Selling For Premium

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      ·09-05

      Option Strategies: ZS&TSM

      Hello everyone! Today i want to share some option strategies with you!1.Rolled the $Zscaler Inc.(ZS)$ 165p out a few weeks. Keeping the 160p in play to see what happens this week. Also sold $Taiwan Semiconductor Manufacturing(TSM)$ naked calls at 175 strike Sept 6 expiration. Currently have the 170p in play. Follow me to learn more about analysis!!https://x.com/Selling4Premium
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      Option Strategies: ZS&TSM
    • Selling For PremiumSelling For Premium
      ·09-04

      Option Strategies: ZS& GTLB

      Hello everyone! Today i want to share some option strategies with you!1.Here were the $Zscaler Inc.(ZS)$ trades in play for earnings. ▫️ 210 short call will expire worthless for profit▫️ 170 long call will be in the red, but got time on the contract for it to come back into profit▫️ 165 & 160 short puts ... will be 👀 closely to see if we need to roll or if the position will close out in profit based on how ZS trades this week (based on today, we're betting we will have to roll it down to a lower strike) ... keep in mind, we exited out at profit when ZS was over 200, so these trades are to buy back in.2.Gonna close this $GitLab, Inc.(GTLB)$ strangle trade out for profit on both sides of the strangle. Or
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      Option Strategies: ZS& GTLB
    • Selling For PremiumSelling For Premium
      ·09-02

      Option Strategies: GTLB

      Hello everyone! Today i want to share some option strategies with you!1.Pre-earnings trade idea on: $GitLab, Inc.(GTLB)$ Earnings date: Tuesday, Sept. 3 after market closeExpected move: ~13%Pre-Earnings Trade Idea:- Sell-to-open a cash-secured put, Sept 6 expiration, 37 strikePoints to Consider:- Expected move places downside to 41 and upside to 54 (subject to change based on next week's price action)- Short put strike target is 2X the expected move- Unfilled gap still lurking at the 37 levelPost-Trade Actions:- The put is cash-secured and the goal is assignment of shares at that price; however, if you are trading naked and don't want shares, then either pick a lower strike to target or be prepared to close for a loss or roll down-and-out if the s
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      Option Strategies: GTLB
    • Selling For PremiumSelling For Premium
      ·08-30

      Option Strategies: ZS

      Hello everyone! Today i want to share some option strategies with you!1.Pre-earnings trade idea on: $Zscaler Inc.(ZS)$ Earnings date: Tuesday, Sept 3rd after market closeExpected move: 10%Pre-Earnings Trade Idea:- Sell-to-open a cash-secured put, Sept 6 expiration, 160 strike [also got the 165p already in play, so am adding to the position by layering in]- Could turn this trade into a strangle and sell the 270 call strike, but naked calls are very risky, so might want to do a spread on it to hedge/reduce risk exposure- Speaking of spreads, also have a diagonal calendar debit spread in play [170 long strike and 210 short strike ... might roll the short strike to 215, Sept 20 expiration]Points to Consider:- Expected move places downside to 177 and ups
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      Option Strategies: ZS
    • Selling For PremiumSelling For Premium
      ·08-28

      Option Strategies: ANF& ASTS

      Hello everyone! Today i want to share some option strategies with you!1.Closed the $AST SpaceMobile, Inc.(ASTS)$ 25.5p & 55c strangle sold last week. Could have probably let it expire worthless this week, but decided to just take the profit and move the buying power to other trades.2.BTO an Iron Condor on ANF, Aug 30 exp, 135/130 put debit spread & 200/205 call debit spread.3. $Abercrombie & Fitch(ANF)$ expected move and IV is big! Premiums are very juicy. Not sure what optionselling (or options-buying) trade we want to take here for earnings tomorrow morning.Follow me to learn more about analysis!!https://x.com/Selling4Premium
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      Option Strategies: ANF& ASTS
    • Selling For PremiumSelling For Premium
      ·08-27

