Bharat electricals 8x ROi - 3 yearsBharat electricals is super investment option for equity trades for 8x return in 3 years
Target - 1400-1500 in 3 years based on technical analysis and strong fundamental
For option trader you can open any CE call based on dip entry.
For more chart anlysis comment me in this post
Options
UPWK Upwork Options Ahead of EarningsIf you haven`t bought UPWK ahead of the previous earnings:
Then analyzing the options chain and the chart patterns of UPWK Upwork prior to the earnings report this week,
I would consider purchasing the 12.5usd strike price in the money Calls with
an expiration date of 2024-3-15,
for a premium of approximately $2.55.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
TTD The Trade Desk Options Ahead of EarningsIf you haven`t sold TTD ahead of the previous earnings:
Then analyzing the options chain and the chart patterns of TTD The Trade Desk prior to the earnings report this week,
I would consider purchasing the 75usd strike price Calls with
an expiration date of 2024-2-16,
for a premium of approximately $4.40.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
HDFC Bearish Short call PE1250HDFC is showing bearish sign after in month of consolation seem in 6 month this share easy Touch down Trendline if 700-800
For quits trader it's time to exit if market below than this level 5% stop less --- from 700-800 rs easy target
For option trader -- take a PE call 1250 and every reversal book profit and enter in PE till 700-800 zone
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$Bharti Airtel -- CE1200 -- HODL-29 FEBBharti Airtel -- CE1200 -- HODL-29 FEB
These stocks breakout the upper Trendline and support confirm in weekly time frames
In option you buy CE call you want my Target 1200 in Feb last month
Fir equity trader you can take swing trade and sale @1200
Option buyer -
1st profit take when stock price 1200
2nd profit take when stock price
1250-1288
For more charts analysis -- comments me in this post.
$Bhartiairtel CE 1200 #HODL till 28 FEBBharti Airtel -- CE1200 -- HODL -- 29 FEB
These stocks breakout the upper Trendline and support confirm in weekly time frames
In option you buy CE call you want my Target 1200 in Feb last month
Fir equity trader you can take swing trade and sale @1200
For more charts analysis -- comments me in this post.
ABR Arbor Realty Trust Options Ahead of EarningsAnalyzing the options chain and the chart patterns of ABR Arbor Realty Trust prior to the earnings report this week,
I would consider purchasing the 13usd strike price Puts with
an expiration date of 2024-3-15,
for a premium of approximately $1.87.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
LLY Eli Lilly Options Ahead of EarningsIf you haven`t bought LLY before the previous earnings:
Then analyzing the options chain and the chart patterns of LLY Eli Lilly prior to the earnings report this week,
I would consider purchasing the 680usd strike price Calls with
an expiration date of 2024-2-16,
for a premium of approximately $15.35.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
PINS Pinterest Options Ahead of EarningsIf you haven`t sold PINS ahead of the previous earnings:
Then analyzing the options chain and the chart patterns of PINS Pinterest prior to the earnings report this week,
I would consider purchasing the 38usd strike price Calls with
an expiration date of 2024-2-9,
for a premium of approximately $3.10.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
RBLX Roblox Corporation Options Ahead of EarningsIf you haven`t bought the dip on RBLX before the previous earnings:
Then analyzing the options chain and the chart patterns of RBLX Roblox Corporation prior to the earnings report this week,
I would consider purchasing the $42.5usd strike price Calls with
an expiration date of 2024-3-15,
for a premium of approximately $2.79.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
MA Mastercard Options Ahead of EarningsIf you haven`t sold MA on its exposure to Russia news:
Then analyzing the options chain and the chart patterns of MA Mastercard prior to the earnings report this week,
I would consider purchasing the 450usd strike price Calls with
an expiration date of 2024-3-15,
for a premium of approximately $7.90.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
TEAM Atlassian Corporation Options Ahead of EarningsAnalyzing the options chain and the chart patterns of TEAM Atlassian Corporation prior to the earnings report this week,
I would consider purchasing the 237.50 usd strike price Puts with
an expiration date of 2024-2-2,
for a premium of approximately $5.65.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
📊 Earnings Edge: Diagonal Debit Dynamics - #2 Trade in 20242024 Trading Challenge Entry #2: Diary of an Option Trader
💡 Trade Overview:
I noticed LLY soaring on the TradingView stock heatmap today. Observing the monthly chart of AMEX:XLE (healthcare sector), it has been mostly sideways for years. However, in the past two days, NYSE:LLY has demonstrated strong bullish movement with increasing volume, indicating a potential uptrend. I strategized to profit from a possible breakout or continued trend within an ascending triangle pattern.
📊 Option Strategy choice:
Given the high IVR of 42 and an upcoming earnings report on February 6th before market, I anticipate further price rise. I pondered various strategies:
Single leg call: Not preferable due to increasing breakeven with time.
Naked put/credit vertical spread: Not ideal close to earnings, expecting IVR increase.
OTM calendar: Avoided due to back month’s illiquidity.
