Weekly, Wedge breakout

Long 1.35
Stop 1
Target 3.3

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.

For non-Pro option traders, better begin from buying ITM options and keep 90+ days, Selling OTM and less than 60 days.
I will try some samples to test my chart reading and OP strategy:
"Buy in the money (ITM) calls in daily/weekly uptrend, and keep 400 days. "

Related trades:
CAN price 1.6 11/19/2024
BuyToOpen Jan2026 Call C1 Limit 1.0 ( Delta 0.87 , 422 days )
ITM C1 has 0.6 value.

OPK price 1.6 11/20/2024
BuyToOpen Jan2026 Call C1 Limit 0.65 x2 ( Delta 0.85 , 421 days )
ITM C1 has 0.6 value.

POET price 3.9 11/20/2024
BuyToOpen Jan2026 Call C3 Limit 1.05 ( Delta 0.85 , 421 days )
ITM C3 has 0.9 value.

ACHR price 5.06 11/20/2024
BuyToOpen Jan2026 Call spread C3.5/10 Limit 1.6 (C3.5 Delta 0.82 , 421 days )
ITM C3.5 has 1.56 value.
Trade active
RGTI price 1.35 11/20/2024
BuyToOpen Jan2026 Call spread C1/4 Limit 0.5 x2 (C1 Delta 0.84 , 421 days )
ITM C1 has 0.35 value.
Trend LinesWedge

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