Selling For Premium
Selling For Premium
No personal profile
16Follow
985Followers
0Topic
0Badge

Option Strategies: AAPL& GOOGL

Hello everyone! Today i want to share some trading ideas with you! 1 There's some decent premium on $Apple(AAPL)$ at put strikes in the 240-245 range for May 8 expiration. Will probs write a bunch of put contracts to play earnings today. 2 Still amazes me how this post didn't get more engagement. And now ... look ... $Alphabet(GOOGL)$ almost at $400. So much for listening to "furus" who just cover the hot stock at the moment in order to increase their followers or increase their X payout ... or pump their position so that they can exit and leave retail bagholding. Guaranteed not many folks were talking about $Alphabet
Option Strategies: AAPL& GOOGL

Option Strategies: How to Make Smart Decision of AI Giants?

Hello everyone! Today i want to share some option strategies with you! 1 So glad we didn't sell our $Alphabet(GOOGL)$ calls before the earnings print. Also, wrote puts that should expire worthless. πŸ“ˆπŸš€ $Amazon.com(AMZN)$ CSPs should expire worthless for max profit. Will continue writing puts until assigned. Didn't play $Meta Platforms, Inc.(META)$ or $Microsoft(MSFT)$ ... but can write puts against it tomorrow. Hopefully they both dump more. 🀞🏽 2 Been in back-to-back meetings since 8:30am this morning. Looks like FOMC was a nothing-burger based on
Option Strategies: How to Make Smart Decision of AI Giants?

Option Strategies: SOFI, HOOD& AMZN

Hello everyone! Today i want to share some trading ideas with you! 1 Got cash-secured puts on $Amazon.com(AMZN)$ heading into earnings tomorrow. - 230 strike, May 1 expiry - 205 strike, June 16 expiry Also got covered calls - May 1 expiry 265 strike and 280 strike farther out in DTE. 2 All ya'll $Robinhood(HOOD)$ bulls better get the tutes pumping this stock after earnings today. That said, we'll do our part to tempt them by writing naked calls, 105 strike (or higher), May 1 expiry. 3 $SoFi Technologies Inc.(SOFI)$ announces earnings before the opening bell on Wednesday. Expected move is ~10%. Got a long position on
Option Strategies: SOFI, HOOD& AMZN

Option Strategies: GOOGL, CLS& BE

Hello everyone! Today i want to share some option strategies with you! 1. $Bloom Energy Corp(BE)$ announces earnings after the closing bell on Tuesday. Expected move is ~16%. Got a call ratio spread going on this into earnings ... 100 shares covered by the May 29 250 strike and then a naked 340 strike on top of that. There's a gap at the 177 strike. Might also write a few puts at 175 or lower, May 1 expiry. 2 $Celestica(CLS)$ announces earnings after the closing bell on Monday. Expected move is ~12%. πŸ‘€ at put-write trades at strikes in the 280-300 volume cluster, May 1 expiry. 3 $Alphabet(GOOGL)$ announces earnings af
Option Strategies: GOOGL, CLS& BE

Option Strategies: How to Set the Investing Habbits?

Hello everyone! Today i want to share some trading ideas with you! 1 For all the FinTwit folks that mock optionselling traders as "picking up pennies in front of a steamroller", you are only correct in a certain scenario. $Cboe Volatility Index(VIX)$ Lemme educate you ... - High PoP + high IV edge = good for the options writer (you’re paid for risk compression) - High PoP + low IV edge = often bad for the options writer (you’re "picking up pennies" in front of variance expansion) Make sure you understand the options-writer's trade That said, I'm assuming legit options-writers are not doing this, but it still warrants a reminder ... DO NOT take low PoP trades ... especially if IV edge is also low! 😍 Been eyeing Tiger merch but short
Option Strategies: How to Set the Investing Habbits?

Option Strategies: AEHR& GE

Hello everyone! Today i want to share some option strategies with you! 1 What the heck is going on with $Aehr Test(AEHR)$ and $CAR GROUP LTD(CAR.AU)$ ?!?!?! Some long hedge fund or institutional firm is definitely manipulating the price to either kill another short fund or firm ... gotta be. There is no justifiable reason why these stocks are pumping up as much as they are. 2 $GE Aerospace(GE)$ cash-secured put-write trade to play earnings - 260 strike, May 15 expiry. 😍 Been eyeing Tiger merch but short on Tiger Coins? Now's your chance. 🎁 We’ve selected 4 high-demand items across practial, lifestyle, and learning,
Option Strategies: AEHR& GE