ATM calendar: Lower upper breakeven point was a concern.
Noticing that IV was higher for the front-month compared to the back-month, likely due to the nearing earnings, I decided a diagonal put debit strategy was ideal to allow significant upside potential while benefiting from minor retracements as time progresses and speculating on an IVR increase.
📊 Diagonal put debit Position Legs:
Chosen structure and execution details:
Buy LLY Mar 15, 2024, 600.00 PUT at 27.48 (Quantity: 1)
Sell LLY Feb 16, 2024, 610.00 PUT at 26.57 (Quantity: 1)
Trade Details & Key Metrics:
Symbol : LLY
Date/Time : 2024-01-03 15:00
POP : 54%
Required Buying Power ( Req.BP ): $1090
IVR : 44
Price : buying for $0.91 debit
Front month leg : February 16 @610 x 1 PUT
Back month leg : March 15 @600 x -1 PUT
📈 My Risk Tolerance:
For the 2024 trading challenge (goal: FWB:12K to $30k), I’m limiting floating losses to 1.5% per position, thus not tolerating more than a $175 loss. This threshold is approximately around a 590 strike price. While I’m comfortable with a considerable upside range, the upper breakeven at front month expiration is around a 711 strike, increasing to 760 at 21 DTE.
🎯 My Profit Target:
I’m aiming for about 2x the allowed loss, approximately around $300, but will consider taking profits if the price approaches the optimal equity curve point near a 650 strike. Realizing profits is always the more gratifying part of trading!
ANYWAY: HIT THE 🚀 BUTTON ABOVE!
This trade is part of my 2024 option trading challenge , where I aim to turn a 12k account above $30K 💰 (details in signature and my profile page) .
PTON Peloton Interactive Options Ahead of EarningsAnalyzing the options chain and the chart patterns of PTON Peloton Interactive prior to the earnings report this week,
I would consider purchasing the 8usd strike price Calls with
an expiration date of 2025-1-17,
for a premium of approximately $1.45.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
PTON might be a buyout this year. From one of these giants: AAPL, AMZN or NKE!
SWKS Skyworks Solutions Options Ahead of EarningsAnalyzing the options chain and the chart patterns of SWKS Skyworks Solutions prior to the earnings report this week,
I would consider purchasing the 105usd strike price at the money Calls with
an expiration date of 2024-2-2,
for a premium of approximately $2.85.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
💡 $357 profit with 72% PoP STRANGLE - #1 trade in my challangeTrade 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 FWB:12K account, I'm capping floating loss at $200.
Closing Strategy: Targeting to close around 21DTE.
Trade Details:
Symbol: IWM
Option Type: Strangle 45DTE
Entry Date: January 2, 2024
Entry Price: 3.57cr
Required BP: $1681
Max Profit: $357 (20% of capital)
PoP: 72%
Positions:
IWM Feb 16, 2024 212.00 CALL - Sell | Price: 1.76 | Qty: 1 | R. PnL: 0 | Commission: 1.251 | Fees: 0
IWM Feb 16, 2024 188.00 PUT - Sell | Price: 1.81 | Qty: 1 | R. PnL: 0 | Commission: 1.2511 | Fees: 0
Key Metrics:
Tasty IVR: 42 (High)
Breakevens: 184/215
INTC Intel Corporation Options Ahead of EarningsIf you haven`t bought the Double Bottom Pattern of INTC:
Then analyzing the options chain and the chart patterns of INTC Intel Corporation prior to the earnings report this week,
I would consider purchasing the 48usd strike price at the money Calls with
an expiration date of 2024-1-26,
for a premium of approximately $1.86.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
ABT Abbott Laboratories Options Ahead of EarningsIf you haven`t sold the regional top on ABT:
Nor reentered this fantastic dip:
Then analyzing the options chain and the chart patterns of ABT Abbott Laboratories prior to the earnings report this week,
I would consider purchasing the 115usd strike price at the money Calls with
an expiration date of 2024-2-16,
for a premium of approximately $2.26.
The chart is overextended and the RSI overbought, but I think there is one more leg to go before a correction.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Bank OZK Options Ahead of EarningsIf you haven`t sold OZK here:
Then analyzing the options chain and the chart patterns of Bank OZK prior to the earnings report this week,
I would consider purchasing the 47usd strike price Puts with
an expiration date of 2024-1-19,
for a premium of approximately $1.32.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
TFC Truist Financial Corporation Options Ahead of EarningsIf you haven`t sold TFC here:
Then analyzing the options chain and the chart patterns of TFC Truist Financial Corporation prior to the earnings report this week,
I would consider purchasing the 36.50usd strike Puts with
an expiration date of 2024-1-19,
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.
ACI Albertsons Companies Options Ahead of EarningsAnalyzing the options chain and the chart patterns of ACI Albertsons Companies prior to the earnings report this week,
I would consider purchasing the 23usd strike price at the money Calls with
an expiration date of 2024-2-16,
for a premium of approximately $0.92.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.