strategy!

ichimokutrade ichimokutrade PRO FB, 240, Long , 16 hours ago
FB: $FB facebook trying  break 139.98 to continue the bullish tren
30 0 9
FB, 240 Long
$FB facebook trying break 139.98 to continue the bullish tren

$FB facebook trying to break 139.98 to continue the bullish trend #fb #stocks #stock #options #option #ichimoku #stocktweets #facebook

AlexanderGotay AlexanderGotay PRO IWM, D, 2 days ago
IWM: IWM 30 Delta Strangle
28 0 7
IWM, D
IWM 30 Delta Strangle

Last week I closed my IWM trades for a nice profit, and since IWM is part of my always on trades, and we got a nice move this week with a spike in volatility I am reloading on this one. IWM Strangle @30 delta IV Rank of 29.6 May 19 129 Put May 19 138 Call $3.68 credit Break evens 141.68 and 125.32 57% probability of profit we will look to close it earlier at ...

NaughtyPines NaughtyPines XOP, D, Long , 2 days ago
XOP: OPENING: XOP APRIL 21ST 33.5/JUNE 16TH 30 PUT DIAGONAL
10 0 3
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 ...

ChrisMoody ChrisMoody PRO CELG, D, 2 years ago
CELG: Larry Connors RSI-2 Trading System!!! Surprising Win Rate!!!
83287 130 80
CELG, D
Larry Connors RSI-2 Trading System!!! Surprising Win Rate!!!

This year I am focusing on learning from two of the best mentors in the Industry with outstanding track records for Creating Systems, and learning the what methods actually work as far as back testing. I came across the RSI-2 system that Larry Connors developed. Larry has become famous for his technical indicators, but his RSI-2 system is what actually put him ...

DsForexPro DsForexPro EURUSD, 60, a year ago
EURUSD: A 90% Winning Strategy - Simple but effective
3333 4 9
EURUSD, 60
A 90% Winning Strategy - Simple but effective

Guys ! we all know about Renko Charts, you can use this strategy which is really basic, simple but very very effective. For making good profit it's not that you need loaded Indicators and systems, sometimes a very basic system turns to be effective. Here i am discussing a system which always works. Clear entry and exit rules, you can use this system for scalping ...

AlexanderGotay AlexanderGotay PRO NKE, D, Long , 2 days ago
NKE: Earnings play on Nike
48 0 8
NKE, D Long
Earnings play on Nike

The expected move is around $2.60 by doing a a synthetic spiked lizard with 2 ratio spreads we don't have risk to the upside and to the downside we have a buffer of over $3. Our break even is just below the $55 mark, and we have a max profit of $220. I will look to close it out tomorrow. Probability of profit is around 79%, but since this is an earnings play, ...

NaughtyPines NaughtyPines NKE, D, 2 days ago
NKE: OPENING: NKE MARCH 31ST 54.5/58.5/59/63 IRON CONDOR
41 0 7
NKE, D
OPENING: NKE MARCH 31ST 54.5/58.5/59/63 IRON CONDOR

... for a 2.23 credit. (Earnings volatility contraction play). Metrics: Probability of Profit: Coin Flip Max Profit: $223/contract Max Loss/Buying Power Effect: $177/contract Break Evens: 56.27/61.23 Notes: I filled this at open, but price has moved down somewhat, so you may want to adjust the setup by a half strike or so. In any event, this thing's so ...

AlexanderGotay AlexanderGotay PRO EWZ, D, 2 days ago
EWZ: EEM/EWZ pairs trade (covered strangles)
13 0 4
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 ...

AlexanderGotay AlexanderGotay PRO GLD, D, 6 days ago
GLD: Neutral trade on GLD with positive Vega
73 0 6
GLD, D
Neutral trade on GLD with positive Vega

After the strong move up the last couple of days, I expect GLD to make a small correction. With an IV Rank at less than 1%, is not a good idea to try any of my favorite trades, so I am doing a double diagonal that would benefit in an increase in volatility (long Vega). I sold the 120/115 Strangle on the april expiration and bought the 121/114 Strangle on ...

AlexanderGotay AlexanderGotay PRO VXX, 240, 7 days ago
VXX: Neutral/Bullish trade on VXX
39 0 6
VXX, 240
Neutral/Bullish trade on VXX

We are at the lows and this trade is a neutral to bullish strategy. By selling the 18/19 Credit spread we make money if VXX continues to go down, however by selling the At the money Put we collect enough premium so that we have no risk to the upside in case volatility decides to explode. To be more efficient with my capital I am also buying the 13 Put ...

