PLTR Weekly Call Alert: Strike $170 Ready to Soar!
🚀 **PLTR Weekly Call Alert | 2025-09-10** 🚀
**📈 Directional Bias:** Strong Bullish (70% Confidence) ✅
**Why This Trade?**
* 🔹 Daily RSI 60.1 & Weekly RSI 60.8 rising → momentum confirmed
* 🔹 Call/Put flow 2.03 → institutional call positioning
* 🔹 Breakout above prior weekly high (\$162.40)
* ⚠️ Weekly volume only 1.0x → weaker confirmation; requires active management
**💡 Recommended Trade:**
* **Instrument:** PLTR weekly CALL
* **Strike:** \$170 💰
* **Expiry:** 2025-09-12
* **Entry Price (Ask):** \$0.23
* **Direction:** LONG ✅
* **Position Size:** 1 contract (scale to account risk, high-gamma weekly scalp)
* **Entry Timing:** Market open
**🎯 Targets & Stops:**
* **Profit Target:** \$0.46 (+100%)
* **Stop Loss:** \$0.12 (\~48%)
* **Exit Rule:** Thursday EOD if neither stop nor target hit
**⚡ Key Risks:**
* High gamma & accelerating theta → short-duration trade
* Resistance cluster near \$169 → potential collapse if fails
* Thin options, bid-ask spreads → use limit orders, expect slippage
* Tail risk: negative headlines or market sell-offs
**💎 Trade Strategy:**
* Single-leg naked call
* Lower premium (\$0.23) for higher R/R
* Optional alternative: \$167.50 call @ \$0.41 for slightly higher delta and cost
**📊 JSON Snapshot:**
```json
{
"instrument": "PLTR",
"direction": "call",
"strike": 170.0,
"expiry": "2025-09-12",
"confidence": 0.70,
"profit_target": 0.46,
"stop_loss": 0.12,
"size": 1,
"entry_price": 0.23,
"entry_timing": "open",
"signal_publish_time": "2025-09-11 02:07:06 UTC-04:00"
}
```
💥 **TL;DR:** PLTR bullish weekly call. Buy \$170 at open, stop \$0.12, target \$0.46, exit Thursday EOD. Small size, high-gamma scalp — limited risk, strong momentum potential!
Pltroptions
PLTR $162.5C — Smart Money Loading, Can Price Catch Up?"
# 🔥 PLTR Weekly Trade Setup (2025-09-07)
**Bias:** 📉 Neutral-to-Slight Bearish (price action)
**But...** 📊 Options Flow = Strongly Bullish (C/P 1.66)
**Conviction:** ⭐⭐ (50% speculative)
---
### 📊 Key Takeaways
* ❌ **Momentum:** Daily RSI 36.3 falling → bearish pressure
* ❌ **Volume:** 0.8× avg → no institutional confirmation
* ✅ **Options Flow:** Strongly bullish (C/P 1.66) → divergence vs price
* ✅ **Volatility:** Low (VIX \~15.2) → cheap calls, low gamma risk
* ⚖️ **Consensus:** Most models = *no trade*, but speculative call flow play is possible
---
### 🎯 Trade Plan (Speculative Flow Play)
* **Instrument:** \ NASDAQ:PLTR
* **Direction:** CALL (naked)
* **Strike:** \$162.50
* **Expiry:** 2025-09-12 (weekly)
* **Entry Price:** \$0.96 (ask)
* **Profit Target:** \$1.60
* **Stop Loss:** \$0.48
* **Size:** 1 contract (small, strictly sized)
* **Entry Timing:** Open
---
### 🧠 Rationale
* Options traders buying aggressively → possible **short-squeeze / bounce**.
* Weak volume + bearish RSI = technical headwind.
* This is a **tactical, high-risk punt**, not a conviction swing.
---
### ⚠️ Key Risks
* 📉 Downtrend may dominate → option decays fast.
* ⏳ 5 DTE = heavy theta decay midweek.
* 💸 Spread/slippage risk at open.
* 📰 Macro/news can flip flow instantly.
---
## 📌 TRADE DETAILS (JSON)
```json
{
"instrument": "PLTR",
"direction": "call",
"strike": 162.5,
"expiry": "2025-09-12",
"confidence": 0.50,
"profit_target": 1.60,
"stop_loss": 0.48,
"size": 1,
"entry_price": 0.96,
"entry_timing": "open",
"signal_publish_time": "2025-09-07 06:53:26 EDT"
}
```
---
🔥 **Summary:**
This is a **flow vs. trend battle.**
Price says bearish 📉, options traders say bullish 📈.
Take the \$162.5C as a **small-size speculative punt** → defined risk, fast exit.
