IOT Earnings Alert: 8/8 Beat Streak + Big Upside! 37 Call Play
🚀 **IOT Earnings Trade Alert – High Conviction!** 📈
**Market Bias:** **Moderate Bullish** 💪
**Confidence:** 78% ✅
**Trade Idea:**
🎯 **Instrument:** IOT (Samsara)
🔀 **Direction:** LONG CALL
💵 **Strike:** \$37.00
📅 **Expiry:** 2025-09-05 (Weekly)
💰 **Entry Price:** \$2.15
📈 **Profit Target:** \$6.45 (200% return)
🛑 **Stop Loss:** \$1.08 (50% of premium)
📏 **Size:** 1 contract
⏰ **Entry Timing:** Pre-earnings close (AMC on 2025-09-04)
**Rationale:**
* 8/8 historical earnings beat streak 💥
* Very large average surprises → asymmetric upside ⚡
* Secular tailwind in IoT/software infrastructure 🌐
* Defensive put hedging in options market indicates upside potential, not bearish flow 🛡️
**Key Levels:**
* Short-term support: \$34–\$35 🛡️
* Resistance: 50DMA \~\$36.76 🔝
* Expected post-earnings move: \~\$40+ (implied 13.4%)
**Risk/Reward:**
* Max loss: \$215 per contract
* Reward potential: \$430+ → **4:1 R/R vs 50% stop**
* Breakeven: \$39.15
**Execution Notes:**
* Enter **pre-close** at ask \$2.15; consider mid-limit for better fills
* Exit **by market open post-earnings** or at profit/stop triggers
* Expect **30–50% IV compression**; strict stop discipline required
**Options Liquidity:**
* 37.00 call OI: 472 ✔️
* Ask/Bid: 2.15 / 2.05
📊 **Trading JSON (for exact execution)**
```json
{
"instrument": "IOT",
"direction": "call",
"strike": 37.0,
"expiry": "2025-09-05",
"confidence": 78,
"profit_target": 6.45,
"stop_loss": 1.08,
"size": 1,
"entry_price": 2.15,
"entry_timing": "pre_earnings_close",
"earnings_date": "2025-09-04",
"earnings_time": "AMC",
"expected_move": 13.4,
"iv_rank": 0.80,
"signal_publish_time": "2025-09-04 13:51:00 UTC-04:00"
}
``
Earningstrade
ASAN Earnings Bull Play --Call \$14.50 Setup
## 🚀 ASAN Earnings Bull Play 🎯 | Call \$14.50 Setup (Sep 5 Expiry)
### 📊 Quick Summary
* **Beat History:** ✅ 8/8 beats with big surprises → strongest bull datapoint.
* **Fundamentals:** 89% gross margin 💎 but still unprofitable (–31% net).
* **Options Flow:** Put-heavy at \$13–13.50 (hedging), but calls active at \$14.50–15.00.
* **Technicals:** Neutral, trading below 50/200-MA.
* **Macro:** Mixed, but AI/productivity tailwind possible.
**Net View:** 🟢 **Moderate Bullish (70% confidence)**.
---
### 📝 Trade Plan
* 🎯 **Instrument:** ASAN
* 🔀 **Direction:** Call
* 🎯 **Strike:** \$14.50
* 💵 **Entry:** \$0.85 (ask)
* 📅 **Expiry:** 2025-09-05
* 🎯 **Profit Target:** \$2.55 (+200%)
* 🛑 **Stop Loss:** \$0.42 (–50%)
* ⏰ **Timing:** Pre-earnings close
⚠️ **Exit Rule:** Close within 1–2 hours post-earnings to avoid IV crush.