AlexanderGotay AlexanderGotay PRO NG1!, D, 2 months ago
NG1!: Double Ratio on Natural Gas (NGAS)
213 2 17
NG1!, D
Double Ratio on Natural Gas (NGAS)

The last 50 days, we got a nice move of over 50% in Natural Gas over 50%. I just closed a covered Strangle for a nice profit and its now time to redeploy, since I think the price is going to slow down. Price is over extended above the 20EMA and I expect a correction, so I just made one of my favorite trades. The double Ratio. I bought the 4.25 Call and sold ...

NaughtyPines NaughtyPines SPY, D, Long , 4 days ago
SPY: LONG-TERM ACCOUNTS: 2017 401(K)/IRA SPY SHARE ACQUISITION LEVELS
87 0 11
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 ...

ForexProtege ForexProtege AUDJPY, 60, Long , 4 days ago
AUDJPY: 19.03.17 - Harmonic Patterns - Butterfly AUDJPY 1HR
44 1 8
AUDJPY, 60 Long
19.03.17 - Harmonic Patterns - Butterfly AUDJPY 1HR

Hi Traders! :) Going into the week, I am confident that this Bat Pattern will hit entry. If it is a loss, it doesn't matter, as the Risk to Reward is 1:135. It meets all of trading criteria and is a fairly clean pattern. Let's just watch and see how we go, we cannot control the markets. Remember, to trade your plan! Have a great Trading week :)

NikaLekishvili NikaLekishvili CADCHF, 15, 6 days ago
CADCHF: CAD CHF * XABCD PATTERN
40 0 4
CADCHF, 15
CAD CHF * XABCD PATTERN

15 minute chart, My Pattern strategy. For more ideas: https://www.tradingview.com/NikaLekishvili

NikaLekishvili NikaLekishvili AUDJPY, 15, 6 days ago
AUDJPY: AUD JPY ~ XABCD PATTERN 15
81 0 4
AUDJPY, 15
AUD JPY ~ XABCD PATTERN 15

15 minute chart, My Pattern strategy. For more ideas, follow my channel !

NaughtyPines NaughtyPines SPY, D, Long , 10 days ago
SPY: TRADE IDEA: SPY APRIL 21ST 230/233 SHORT PUT VERT
89 0 8
SPY, D Long
TRADE IDEA: SPY APRIL 21ST 230/233 SHORT PUT VERT

This is a defined risk variation on a Tom Preston (Dough/TastyWorks) play, where he sells the monthly SPY put with a 68% probability of expiring worthless. He generally does this on the Monday following the monthly opex; I'm doing it a few days early ... . While I'm using it as a delta hedge of a core SPY position (I'm in need of a touch of long delta), it's ...

AlexanderGotay AlexanderGotay PRO TLT, D, 10 days ago
TLT: TLT Big Lizard,  Neutral to bullish.
75 0 9
TLT, D
TLT Big Lizard, Neutral to bullish.

Selling the 116 Straddle and buying the 118 Call for a total of $2.33 Credit. We have no risk to the upside and we are betting the Rate change is already priced in and if something strange happens and we get a move higher we don't have any risk to the upside. Our break even is at $113.67 That's 2.5% protection move to the downside. Last two times we had a rate ...

NaughtyPines NaughtyPines URBN, D, 16 days ago
URBN: OPENING: URBN MARCH 17TH 21.5/25.5/25.5/29.5 IRON FLY
34 0 2
URBN, D
OPENING: URBN MARCH 17TH 21.5/25.5/25.5/29.5 IRON FLY

... for a 2.24 ($224)/contract credit. (High IVR/High IV; Post Earnings Volatility Contraction Play). Metrics: Max Profit: $224/contract Max Loss/Buying Power Effect: $177/contract Break Evens: 23.27/27.73 Theta: 6.12 Delta: -4.33 Notes: I'm looking to manage this at 25% max profit.

123456... Show More Ideas
Market
Interval
Browse
Time
Author
Widgets
Ideas Scripts Chart
United States
United Kingdom
India
España
France
Italia
Brasil
Россия
Türkiye
日本
한국
Home Stock Screener Economic Calendar How It Works Chart Features House Rules Moderators For the WEB Widgets Stock Charting Library Priority Support Feature Request Blog & News FAQ Help & Wiki Twitter
Private Messages Chat Ideas Published Followers Following Priority Support Public Profile Profile Settings Account and Billing Sign Out