CCL Long

Updated
Weekly SMA200 as support

Long 17.36
Stop 12.5
Target 30

Risk management is much more important than a good entry point.
I am not a PRO trader.
In my trading plan, the Max Risk of each short term trade should be less than 1% of an account.

BuyToOpen 2025 Jan Call spread C20/30
Limit 2.02
SellToOpen 2025 Jan Put P12.5 x2 (Delta -0.16)
Limit 1.02 x2

Cost "0", if price stays between 12.5 and 20, no loss.

Stop below 12.5, max loss about $2.0 x 200.
Note
BuyToOpen 2025 Jan Put P16 x1 0.08 to cover the down side risk.
Trade closed manually
SellToClose 2025 Jan C20, 5.9 Win
Other sold Options will be expired today.
Moving AveragesSupply and Demand

Disclaimer