#INFY... ✅ 🔹🔹🔹🔹🔹🔹🔹🔹🔹 👇👇👇👇👇👇👇👇👇👇👇👇 INTRADAY/ Short term delivery call as well 👍 All levels given in charts ... IF good potential seen then we work in options also 👉if activate then possible a huge movement Keep eye on this ... We take trade only when it activates... 📚📚👁🚀 📚 🚀🚀🚀🚀🚀🚀🚀🚀 Possible to give good target 👍👍👍👍👍👍👍👍
Looking at the UROY Uranium Royalty Corp options chain ahead of earnings , i would buy the $2.5 strike price Calls with 2023-1-20 expiration date for about $0.22 premium. If the options turn out to be profitable Before the earnings release, i would sell at least 50%. Looking forward to read your opinion about it.
Looking at the MOMO Hello Group options chain ahead of earnings , i would buy the $5 strike price in the money Calls with 2023-1-20 expiration date for about $0.98 premium. If the options turn out to be profitable Before the earnings release, i would sell at least 50%. Looking forward to read your opinion about it.
New Trade $TSLA Naked Put Strike $99 Premium $0.41 x 3 contract = $123.00 Adding to the previous contracts Strikes 96 and 98 for a total credit of $563.00
Looking at the AMBA Ambarella, Inc. options chain ahead of earnings , i would buy the $80 strike price Calls with 2023-1-20 expiration date for about $5.40 premium. If the options turn out to be profitable Before the earnings release, i would sell at least 50%. Looking forward to read your opinion about it.
I'm starting a new position into some tickers to use THETA as our main income generator:. The goal is 30% return/year Sell Puts Delta 5/10/15 55/45/ 40 DTE Trades/Day = +6 Trades/Week = +30 Trade/Year = +1560 Credit/Trade = +$110.00 Book Size = 3.53% Book Wipe Risk = 7.06% Black Sawn Risk = 49.45% PCR = 35% Avg DIT = 15 Delta/Theta Ratio = 0.5 (hard to keep...
TP1> Trade Plan 1 if we manage to Trade/Bid above MAIN POC 3937, we can test > 3960 > 3995 > 4036. TP2> Trade Plan 2 if we Open/Trade below MAIN POC 3937 we can test > 3914 (LIS-CPI POC) > 3845 > 3827.
#APOLLOHOSP... ✅ INTRADAY/ Short term delivery call as well All levels given in charts IF good potential seen then we work in options also if activate then possible a huge movement Keep eye on this We take trade only when it activates... Possible to give good target
KEEP EYE ON SBILIFE It will be good above 1274 with a little stoploss we always trade with double confirmation if good momentum found we trade in option as well
Looking at the MDT Medtronic options chain ahead of earnings , i would buy the $82.5 strike price Calls with 2023-1-20 expiration date for about $2.93 premium. If the options turn out to be profitable Before the earnings release, i would sell at least 50%. Looking forward to read your opinion about it.
Dear traders, I have identified chart levels based on my analysis, major support & resistance levels. Please note that I am not a SEBI registered member. Information shared by me here for educational purpose only. Please don’t trust me or anyone for trading/investment purpose as it may lead to financial losses. Focus on learning, how to fish, trust on your own...
Looking at the KSS Kohl's Corporation options chain ahead of earnings, i would buy the $34 strike price Calls with 2022-11-18 expiration date for about $0.64 premium. If the options turn out to be profitable Before the earnings release, i would sell at least 50%. Looking forward to read your opinion about it.
Looking at the PSNY Polestar Automotive Holding options chain, i would buy the $5 strike price Calls with 2022-11-18 expiration date for about $0.23 premium. If the options turn out to be profitable Before the earnings release, i would sell at least 50%. Looking forward to read your opinion about it.
BITSTAMP:BTCUSD Bitcoin (BTCUSD) fell below the psychologically important $30,000 level in the beginning of June, after it briefly reached $31,800 on May 30th. In early May, the leading cryptocurrency touched bottom around $25,000 amid the US stock market selloff. Extreme price volatility is the trademark of Bitcoin throughout its history. Crypto investors’...
If you haven`t sold RIVN Rivian after the bad news: Then looking at the RIVN Rivian Automotive options chain ahead of earnings, i would buy the $30 strike price Puts with 2023-6-16 expiration date for about $6.60 premium. If the options turn out to be profitable Before the earnings release, i would sell at least 50%. Looking forward to read your opinion about it.
Again. Resistance, risk market. Easey We are on resistance on the daily TF Last short we had a -3%. This market is risky, we are at resistance so easily -1,5%. Its worth the odds. Gr, jsprvl
Buy 1 lot banknfity (10 nov) 41500 ce @ 405-410 + Buy 1 lot banknifty (3 nov) 41300 pe @ 32-35 = Combined premium 437-445 stoploss 380 target open EOD/intraday
Looking at the SPLK Splunk options chain, i would buy the $95 strike price Puts with 2022-9-2 expiration date for about $1.89 premium. Looking forward to read your opinion about it.