PLTR Bulls Eye $168 Target→Don’t Miss Out
🚀 **PLTR Swing Trade Setup | Weekly Bullish Trend vs. Daily Correction** 💎
📊 **TRADE DETAILS**
🎯 **Instrument**: \ NASDAQ:PLTR
📈 **Direction**: LONG
💰 **Entry Price**: 156.50 (limit, fill up to 157.00)
🛑 **Stop Loss**: 151.90
🎯 **Take Profit**: 168,00
📊 **Size**: 15% of portfolio
💪 **Confidence**: 60%
⏰ **Entry Timing**: Market Open (8/31)
⚖️ **R\:R ≈ 2.9** | Risk ≈ -4.6 / Reward ≈ +13.5
📌 **Rationale**
✅ Weekly trend still strongly bullish (EMA stack + MACD positive).
✅ Clear stop cluster at 152.55 (50 EMA).
✅ Tactical swing long if structure holds.
⚠️ Daily MACD still corrective + weak volume → size capped.
---
🔥 **Hashtags **
\#PLTR #OptionsTrading #SwingTrade #EarningsPlay #BullishSetup #StockMarket #TradingSignals #RiskReward #MomentumTrading #TradeIdeas
PLTR Weekly Options Setup | $165C Eyeing 75% Upside!
## 🚀 PLTR Weekly Options Play (Aug 25–29): Tactical Call Setup 🎯🔥
**Summary of Model Signals**
* **Mixed Views:** 2 bullish/neutral vs. 2 bearish/neutral → no full consensus.
* **Claude:** ✅ Bullish, calls at \$165 (OI cluster, daily RSI rebound).
* **Grok:** ❌ Bearish, puts at \$142 (institutional selling, weak RSI).
* **Gemini + Llama:** ⚖️ Neutral, no clear trade.
**Key Market Notes**
* 📊 2.2x weekly volume = high institutional activity.
* ⚡ Options flow neutral (C/P 1.04).
* 🌀 Daily RSI rebounding from oversold.
* 💎 Heavy call OI stacked \$160–\$170 (pinning/squeeze zone).
* 🛑 Risks: theta decay (4 DTE), gamma whipsaws, low VIX → possible chop.
---
### 📈 Trade Plan (Speculative, Small Size)
* 🎯 **Direction:** CALL (LONG)
* 🔑 **Strike:** \$165.00
* 💵 **Entry:** \$0.98 (ask)
* 🎯 **Target:** \$1.70 (+75%)
* 🛑 **Stop:** \$0.53 (–45%)
* 📅 **Expiry:** Aug 29, 2025
* 📏 **Size:** 1 contract (small/speculative)
* ⏰ **Timing:** Entry at open, exit by Thursday if no momentum.
* 📊 **Confidence:** 60% (moderate conviction, mixed models).
---
### 📊 TRADE DETAILS (JSON for coders/quant backtesters)
```json
{
"instrument": "PLTR",
"direction": "call",
"strike": 165.0,
"expiry": "2025-08-29",
"confidence": 0.60,
"profit_target": 1.70,
"stop_loss": 0.53,
"size": 1,
"entry_price": 0.98,
"entry_timing": "open",
"signal_publish_time": "2025-08-25 13:14:21 UTC-04:00"
}
```
---
### 🔖 Tags:
\ NASDAQ:PLTR #OptionsTrading #WeeklyOptions #CallOptions #TechStocks #MomentumTrading #StockMarket #TradingSetup 🚀📈🔥💎
PLTR Bear Play! $145 Put Poised for Big Weekly Move!
# ⚡ PLTR Weekly Put Play – \$145 Strike for 50-100% Gains 💹🔥
### 🔎 Quick Market Snapshot
* **📉 Daily RSI:** 33.8 → Oversold & accelerating downward momentum
* **📊 Weekly RSI:** 56.8 → Falling, weakening bullish momentum
* **💵 Price Action:** -15.65% drop, bearish engulfing pattern
* **📈 Volume:** 1.5x previous week → Institutional selling confirmed
* **📊 Options Flow:** Call/Put ratio 1.00, but heavy put volume @ key strikes
* **🌡️ VIX:** 15.8 → Low volatility environment, ideal for directional trading
---
### 🎯 Trade Setup (High Conviction Put Play)
* **Ticker:** PLTR
* **Direction:** 📉 PUT
* **Strike:** \$145.00
* **Entry Price:** \$1.70
* **Profit Target:** \$2.52 (50% gain), secondary \$3.36 (100% gain)
* **Stop Loss:** \$0.84 (50% of premium)
* **Expiry:** 2025-08-22
* **Confidence:** 🟢 75% Bearish
* **Timing:** Enter **market open Thursday**
---
### 📝 Trade Thesis
Strong institutional selling + oversold technicals + bearish price action = **high-probability short-term put trade**.
