Analyzing the options chain and the chart patterns of NOW ServiceNow prior to the earnings report this week, I would consider purchasing the 810usd strike price Calls with an expiration date of 2024-8-16, for a premium of approximately $29.50. If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
If you haven`t bought the dip on PM: nor sold the top: Then analyzing the options chain and the chart patterns of PM Philip Morris International prior to the earnings report this week, I would consider purchasing the 92.50usd strike price Puts with an expiration date of 2025-1-17, for a premium of approximately $5.80. If these options prove to be profitable...
Analyzing the options chain and the chart patterns of BTAI BioXcel Therapeutics prior to the earnings report this week, I would consider purchasing the 3usd strike price Calls with an expiration date of 2024-3-15, for a premium of approximately $0.25. If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
#OP The downtrend channel was broken strongly with a strong daily candle on a 1-day frame The broken trend was retested We also have an upward trend on the RSI indicator We also have a higher stability moving average of 100 Entry price 9.31 The first goal is 9.67 Second goal 10.47 Third goal 11.17
Analyzing the options chain and the chart patterns of LAZR Luminar Technologies prior to the earnings report this week, I would consider purchasing the 2.50usd strike price Calls with an expiration date of 2024-8-16, for a premium of approximately $0.59. If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
If you haven`t sold ABNB on this valuation thesis: Then analyzing the options chain and the chart patterns of ABNB Airbnb prior to the earnings report this week, I would consider purchasing the 150usd strike price in the money Puts with an expiration date of 2024-2-16, for a premium of approximately $7.70. If these options prove to be profitable prior to the...
1st Target - 3844 for option trader Comment in this post for more share analysis.
Analyzing the options chain and the chart patterns of CVS Health Corporation prior to the earnings report this week, I would consider purchasing the 75usd strike price Calls with an expiration date of 2024-2-9, for a premium of approximately $1.00. If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Analyzing the options chain and the chart patterns of RCL Royal Caribbean Cruises prior to the earnings report this week, I would consider purchasing the 130usd strike price Calls with an expiration date of 2024-3-15, for a premium of approximately $6.25. If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Analyzing the options chain and the chart patterns of BP p.l.c. prior to the earnings report this week, I would consider purchasing the 36usd strike price in the money Puts with an expiration date of 2024-7-19, for a premium of approximately $3.00. If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
If you haven`t sold the regional top on ASML: nor entered the dip before the previous earnings: Then analyzing the options chain and the chart patterns of ASML Holding prior to the earnings report this week, I would consider purchasing the 770usd strike price Calls with an expiration date of 2024-1-26, for a premium of approximately $15.85. And looking at the...
If you haven`t bought the dip on BA before the previous earnings: Then analyzing the options chain and the chart patterns of BA The Boeing Company prior to the earnings report this week, I would consider purchasing the 202.5usd strike price Puts with an expiration date of 2024-2-16, for a premium of approximately $5.15. If these options prove to be profitable...
Trade Overview: Initiated my first options trade for the annual challenge on January 2nd with an IWM strangle. Observing high IVR in the index, I capitalized on the recent VIX spike to enter the 45DTE 212/188 strangle for 3.57cr. Trade Management: Rolling Strategy: Will roll legs as needed before expiration if price diverges. Loss Management: With a ...
Analyzing the options chain and the chart patterns of FHN First Horizon Corporation prior to the earnings report this week, I would consider purchasing the 14usd strike price at the money Calls with an expiration date of 2024-2-16, for a premium of approximately $0.45. If these options prove to be profitable prior to the earnings release, I would sell at least...
If you haven`t sold WDFC prior to previous earnings: Then analyzing the options chain and the chart patterns of WDFC WD-40 Company prior to the earnings report this week, I would consider purchasing the 230usd strike price the money Puts with an expiration date of 2024-1-19, for a premium of approximately $7.55. If these options prove to be profitable prior to...
#OP The price has reached the upper triangle It achieved nearly 200% rise Some correction is expected before the rise is completed Entry point 1.80 First goal 2.28 Second goal 2.66 Third goal 3.00
If you haven`t bought the dip on ASAN: Then Analyzing the options chain and the chart patterns of ASAN Asana prior to the earnings report this week, I would consider purchasing the 22.50usd strike price at the money Calls with an expiration date of 2023-12-8, for a premium of approximately $1.65. If these options prove to be profitable prior to the earnings...
I've decided to make a play on the oil prices and chose /MCL futures for this venture. The trade required a BP (buying power) of $600, with a maximum profit potential of 1.07cr. This sets up a favorable risk-reward ratio of 1:6. The IVR (Implied Volatility Rank) stands at 51, which is advantageous for the credit strategies I prefer. With a PoP (Probability of...