$IBM(IBM)$
- Underlying: IBM
- View: Bullish, targeting a breakout above $280 towards the $286-$290 resistance zone.
- Strategy Type: Debit Spread / Directional Bullish
- Option Contract Portfolio:
- Buy 1x IBM Call, Strike $280, Expiry 2026-07-10
- Sell 1x IBM Call, Strike $290, Expiry 2026-07-10
- Max Gain & Loss: Max Gain = $6.15 (Difference in strikes - net debit). Max Loss = $3.85 (Net debit paid).
- Initial Cost/Credit: Debit of ~$3.85 (Estimated from mid-prices: Buy $280 Call @ $7.65, Sell $290 Call @ $3.80).
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