---
### 🚀 Hashtags for Virality
\#ASAN #EarningsPlay #OptionsTrading #CallOptions #WeeklyOptions #BullishSetup #EarningsTrade #HighRiskHighReward #StocksToWatch #OptionsFlow #TradeSetup #TechnicalAnalysis
CRM Earnings BEAR PLAY--$235 Put Target→Don’t Miss Out
## 💣 CRM Earnings Bear Play 🚨 | Put \$235 Setup (Sep 5 Expiry) 📉🔥
### 📊 Summary
CRM earnings setup skews **bearish** despite durable cash flow:
* **Fundamentals:** Strong margins & FCF, but **revenue slowing (7.6% TTM)** + high bar for AI guidance.
* **Options Flow:** Heavy put OI at **\$230–240** vs scattered calls → institutions hedging downside.
* **Technicals:** Price under 50/200-day MA, RSI overbought (71). Short-term bounce inside longer downtrend.
* **Macro:** Rising VIX + risk-off tone = higher downside sensitivity.
**📈 Net View:** 🔴 **Moderate Bearish (74% confidence)** → downside risk outweighs upside into earnings.
---
### 📝 Trade Plan
* 🎯 **Instrument:** CRM
* 🔀 **Direction:** Put
* 💵 **Entry:** \$2.61
* 📅 **Expiry:** 2025-09-05
* 🎯 **Profit Target:** \$7.83 (+200%)
* 🛑 **Stop Loss:** \$1.305 (-50%)
* 📈 **Strike:** \$235
* ⏰ **Timing:** Enter **pre-earnings close** (Sep 4, AMC earnings).
⚠️ **Exit:** Within 2 hours post-print — avoid IV crush & second-day reversal.
---
### 🚀 Hashtags (TradingView Viral)
\#CRM #EarningsPlay #OptionsTrading #PutOptions #BearishSetup #WeeklyOptions #EarningsTrade #GammaFlow #IVCrush #StocksToWatch #HighRiskHighReward #SmartMoneyFlow #TechnicalAnalysis
CRWD Earnings Sniper | $400P Weekly Play
# 🚨 CRWD Earnings Setup (AMC 8/28) 🚨
💥 Bearish Lean | 🎯 \$400 Put | Exp 8/29
📊 **Setup Overview**
* Mixed model signals → leaning bearish
* Institutional volume spike ⚡
* Options flow: Neutral (C/P \~1.0)
* Risk: high (earnings whipsaw potential)
🎯 **Trade Idea**
* Buy \$400 Put (8/29 expiry)
* Entry: \$4.20
* Profit Target: \$12.60 (3x)
* Stop: \$2.10 (50%)
* Confidence: 65%
🕒 **Timing**
* Entry: at open (8/28)
* Exit: by Thursday close
⚠️ **Key Risks**
* Post-earnings IV crush
* Earnings surprise vs. consensus
* Pinning around \$400 strike
---
🔥 Tags for reach:
\#CRWD #EarningsPlay #OptionsTrading #WeeklyOptions #PutOptions #MarketSetup #EarningsTrade #ShortTrade #VolatilityPlay #Cybersecurity #TradingSignals #StocksToWatch
CSCO Earnings Play – Bullish Setup into AI Boom! (2025-08-12)
# 🚀 CSCO Earnings Play – Bullish Setup into AI Boom! (2025-08-12) 🚀
💡 **Cisco Systems (CSCO)** is setting up for a potential post-earnings breakout. Fundamentals, technicals, and sector momentum all align for a **moderate-to-high conviction CALL play**.
