10 pip stops on both orders. Expiries are 10 minutes before London close.
A.FX A.FX NZDUSD, 240, 5 days ago
NZDUSD: NZDUSD Straddle
21 0 2
NZDUSD, 240
NZDUSD Straddle
Selling at yesterday's high and buying at yesterday's low. Each entry has a 10 pip stop loss with a value of 1% equity. This is a long term trade and therefore does not require a take profit target. Order expires 10 minutes before daily market close.
A.FX A.FX EURUSD, 240, 5 days ago
EURUSD: EURUSD Straddle
22 0 3
EURUSD, 240
EURUSD Straddle
Selling at yesterday's high and buying at yesterday's low. Each entry has a 10 pip stop loss with a value of 1% of equity. These are long term entries, therefore no take profit target is defined. Order expires 10 minutes before daily market close.
A.FX A.FX AUDUSD, 240, 5 days ago
AUDUSD: AUDUSD Straddle
22 0 2
AUDUSD, 240
AUDUSD Straddle
Selling at yesterday's high and buying at yesterday's low. Both positions have a 10 pip stop with a value of 1% of equity. Entering the trade and planning on holding it for along time or until I get stopped out. Therefore, no take profit target is defined. Order expires 10 minutes before daily market close.
dimitriosg2002 dimitriosg2002 HLF, D, Long , 2 months ago
HLF: GAP Strategy
17 0 1
HLF, D Long
GAP Strategy
Since HLF is oversold, there's a very good oportunity in making money. Target is 57.00, but I belive that it will go over 60. MARKET HOURS: Good oportunity for STRADDLE (in case the price wiil be between 59 and 63) after the market opens, as well as IRON CONDOR (STRANGLE seems to be ***too risky***).
kitkan87 kitkan87 XLU, D, 2 months ago
XLU: XLU Ranging 17 NOV
16 0 4
XLU, D
XLU Ranging 17 NOV
XLU is ranging around $46-$47 right now and developing a shampoo pattern (head & shoulders) on the 1 Year chart. I sold a straddle and I'll get out as soon as I can. Each support and resistance has a roughly twin shoulder going back to Feb. Temporarily neutral to allow the formation to develop.
RuiChen RuiChen BA, D, 3 months ago
BA: short straddle 120-140  Nov
21 0 1
BA, D
short straddle 120-140 Nov
i believe BA will between 120-140 sell the straddle for 2.42$
AlexanderGotay AlexanderGotay PRO EWW, 60, 3 months ago
EWW: Straddle for a neutral trade on EWW
18 0 5
EWW, 60
Straddle for a neutral trade on EWW
With the IV percentile over 90% we can sell premium to get a nice credit. I sold a Straddle @ 49 (sold 1 put, and 1 call with a 49 strike price) with 45 days to go to expiration.
nodiggity nodiggity TSO, 240, Short , 5 months ago
TSO: Straddle with TSO: Range-Bound!
21 0 1
TSO, 240 Short
Straddle with TSO: Range-Bound!
There are two ways to trade this. One is to short TSO to $73.40, and if the resistance holds, go long until $77.90. That's too risky. You can do that, but I'd rather play this as a straddle. Sell the $70 puts (1.25) and $80 calls (1.31) September calls. Max Profit: $256 per option.
TraderMD TraderMD TSLA, D, Short , 6 months ago
TSLA: Low Power Mode. Back to the charge station.
64 2 1
TSLA, D Short
Low Power Mode. Back to the charge station.
TSLA stock is at a crossroad and maybe hard to admit that its lost in direction and headed back down for a recharge. I do see the potential for this stock to rebound if it does drop. Longer term, aside from all negative headlines TSLA is a threat to the old standard traditional car makers, dealers, auto mechanic. ...
TraderMD TraderMD AMGN, D, 6 months ago
AMGN: Horizontal
23 0 0
AMGN, D
Horizontal
Horizontal movement this stock looks good for swing and position trades. Or as an option trade straddles and strangles. However one interesting aspect is that the OBV is in a trend upward, precluding an long run trend.
TraderMD TraderMD BIDU, W, 6 months ago
BIDU: Contrast Weekly vs Daily Timeframe
23 0 0
BIDU, W
Contrast Weekly vs Daily Timeframe
OBV and RSI indicate a possible bounce to the upside. Keep eye on intraday for continuation downward or break to the upside. If you wanna play both sides a straddle or strangle option strategy two or three months out might be ideal. For a one sided trade check OTM (out-the-money) contracts and the Vol in the ...
Ice_ Ice_ BBRY, 60, 6 months ago
BBRY: Long straddle BBRY
41 0 2
BBRY, 60
Long straddle BBRY
Closing at 50% profit
GIFTEC GIFTEC SPY, D, 6 months ago
SPY: JOBS REPORT POSSIBLE SIGNIFICANT MOVE SPY STRADDLE
95 0 0
SPY, D
JOBS REPORT POSSIBLE SIGNIFICANT MOVE SPY STRADDLE
Possible significant move up to and beyond 212.50 or a drop back to 207 support and below SPY STRADDLE SPY JULY 8 212 CALL @ $.15 SPY JULY 8 209 PUT @ $.30 Equal amounts invested in each RISK DISCLAIMER Options involve risks and are not suitable for everyone. Option trading can be speculative in nature and carry ...
QuantumLogicTrading QuantumLogicTrading GBPJPY, 15, 7 months ago
GBPJPY: DYNAMIC STRADDLE: USDJPY & GBPJPY - TP FROM BOJ & FOMC EVENT VOL
152 0 13
GBPJPY, 15
DYNAMIC STRADDLE: USDJPY & GBPJPY - TP FROM BOJ & FOMC EVENT VOL
The best Idea to play BOJ and FOMC from a risk-averse perspective is to own both in a Long Straddle Strategy Dynamic Straddle: Long USDJPY & Short GBPJPY - TP from volatility & Event likely hoods TP levels = cannot be greedy else you may miss one trades exit point so <25 pips when it goes in your direction for ...
mgv mgv FCX, D, 7 months ago
FCX: FCX Trading Range Bounce or Breakdown
34 0 0
FCX, D
FCX Trading Range Bounce or Breakdown
Might be a good straddle play for high gamma near term.
nodiggity nodiggity MPC, 240, 8 months ago
MPC: Cash in: No hold weekend for me
28 1 0
MPC, 240
Cash in: No hold weekend for me
No reason to hold anything over the weekend unless you have to. Something smelly about the markets. I can feel the SPY wanting to sell. MPC rallied up testing 37.00 fib level. It tested that level and it did not breach. The chart indicates overall bullish. It has/is building a nice $35 floor for itself. THE MODEL ...
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