Update ONLY - Intermarket Spreads index ETF commodities etc /
Hello Update ONLY - Intermarket Spreads index ETF commodities etc / I closed my spread SP500 vs DOW30. Thank you.
I am adding another contract of this spread as the spread seems to be very strong. Everything shows, that Lean Hogs could start rise again so the spread should be making profit. 1PT could be around 7 points.
There is a big potential for the gorwth of this spread. Normal price difference of those 2 contract months is 10 points. (1pt = 400$) I will have eye on this spread since i see it as a huuge oportunity, which i do not want to miss. SL could be set below the recent low: -4.7 PT could be: 5-10 As i already have some contracts of this spread, i will add another...
This bull spread has a good setup for entry. There is a good seasonality for the spread and the price is on extreme level. The usual difference betwen November-December contract months is about -0.2, so there is a huge potential. The actual price is -0.480 and SL is below the recent low -0.507.That is only 270$ risk, but very conservative PT could be -0.3, which...
Another agresive bull spread which is currently with good setup for trade. Commercials have an extreme short positions, which means, there is not much space for further price's fall. Moreover there is a good seasonality ahead, although LTD (Last Trading Day) is 30.6. so we are quite close. In general soybean meal is a small contract, we do not risk much. I have 3...
please see video for help and previous ones. Thank you
Generally, spread is the difference of two or more (it’s called basket then) financial instruments. Each instrument is generally taken into calculation multiplied by a weight coefficient. If a negative weight is used, the instrument will be sold when buying the spread and the other way round. Most traders say that markets nowadays have changed, become more...
Finally i have found the correct spread to trade Lean Hogs bull spread. This seems much stronger than others and is closer to the market, which usually means bet on stronger demand in the near future. From the 15 years of history, the spread is usually trading around 2 points. There is a good potential to get to those levels again soon.
The US dollar has continued its breakout rally against the Japanese yen currency as risk-on trading sentiment in broader financial market improves. The USDJPY pair will turn technically bullish over the medium-term if price moves above the 108.30 resistance level. Traders should note that a breakout above the 108.30 resistance level could cause the USDJPY pair to...
Put/Call Ratio's 9-Day EMA Still in No Man's Land
A potential low-risk setup on this CLM2020-BBM2020 spread ; Brent to trade at a discount to WTI - very unlikely. Optimal entry around -2.40 , risk of $3k per contract with a potential 1R-1.5R return before the expiry of these contracts at the end of April.
Ticker: MCD Position: - Feb 14th Expiry - Long 210 Strike call = 3.78 - Delta 0.92 - Short 212.50 Strike call = 1.90 - Delta 0.62 - Net cost = $1.88 - Break even at expiry = $211.88 - Max profit = $0.62 (33%) - Run 5x contracts = $940 Profit/ Exit targets: - Exit position if MCD closes below the 21 ema on the daily - Max profit is target, you may wish to...
Whats up Traders - Stealing a CNBC idea, but i like it and agree with it. Biotech has bounced back to its past highs. IN all liklihood we will bounce around here for a bit - Entering a Call Credit Spread 1 x 123.5 Call Sell Jan 31 1 x 125.00 Call Buy Jan 31 Have a look and see if you. Best of luck. - Nix