---
## 📈 Fundamentals Fueling the Bull Case
* **Revenue Growth:** +11.4% TTM – steady demand from enterprise & AI infrastructure
* **Margins Holding Strong:**
* Gross: **65.2%** 🏆
* Operating: **23.3%**
* Profit: **17.6%**
* **Earnings Consistency:** 8/8 quarters beat, avg. surprise **+5.1%**
* **Guidance Strength:** Forward EPS est. \$3.90 – confidence in profitability
---
## 📊 Options Market Intel
* **Low Volatility:** VIX at 15.52 → calmer market backdrop
* **Call Bias:** Heavy OI in \$73 & \$75 strikes → institutions loading up
* **Put/Call Skew:** Leaning bullish
* **Gamma Setup:** Low vol = reduced whipsaw risk
---
## 🔍 Technical View
* **Trend:** Trading above 20d (\$68.71), 50d (\$67.45), 200d (\$61.68) – clear bullish momentum
* **Resistance:** \$72.55 (52-week high) → breakout trigger zone
* **Support:** \$69.00 – defended by put concentration
* **Pre-Earnings Drift:** Steady climb → accumulation signs
---
## 🌍 Macro Tailwinds
* AI & cybersecurity demand surging
* IT spending cycle favorable for enterprise tech leaders like Cisco
* Sector rotation favoring growth & infrastructure plays
---
## 🎯 Trade Plan – Long Calls for Earnings Pop
**Type:** Buy to Open CALLs
**Strike:** \$74.00
**Entry Price:** \$0.85
**Expiry:** 2025-08-15
**Confidence:** 75%
📈 **Targets:**
* PT: \$2.00 (+135%)
* SL: \$0.42 (-50%)
* Time Exit: Within 2 hrs post-earnings if PT/SL not hit
---
## 🛡 Risk Management
* Max Risk: 1 contract = \$85
* R/R Ratio: \~1 : 2.5 – 4.0
* Avoid overnight hold past expiry
---
### 🧠 TradingView Takeaway
This is a **trend continuation earnings bet**. Strong balance sheet, bullish options flow, and favorable macro backdrop make CSCO a prime candidate for an earnings breakout.
---
💬 **Question:** If CSCO clears \$72.55, do you see a \$75+ close by Friday?
\#CSCO #EarningsPlay #OptionsFlow #BullishSetup #AIStocks #BreakoutWatch #TradingViewSetup #TechnicalAnalysis #LongCalls #EarningsTrade
CORZ Earnings Alert — Bearish Setup Ahead of BMO Report****⚠️ CORZ Earnings Alert — Bearish Setup Ahead of BMO Report**
Core Scientific (CORZ) faces heavy fundamental headwinds with declining revenue (-55.6%) and negative margins, despite some bullish options flow and technical support near \$14.
**📉 Market Sentiment:**
* Moderate bearish conviction (75%)
* Mixed signals: cautious optimism from options flow vs. weak fundamentals
* Watch M\&A uncertainty and regulatory risks
**🛠 Trade Setup:**
* **Instrument:** CORZ
* **Direction:** PUT (SHORT)
* **Strike:** \$14
* **Entry Price:** \$0.16
* **Profit Target:** \$0.48 (200-300% gain)
* **Stop Loss:** \$0.08
* **Expiry:** 2025-08-08
* **Size:** 1 contract
* **Entry Timing:** Pre-earnings close
**🔑 Key Levels:**
* Support near \$14
* Resistance at \$15
* Expected Move: -\$2.50
**⚠ Risk Management:**
* Cut losses at 50% premium decline (\$0.08)
* Exit by market open next day if no target hit
---
**#CORZ #CoreScientific #EarningsTrade #PutOptions #BearishSetup #OptionsTrading #CryptoStocks #MAndA #RiskManagement #TechnicalAnalysis #TradingView #StockMarket #Volatility #ShortSetup**
MNDY Earnings Play — Strong Bullish Momentum Ahead of AMC**🚀 MNDY Earnings Play — Strong Bullish Momentum Ahead of AMC**
Monday.com (MNDY) shows powerful fundamentals with 30% revenue growth and a perfect 8-quarter earnings beat streak. Options flow and technicals align for a potential explosive move post-earnings on **2025-08-08 (After Market Close)**.
