Looking at the WDAY Workday options chain, i would buy the $150 strike price Puts with 2022-9-16 expiration date for about $5.40 premium. Looking forward to read your opinion about it.
---------------Ticker: $XOM ----------------------Time Frame : 4H ------------------------------ Investment Strategy: Long Trend is broken and retested the trend(Support) and rejected. Trendsi Confirmation of Green Dot and Green line gives me full confidence, we can see XOM 97 very soon. Follow for daily stock, crypto and forex technical analysis. ⚠️ Trading...
M Consumer spending is the chief concern for retailers, but the market is mixed. Home Depot (HD) and Walmart (WMT) are continuing to post gains while Target (TGT) slides due to inventory surplus on clothing and high-ticket items. Macy’s hasn’t missed a beat since the 2020 lows, recovering more than 30% of its previous share price. We don’t know where the price...
Looking at the HD The Home Depot options chain, i would buy the $300 strike price Puts with 2022-8-19 expiration date for about $2.80 premium. Looking forward to read your opinion about it.
NASDAQ:WIX ------- All, Been AFK for quite a while didn't trade much since December just converted to cash after a few medium L's around Jan. **I think an obvious disclaimer here is this is contingent on the market/war/fed data not being bad after this. Too fragile right now. On this one I think we have a really good Supply/Demand area and possible...
Nifty as per global cues going to open GAP UP straight away in 17700 zone and we have resisantce at 17900 levels " I am currently bullish and holding my Bull Call Spread " and when we reach at resistance level will look to impliment" Bear Put Spread "strauight away in the zone. I had also sold 500 quantities of 16800 PE of this expiry on monday which i am going...
Looking at the GOEV Canoo options chain, i would buy the $5 strike price calls with 2022-9-2 expiration date for about $0.18 premium. Looking forward to read your opinion about it.
the big topic of this month and July has been RECESSION . I believe it depends all on the labour market now if we start to see increasing unemployment that could tip us into a recession. this is why I am short on the SPY because I believe this rally will fizzle out because there have been no real positive changes in the macroeconomics currently to fuel this...
Today with a hug recovery in a market nifty were close in a buying position/in a bullish level after seeing this now for tomorrow buy nifty 50 above 17400 Our target 17450 17520 17596 Sl 17360 we can't make any bearish level bcz for tomorrow our view for Market was bullish But by chance market break 17350 level thn make bearish position target 17300 17265 17230...
option buyers can consider buying OTM call options in SPX or any indices as it broke out C>A first target of wave C, is 4030 if it breaches this level expect 4220 as 1.62of A buying after C wave break-out is the winning secret of option buyers
Hi everyone, China this am came out with a better tone toward their tech industry and markets. Assuming that geo political events do not get worse between the USA vs China. I am making a Long term asset accumulation bet on Alibaba 1) I discuss straight stock asset ownership vs 2) Getting an income by selling the deep out of the money 80 strike September...
Earning day play: SELL DOTM PUT NIO 18 NOV22 FOR $2.13 Strike 15 ROI =15/2.13= 14.3 % Target support zones 13-16 target resistance 27-30 *** 2 outcomes a) Stocks close above 15 By EXP in November we make an income 14.3% b) Stock Tanks because of delisting fears or geo political USA china We get the asset stock at 15 strike - credit received $2.13=...
We see nifty bullish until it's touch the level of 17900-18200 our max target of nifty was that only after that we see some selling in it . For tomorrow our view was bullish bcz of positive view and chart we see in Friday nifty creat a fine breakout was W-pattern and close on them soo tomorrow there was gap up opening of more thn 40 point if there was no gap up...
Looking at the AMD Advanced Micro Devices options chain, i would buy the $110 calls with 2022-9-16 expiration date for about $1.54 premium. Looking forward to read your opinion about it.
I am starting to add Puts as I type this. Way too much resistance between $4,100 and $4,200 levels. I wish you all the best of luck.
Hello and welcome to this analysis based on Harmonic Trading Patterns In the daily time frame it has made a Bearish Harmonic ABCD pattern with perfect balance symmetry. It could retrace down to 440 - 430 as long as it does not trade above 461 As per Option Data also July Series 460CE is seeing fresh shorts being added and 440PE is seeing short covering. While...
Looking at the EU and US markets, expecting NIFTY to trade in a very range bound market... 16700 ~ 16770 look to be good resistance zone (CPR resistance levels 16703) 16500 - 16500 look to be good support zone (CPR support levels 16561) OI a. Call writing is quite high at 17K, even 16.7K has good OI b. Put writing at 16.5K has nearly 6 million contracts 20 delta...
Twitter has been bought by Elon Musk so let's see how much has the company changed since Elon has cut costs, but he has also had a trust loss.