Option Strategies: TSLA& BIRD

Hello everyone! Today i want to share some option strategies with you! 1 $Allbirds, Inc.(BIRD)$ going from a shoe company to an AI company is the stupidest stock-related news this past week. That said, it makes for some really good deals on their shoes. Gonna grab a few before the new company takes over the brand and lowers the quality. 2 Also gonna write puts on $Direxion Daily TSLA Bull 2X Shares(TSLL)$ to play $Tesla Motors(TSLA)$ earnings. Looking at the May 15 expiry, 7 or 8 strike, and will write in volume. Probs gonna write a naked call at 500 (Apr 24 expiry) and then write a put ladder at the 320, 270, and 2
Option Strategies: TSLA& BIRD

Option Strategies: TSLA& UNH

Hello everyone! Today i want to share some option strategies with you! 1 $UnitedHealth(UNH)$ announces earnings before the opening bell on Tuesday this upcoming week. Expected move is 5-6%. Got a very small long position, so will probs just write calls at the 380 strike. If we decide to add, it will be with cash-secured puts at the 230 strike. 2 This can't be correct ... $Tesla Motors(TSLA)$ is expected to have only a ~6% move for earnings ??? Was expecting closer to/around a 10% move considering its volatility by nature.
Option Strategies: TSLA& UNH

Option Strategies: ASML& CAR

Hello everyone! Today i want to share some trading strategies with you! 1 Looking at $ASML Holding NV(ASML)$ for an optionselling earnings trade. Writing a May 15 expiry 1080/1000 put credit spread. The 1080P strike sits just below the gap and close enough to strong volume support (point-of-control). 2 At this point, how can you not want to short $Avis Budget(CAR)$. It has no business being in the $400s.
Option Strategies: ASML& CAR

Option Strategies: TSM& NFLX

Hello everyone! Today i want to share some option strategies with you! 1 $Netflix(NFLX)$ announces earnings after the closing bell on Thursday this week. Expected move is ~6%. Am targeting put-write trades in the 75-85 strike range ... playing the recent bottom to the gap fill level. Expiration dates from Apr 24 to May 15. Might also strangle the trade with a naked call strike at 120 or higher, Apr 10 expiration. 2 $Taiwan Semiconductor Manufacturing(TSM)$ announces earnings before the opening bell on Thursday this week. Expected move is between 5-6%. Gonna write a put ladder targeting the following strikes (varied expiration dates): - 300 & 290 (at volume point-of-contr
Option Strategies: TSM& NFLX

Option Strategies: EOSE, BE, AEHR& SEDG

Hello everyone! Today i want to share some option strategies with you! 1 Closed out the naked call position on $SolarEdge(SEDG)$ for an overall profitable trade (including put credit spread). Didn't have to worry too much about this trade, which is the way we like it ... essentially, set it and forget it. Could have held on a bit more to squeeze out remaining profit, but decided to free up buying power. 2 Not for the faint of heart, but shorting $Aehr Test(AEHR)$ with credit calls (or buying puts) looks enticing here. Might wait for the turn on longer timeframes before entering into a position. 3 Closed out $Bloom Energy
Option Strategies: EOSE, BE, AEHR& SEDG

Option Strategies: APLD& AEHR

Hello everyone! Today i want to share some trading strategies with you! 1 $Aehr Test(AEHR)$ announces earnings after the closing bell on Tuesday this week. Expected move is ~21%. Am looking to play this for earnings ... taking a put-write trade, April 17 expiry, strike in the 20-25 range. Targeting a put strike in the 20-25 range looks solid based on the 200EMA and the volume support cluster below current price. 2 $APPLIED DIGITAL CORP(APLD)$ announces earnings after the closing bee on Wednesday this week. Expected move is ~14%. Am πŸ‘€ writing the April 17 expiry $15 put strike for an #Optionselling trade to play earnings. Not much volume support below current price until it
Option Strategies: APLD& AEHR

AMZN Is No Longer a Turnaround Story

Solid thoughts from Josh on $Amazon.com(AMZN)$. This has been a stock that we currently hold and are also looking to add to position. That said, price action has been disappointing (even when factoring out the market downturn). So, the question is ... why has this stock been stuck while other tech stocks went on an upwards run? 1. AWS re-acceleration is the entire story right now. Growth in Amazon Web Services is the inflection point. After multiple quarters of optimization-driven slowdown, this signals enterprise spend is normalizing and AI workloads are beginning to layer in. But: – Azure and Google Cloud are also accelerating – AI demand is highly capex-intensive and margin-dilutive near term So the key question isn’t just growt
AMZN Is No Longer a Turnaround Story

Option Strategies: PL& MU

Hello everyone! Today i want to share some trading strategies with you! 1 $Micron Technology(MU)$ in the 250-270 range will be our trigger to write aggressive CSPs and buy shares. Until then, we'll continue writing naked calls and roll down the 310P we have in play. 2 $Planet Labs Pbc(PL)$ looking for that gap fill at 27. The earnings pump getting erased. Am targeting strikes in the 20-22 range for a CSP-write trade. For SG users only, Welcome to open a CBA today and enjoy access to a trading limit of up to SGD 20,000 with unlimited trading on SG, HK, and US stocks, as well as ETFs. πŸŽ‰Cash Boost Account Now Sup
Option Strategies: PL& MU