**🔥 Key Stats:**
* Revenue growth: 30.1% TTM
* EPS consensus: \$3.70 (85% confidence in a beat)
* IV Rank: 75% (watch for IV crush post-earnings)
* RSI near 25 → oversold, setup for bounce
* Strong call volume at \$250 strike
**🛠 Trade Setup:**
* **Instrument:** MNDY
* **Direction:** CALL (LONG)
* **Strike:** \$250
* **Entry Price:** \$17.40
* **Profit Target:** \$52.00 (200-400% gain)
* **Stop Loss:** \$8.70 (50% premium cut)
* **Expiry:** 2025-08-15
* **Size:** 1 contract
* **Entry Timing:** Pre-earnings close
**⚠ Risk Management:**
* Position size max 2% portfolio
* Exit within 2 hours post-earnings to avoid IV crush and theta decay
---
**#MNDY #MondayDotCom #EarningsTrade #OptionsTrading #CallOptions #BullishSetup #PreEarnings #TechnicalAnalysis #RSI #IVRank #SwingTrade #TradingView #StockMarket #HighReward #RiskManagement**
RDDT Earnings Play — July 30 (BMO)
## 🚀 RDDT Earnings Play — July 30 (BMO)
**🎯 Bullish Call Trade | 75% Confidence | High Momentum Setup**
---
### 📈 REDDIT, INC. (RDDT) – EARNINGS SNAPSHOT
🧠 **Revenue Growth**: +61.5% TTM — AI + Ads combo paying off
💸 **Margins**:
• Gross: 90.8% ✅
• Op: 1.0% 🚩
• Profit: 8.1% 👍
🧾 **EPS Surprise Streak**: ✅ 5 for 5 | Avg. +191%
🎯 **Target Price**: \$155.58 (+9.5%)
⚖️ **Forward P/E**: 222.6 — Rich but justified?
**Score: 8/10**
📊 Sector: Comm Services (AI-driven tailwinds)
---
### 💥 OPTIONS FLOW SNAPSHOT
💰 Calls Stack at \$150 & \$160
🛡️ Puts cluster \$140–\$149 = Hedges, not bearish bets
📉 IV High = Juicy premiums
📈 Gamma Bias: Positive Skew
**Score: 7/10**
---
### 🔍 TECHNICAL CHECK
📍 Price: \~\$145.32
🧭 20D MA: \$147.89
📊 RSI: 59.5 (Momentum neutral, room to run)
🔓 Resistance: \$150
🛡️ Support: \$140
**Score: 6/10**
---
### 🌎 MACRO CONTEXT
🧠 Sector tailwinds from AI hype + digital ad rebound
🛑 No major regulatory red flags
**Score: 8/10**
---
## 🔥 THE TRADE SETUP
**📈 Direction**: Bullish
🎯 **RDDT 08/01 \$150C**
💸 **Entry**: \$9.55
🛑 **Stop Loss**: \$4.78
📈 **Target**: \$19.55+
🧮 **Size**: 1 Contract = \$955 Risk
🕒 **Entry Timing**: Pre-earnings close
📆 **Earnings Time**: BMO (Before Market Open)
📊 Expected Move: \~5%
📈 Setup = High risk / High reward, theta-sensitive
---
## ⚡ TRADE PLAN
✅ Take partial profit at 100%, full at 200%
⏳ Exit within 2H post-ER if target unmet
🛑 Cut below \$4.78 to cap drawdown
---
## 🧠 CONVICTION SCORE
🎯 75% Bullish Bias
📊 Based on fundamentals, options, and flow
📉 Risk = Valuation + Thin Op Margin
📈 Reward = Explosive upside w/ surprise history
---
💬 **Watch for \$150 breakout. If cleared post-ER = moonshot to \$160 possible.**
📢 #RDDT #EarningsTrade #RedditStock #CallOptions #AIStocks #TechMomentum #OptionsFlow #IVSurge #TradingViewIdeas #SwingTrade #OptionsStrategy #VolatilityPlays #RDDTstock
$DECK: Earnings Beat with Bullish Breakout on DeckDeckers Outdoor ( NYSE:DECK ) just closed at its 200-day moving average, forming a classic falling wedge ahead of its strong earnings beat and raised guidance. With massive short interest ready to cover, this stock is primed for an explosive breakout next week. My price targets are $177.67 and $184.48. Watch for momentum as shorts scramble to exit. Solid fundamentals and technicals aligning—time to pay attention.