I found another possible play in addition to COST and that is in ANF, which announces on Tuesday before market open. The current implied volatility rank is 76, and its implied volatility is 97, so it would meet my general high implied volatility/high implied volatility rank standards for a premium selling play. Given the price of the underlying, I would probably...
CRM announces earnings tomorrow after market close, so look to put on a play in the waning hours and minutes of the NY session to take advantage of any volatility crush that occurs post earnings announcement. Here's the setup, which naturally might have to be tweaked depending on how much CRM moves tomorrow intraday: March 4th 54/72 Short Strangle Probability of...
Going small here, given the fact that the solar space has been a bit of wild of late ... . Metrics: FSLR March 4th 51/54/70/73.5 Probability of Profit: 66% Max Profit: $71/contract Buying Power Effect: $229/contract Notes: Ordinarily, I pass on stuff that doesn't have at least a 1.00 credit in it. I could naturally go short strangle, but don't want to tie up...
FSLR announces earnings tomorrow after market close, so look to put on a play in the final hours of the NY session. Here's two setups, one of which is an undefined risk trade; the other, defined: FSLR March 4th 55.5/73.5 Probability of Profit: 74% Max Profit: $144 per contract Buying Power Effect: Undefined FSLR March 4th 53/56/72/75 Iron Condor Probability of...
BIDU announces earnings "some time tomorrow", so it could be either before or after market; if you want to play it, look to put on a setup before today's market close. One thing I would note is that the bid/ask spreads aren't that great, implying that the options' liquidity isn't the best in the world, so I would look to put on a play at the mid price, but not to...
TSLA announces earnings tomorrow after market close, so look to put on any volatility contraction play (short strangle/iron condor) before then. You'll naturally want to tweak these strikes if there is any movement during the market day ... . Short Strangle Feb 19th 111/180 short strangle Probability of Profit: 74% Max Profit: $404/contract Buying Power Effect:...
DIS announces earnings today after market hours, so look to put on any setup before New York close. Here are the two "classic" setups: Feb 19th 82.5/100 short strangle Probability of Profit %: 74% Max Profit: $127/contract Buying Power Effect: Undefined Feb 19 77.5/82.5/100/105 iron condor Probability of Profit %: 72% Max Profit: $86/contract Buying Power...
FB announces earnings tomorrow after market close, so look to put on any play in the final hours of the NY session. Here are the two possible plays that may naturally require strike adjustment in light of any movement the underlying experiences during the trading day: FB Feb 5th 81.5/87.5/107/113 $500 BP Iron Condor Probability of Profit %: 69% Max Profit:...
BABA announces earnings on Thursday before market open, so look to put on any play in the final hours of the NY session on Tuesday. Here is one possible play that may naturally require strike adjustment in light of any movement the underlying experiences during the trading day: BABA Feb 5th 61.5/78 Short Strangle Probability of Profit %: 70% Max Profit:...
AAPL announces earnings tomorrow after market close, so look to put on a play before the end of NY trading. Here are two possibles: AAPL Feb 5th 84/89.5/110/116 iron condor Probability of Profit %: 66% Max Profit: $93/contract Buying Power Effect: ~$507 Break Evens: 88.57/110.93 AAPL Feb 5th 89.5/110 short strangle Probability of Profit %: 68% Max Profit:...
NFLX announces earnings on Tuesday 1/19 after market, so look to put on any premium selling play shortly before NY close. Here are two possible setups, which may have to be tweaked, depending on price movement in the underlying: Jan 29 80/128 short strangle Probability of Profit %: 77% Max Profit: $246/contract Buying Power Effect: ~$1041 Break Evens:...
XLE Feb 26th 47.5/59 short strangle POP%: 73 Max Profit: $144/contract BPE: ~$531 BE's: 46.06/60.44
GS announces earnings on Wednesday before open, so look to put on this play before Tuesday market close. Here are the plays: Jan 29 142/170 short strangle Probability of Profit %: 76% Max Profit: $180/contract Buying Power Effect: ~$1749 Break Evens: 140.20/171.80 Jan 29 138/143/167.5/172.5 iron condor Probability of Profit %: 69% Max Profit:...
CREE announces earnings on 1/19 after market close, so look to put on any premium selling play before the session ends to take advantage of a post-earnings announcement volatility contraction. Ordinarily, when a play won't yield at least a 1.00 credit for a 1 standard deviation short strangle or iron condor setup, I just pass it over. It is, after all, earnings...
IBM announces earnings tomorrow after market, so look to put on a play before market close. Here are two possible plays, but I'm looking at these in off hours, so I'm doubtful that the potential credit to be received is accurate, although the strikes, probability of profit, and break even metrics should be fairly accurate (as usual, they may require a strike of...
Next week is literally hopping with potential earnings announcement plays. I've tried to pick out the ones that (1) have > 70% implied volatility rank; (2) offer greater than a 1.00 credit ($100) for the "classic" one standard deviation short strangle setup; (3) have fairly good liquidity with options prices; and (4) offer weeklies, but there are also a few...
With an implied volatility rank of 76 and an implied volatility of 56, an XOP short strangle is a good premium selling play here, with the standard 45 day setup yielding about 1.00 in credit for only $275 or so worth of buying power. Here's the setup: Feb 19th 23/32 short strangle Probability of Profit: 71% Max Profit: $97 Buying Power Effect: ~$275 Break Evens:...
After its split and shortly post-earnings, NKE still enjoys a fairly high level of volatility such that it offers a 1.00 credit plus premium setup (rank 53/implied 24). Here's a setup: NKE 58/67 Feb 12th short strangle POP%: 74% Max Profit: 1.07 credit ($107/contract) BPE: Undefined Break Evens: 56.93/68.07 Notes: I ordinarily only want to enter a short...