Option Strategies: BITF& NKE

Hello everyone! Today i want to share some option strategies with you! 1 $Nike(NKE)$ and $RH(RH)$ announce earnings this week. Am looking at both for a premium-capture play (prefer not to take assignment of shares). April 17 expiry, $40 put strike on NKE and put strike in the $80-90 range on RH. Expected move on NKE = ~7% Expected move on RH = ~12% 2 $Bitfarms Ltd.(BITF)$ announces earnings before the opening bell on Tuesday this upcoming week. Expected move is ~11%. Gonna write the 1.5 put strike to play earnings. For SG users only, Welcome to open a CBA today and enjoy access to a trading limit of up to SGD 20,000 wi
Option Strategies: BITF& NKE

Option Strategies: CCL& BTGO

Hello everyone! Today i want to share some option strategies with you! 1 $Carnival(CCL)$ announces earnings before the opening bell tomorrow (Friday). Expected move is 6%. Strong volume cluster in that 15-19 range, with point-of-control near 15. Am looking for a put-write trade to play earnings, April 17 expiry, targeting a strike in that volume cluster. 2 Anyone taking an #Optionselling trade on $BitGo Holdings, Inc.(BTGO)$ to play earnings? As with so many IPOs, this stock has come down so much from the IPO pump. Not sure how to play this one. Expected move is ~21%. Premiums are confined to a small range for the April 17 expiry. Was thinking of rolling the 🎲 by writing a s
Option Strategies: CCL& BTGO

Option Strategies: ONDS, CHWY& BRZE

Hello everyone! Today i want to share some option strategies with you! 1 $Ondas Holdings Inc.(ONDS)$ earnings trade on tap for today. 🍻 Might also strangle it with a naked call write, strike tbd, March 27 expiry. 2 Testing out the optionselling scanner on this $Chewy, Inc.(CHWY)$ put-write trade. Already seen a few things that need to be fixed both in the backend model as well as on the frontend display. 3 Reluctantly wrote this $Braze, Inc.(BRZE)$ Apr 17 $12.5P earnings trade rather than trusting the data. Scanner said "GO" for a put-write trade, but was hesitant to believe it based on how the daily chart and optio
Option Strategies: ONDS, CHWY& BRZE

Option Strategies: BNGO, CHYM& BE

Hello everyone! Today i want to share some trading strategies with you! 1 Wrote the $115 put strike on $Bloom Energy Corp(BE)$ today, March 27 expiry. Folks are hoping that the $130 support holds this week. Thought about taking that strike, but am not gonna be that aggressive. Will take a lower strike to cushion the downside risk, and then roll up to capture more premium if it looks like 130 will hold. 2 $Chime Financial, Inc.(CHYM)$ announces earnings before the opening bell on Wednesday this week. Expected move is ~11%. Am πŸ‘€ the $17 strike (at strong volume support & point-of-control) for a put-write trade. 3 Was gonna play
Option Strategies: BNGO, CHYM& BE

Option Strategies: BRZE, ONDS, SMCI& SEDG

Hello! Everyone! Today i want to share some option strategies with you! 1 WOW Has anyone been paying attention to $SolarEdge(SEDG)$ ??? Am looking to play this with naked calls and a put credit spread. - Naked calls to take advantage of this pump and bet that it runs out of steam (highly risky if it does not and continues going up, safer move would be to do a call credit spread). - Put credit spread to play the down move with the hedge and then turn the trade into a CSP on the short side (and if it doesn't drop, then we simply just keep the premium). the Apr 17 expiry $60 call strike and 35/30 put strikes (but might do 37.5/32.5 for a bit more premium). Strong volume cluster in the 30-37 range with point-of-control at 35. 2
Option Strategies: BRZE, ONDS, SMCI& SEDG

Option Strategies: MU, PL& FDX

Hello everyone! Today i want to share some option strategies with you! 1 $FedEx(FDX)$ announces earnings after the closing bell tomorrow (Thursday). Expected move is ~8%. Not sure how we want to play this. We're πŸ‘€ the 280 strike for a put-write trade, expiration date tbd. 2 $Planet Labs Pbc(PL)$ announces earnings after the closing bell on Thursday. Expected move is ~22% ... that's a big EM! Am surprised that IV isn't over 200%. πŸ€” ... could there be some mis-alignment here between EM and IV. If so, that means there is an opportunity for an #Optionselling trade. Am 3 Here we go ... $Micron Technology(MU)$ to hopefully sav
Option Strategies: MU, PL& FDX

Go to Tiger App to see more news