⚡ **Play: \$145 Put targeting 50-100% gains before Friday expiration.**
PLTR CALL 170C —Don't Miss it
🚀 **PLTR Weekly CALL Alert!** 🚀
Momentum building 📈 | RSI rising | Favorable volatility ⚡
🎯 **Strike:** \$170 CALL
💵 **Entry:** 0.70 | 🎯 **Target:** 1.40 | 🛑 **Stop:** 0.35
📅 **Expiry:** Aug 19 | ⏰ **Entry:** Open
⚡ **Confidence:** 70%
Bulls in control + rising RSI = upside potential 💥📊
\#PLTR #OptionsTrading #WeeklyCalls #BullishMomentum #SwingTrade #TradeSetup #VIX #TechStocks
PLTR Gamma Risk High – Is This the Perfect Time for Puts? 📉 PLTR One-Day Put Play – Failed Breakout Turns Bearish
**Sentiment:** 🔻 *Bearish to Neutral*
* **Daily RSI:** 72.7 ⬇️ (falling from overbought)
* **Weekly RSI:** 83.0 ⬇️ (weakening momentum)
* **Volume:** 0.8× last week → low institutional conviction
* **C/P Ratio:** 1.05 (neutral flow)
* **Gamma Risk:** HIGH — expiry in 1 day
* **Time Decay:** Accelerating ⚠️
---
### 📊 **Consensus Snapshot**
✅ All models agree momentum is fading
✅ Weak volume + falling RSI = bearish bias
⚠️ Gamma risk means tight stop-loss & active monitoring
---
### 🎯 **Trade Setup**
* **Type:** PUT (Short)
* **Strike:** \$177.50
* **Expiry:** 2025-08-15
* **Entry:** \$0.69
* **Profit Target:** \$1.00 (+45%)
* **Stop Loss:** \$0.35 (–50%)
* **Confidence:** 70%
* **Entry Timing:** Market open
---
💬 *This is a 24-hour bearish momentum play — watch price action closely.*
📌 *Not financial advice. DYOR.*
---
**#PLTR #OptionsTrading #PutOptions #TradingSignals #GammaRisk #StocksToWatch #DayTrading #OptionsFlow**
PLTR Weekly Options Outlook – Overbought & Losing🚨 PLTR Weekly Options Outlook (Aug 12, 2025) – Overbought & Losing Steam? 🚨
### **Market Sentiment**
* **Call/Put Ratio:** 0.81 → Neutral bias
* **Days to Expiration:** 3 → Gamma risk & fast time decay kicking in
* **VIX:** 15.3 → Low volatility = easier directional plays
### **RSI Check**
* **Daily RSI:** 75.3 → Overbought, trending **down**
* **Weekly RSI:** 81.5 → Overbought, trending **down**
* Momentum exhaustion likely → risk of **pullback/consolidation**
### **Volume & Options Flow**
* Weekly volume **+150%** → Institutional participation confirmed
* Options flow balanced (calls ≈ puts) → Hedging, not aggressive bets
### **Consensus Across Models**
✅ Agreement: Strong institutional flow, but RSI decline = caution
⚠ Disagreement:
* Some models → **No trade** (momentum exhaustion risk)
* Others → **Moderate bullish** (volume support)
### **Conclusion**
📉 Short-term bias: **Neutral → Slight Bearish** despite bullish volume
📊 **Confidence Level:** 65%
🚫 No naked calls recommended here — wait for better entry after a pullback
---
**💡 Key Risks:**
1. RSI exhaustion → bigger pullback possible
2. Volatility shift before expiration → premium decay risk
---
📌 **Tags:**
\#PLTR #OptionsTrading #WeeklyOutlook #StockAnalysis #GammaRisk #Overbought #RSI #VolumeAnalysis #InstitutionalFlow #TradingView
PLTR Bulls Unstoppable? Key Levels You Can’t Ignore! 🚀 PLTR Swing Trade Setup (2025-08-09) 🚀
**Bias:** 📈 **Cautious Bullish** — momentum strong, RSI hot, but volume light = high risk at highs.
**🎯 Trade Plan**
* **Ticker:** \ NASDAQ:PLTR
* **Type:** CALL (LONG)
* **Strike:** \$212.50 (slightly OTM)
* **Entry:** \$0.85 (open)
* **Profit Target:** \$1.27 (+49%)
* **Stop Loss:** \$0.59 (-30%)
* **Expiry:** 2025-08-22 (2W)
* **Size:** 1 contract
* **Confidence:** 70%
**📊 Key Notes**
* RSI 84.2 → extreme overbought 🚨
* Multi-timeframe momentum ✅
* Weak volume = low institutional conviction ❌
* Resistance ahead — watch \$175-\$180 pullback zone for safer reload
* Mixed analyst models: some say “wait,” others say “small bullish”