      Option Strategies: ASTS, COIN, PDD& AMD

      Hello everyone! Today i want to share some option analysis with you!Not much optionselling for today ... got work to do this morning and then traveling back to CA this afternoon.Did open up a $PDD Holdings Inc(PDD)$ strangle ... sold-to-open the Aug 30 expiration, 80 put & 125 call strikes.Also got an $AST SpaceMobile, Inc.(ASTS)$ strangle already in play for this week - Aug 30 expiration, 25.5 put & 55 call strikes.Sell a few naked and covered calls before market closes .$Advanced Micro Devices(AMD)$ at 170+ strike, $Zscaler Inc.(ZS)$ at 215+ strike, and $Coinbase Global, Inc.(
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      Option Strategies: ASTS, COIN, PDD& AMD
    • Selling For PremiumSelling For Premium
      ·08-26

      Option Strategies: ULTA& NVDA

      Hello everyone! Today i want to share some option strategies with you!1.Taking an optionselling trade on $ulta beauty(ULTA)$ for earnings this week. Joining Dub-B (aka Warren Buffett) on his bet that ULTA will eventually move back up in price. Trade: Sell-to-open a naked put at the 300 strikeEarnings Date: Thursday, Aug 29 after market closeExpected Move: 7% - Downside target is around 352 - Upside target is around 405300 strike would be more than 2X the expected move to downside.Might strangle the trade. If we do, will sell a naked call at the 450 strike (or higher). Not much volume resistance between 400 and 475, but gonna play the probability that ULTA doesn't have a +20% post-earnings upside move.* Note: This trade is not meant for assignment,
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      Option Strategies: ULTA& NVDA
    • Selling For PremiumSelling For Premium
      ·08-26

      Option Strategies: CRM& PDD

      Hello everyone! Today i want to share some option stratgies with you!1.Pre-earnings trade idea on: $PDD Holdings Inc(PDD)$ Earnings date: Monday, Aug 26 before market openExpected move: ~8% Trade Idea: - Sell-to-open a cash-secured put, Aug 30 expiration, 108 strike- Could turn this trade into a strangle and sell the 200 call strike, but naked calls are very risky, so might want to do a spread on it to hedge just in casePoints to Consider: - Expected move places downside to 128 and upside to 150 (subject to change based on today's closing price) - Short put strike target is 2X+ the expected move, whereas the short call strike target would be a 40+% upside move, which seems probabilistically unlikely since that is such a big move ... however, the is
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      Option Strategies: CRM& PDD
    • Selling For PremiumSelling For Premium
      ·08-23

      Option Stratgies: ZS& BILL

      Hello everyone! Today i want to share some option strategies with you!1.Took a last-minute pre-earnings trade on $BILL HOLDINGS INC(BILL)$ . Skew heavy to the call side and IV very high. Wanted to take advantage of the IV as well as probability of a post-earnings move not being more than 35% to upside (considering current market environment and how tutes are trading tech stocks).▫️ BTO call debit spread - Aug 23 exp - 55/56 strikes▫️ STO naked calls - Aug 23 exp - 70 strike2.If anyone is trading $Zscaler Inc.(ZS)$ with long calls or short puts, we exited out of our long position. Kept the short puts as we would like to get back in (got the Sept 6 exp 165 strike puts). Earnings is coming up. Will look to add
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      Option Stratgies: ZS& BILL
    • Selling For PremiumSelling For Premium
      ·08-21

      Option Strategies: ZM, TGT& TOL

      Hello everyone! Today i want to share some option strategies with you!1.Pre-earnings trade idea on: $Target(TGT)$ Earnings date: Wednesday, Aug 21 before market open Expected move: ~7% Pre-earnings Trade: Sell-to-open a cash-secured put, Aug 23 expiration, targeting a strike within the 110-120 range ... (could also turn this into a strangle and sell the 170+ naked call strike) Points To Consider: - Big gap at the 110 level, which also happens to coincide with strong volume support and point-of-control (based on the timeframe captured in this daily chart) - 2X the expected move would place downside around the 121-122 level and upside around 165Post-earnings Trade: Buy-to-close the position if TGT stays above put strike. If the underlying breaches th
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      Option Strategies: ZM, TGT& TOL
     
     
     
     

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