We had a double top $189 and a hard rejection I noticed that greed was really heavy around that area. Then we broke and retested the $176 area. Seeing how we've got a ton of 200 MA's above us, I would enter here and if we come back to $176, average into the position. I've had numerous bearish signals over the last month and I'm pretty confident about this...
Looking at the UXIN Limited options chain ahead of earnings , i would buy the $2 strike price Puts with 2023-8-18 expiration date for about $0.57 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.
[ b]important levels for bank nifty >trade wisely and carefully and don't forget to place stop-loss its just an idea >follow for more content like this bcoz this motivate me for posting more and more content like this thankyou NSE:BANKNIFTY1! :BANKNIFTY"]NSE:BANKNIFTY
Looking at the CAR Avis Budget Group options chain, i would buy the $205 strike price Puts with 2022-11-4 expiration date for about $4.10 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 TCOM Trip(.)com Group options chain ahead of earnings , i would buy the $35 strike price Calls with 2023-1-20 expiration date for about $1.77 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.
#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.
Looking at the NTNX Nutanix, Inc. options chain ahead of earnings , i would buy the $35 strike price Calls with 2023-1-20 expiration date for about $1.00 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 ZS Zscaler, Inc. options chain ahead of earnings , i would buy the $119 strike price Puts with 2022-12-2 expiration date for about $2.01 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
Using the Broadening Formations from The Strat we can see that SPY is riding the top of the BF well, but even with FED mins coming out it still could not break resistance on the Daily. With that I expect SPY to chill around this area until next week or December at the next fed meeting. If you are in our group and read my write ups you know the real recession is...
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.