UXIN Limited Options Ahead Of EarningsLooking at the UXIN Limited options chain ahead of earnings , i would buy the $2 strike price Puts with
2023-8-18 expiration date for about
$0.57 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
Option
CALM Cal-Maine Foods Options Ahead Of EarningsAfter the last price target was reached:
Now looking at the CALM Cal-Maine Foods options chain ahead of earnings , i would buy the $60 strike price Calls with
2023-1-20 expiration date for about
$5.70 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
Real power of price action..didn't post any new levels because I was waiting for these levels to get tested. guess what patience wins and price action too. keep your trading simple and manage your RRR the only holy grail of the stock market.
Don't oversize for tomorrow's session ya.
Best of luck traders.
TIGR UP Fintech Holding Options Ahead Of EarningsTIGR is the Robinhood of Asia, i would say. HOOD has 22.8 million users as of March 2022, for a mk cap of 7.89Bil, while TIGR has 551Mil mk cap and customer accounts totaled 1.9 million. so from those metrics alone TIGR is undervalued. now if we look at financials, TIGR has positive earnings, while HOOD is still losing money with negative earnings of 3.69Bil last year. but being a Chinese company also weights in and that`s why people are afraid to invest in TIGR. overall, by the end of the year, i think it`s safe to assume that TIGR can touch $5.5 - $7 if China doesn't invade Taiwan.
Looking at the TIGR UP Fintech Holding options chain, i would buy the $5 strike price Calls with
2022-10-21 expiration date for about
$0.07 premium.
Looking forward to read your opinion about it.
DOCU DocuSign to test its last supportIf you haven`t shorted DOCU DocuSign, Inc. here:
Then looking at the DOCU DocuSign options chain, i would buy the $45 strike price Puts with
2022-11-18 expiration date for about
$3.90 premium.
Yes, i think it can test its last support this year.
Looking forward to read your opinion about it.
CAR Avis Budget Group Options Ahead of EarningsLooking at the CAR Avis Budget Group options chain, i would buy the $205 strike price Puts with
2022-11-4 expiration date for about
$4.10 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
WMT Walmart Inc. Options After The EarningsLooking at the WMT Walmart Inc. options chain after the earnings, i would buy the $145 strike price Puts with
2023-1-20 expiration date for about
$3.65 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
TCOM Trip(.)com Group Options Ahead Of EarningsLooking at the TCOM Trip(.)com Group options chain ahead of earnings , i would buy the $35 strike price Calls with
2023-1-20 expiration date for about
$1.77 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
Is Option Buying a Loser Game ?
The picture above is a LOTTO PLAY I took this morning, end up buying 4250 ES CALL 6DTE for an avg of $11 at 8:07am (we were trading around 4054 level) , after the report in 2 minutes ES spiked to 4180 and my options price went to $30 Great I was up +160%, but with IV CRUSH + MKT HEADING LOWER 50 points before the bell, my OPTIONS that I got before 8:10am were losing money already.... but how If my entry was at 4054 and we were trading almost +100 points higher ?
- Because when you buy an option you have all the factors against you, the probability of success are too small, as you have TIME (Theta) against you + the IV (Implied Volatility) you have not only to be right, but rely on the trend to follow, every minute you are wrong you are losing... Even if the market is sideways and not moving, your options have expiration and every second count, so you better be a DIRECTIONAL HERO and NAIL the trade.
So today I was up 160% and end up losing this trade !! Part of the Game, as I call this a LOTTO PLAY ! It was BAD LUCK today, YES and NO, lack of liquidity was another factor (when you trade ES OPTIONS), at this chart you can see there was no orders getting filled at 30, mine didn't get filled, only a lucky trader got out at 25.25 !! After that it was a DUMP and NASTY day!
To answer the question, I would say it depends on how you TRADE, but Please don't get me wrong, I do day trade 99% of the time on the BUY SIDE (Buying CALL or SELLING PUT), but 99% of my long time frame trades are on the SELL SIDE of OPTIONS (Selling CALL or Selling PUT) to have probability in my favor.
I hope this can help you to understand why most of the times you end up losing money on the BUY SIDE of OPTIONS, the GREEKS are against you !
ORCL Oracle Corporation Options Ahead Of EarningsIf you haven`t bought the last breakout before the earnings:
Then you should know that looking at the ORCL Oracle Corporation options chain ahead of earnings, i would buy the $78 strike price Puts with
2022-12-30 expiration date for about
$2.49 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
MOMO Hello Group Options Ahead Of EarningsLooking at the MOMO Hello Group options chain ahead of earnings , i would buy the $5 strike price in the money Calls with
2023-1-20 expiration date for about
$0.98 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
AMBA Ambarella, Inc. Options Ahead Of EarningsLooking at the AMBA Ambarella, Inc. options chain ahead of earnings , i would buy the $80 strike price Calls with
2023-1-20 expiration date for about
$5.40 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
S SentinelOne Options Ahead Of EarningsLooking at the S SentinelOne options chain ahead of earnings , i would buy the $19 strike price Calls with
2023-3-17 expiration date for about
$1.40 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
XPEV XPeng Inc Options Ahead Of EarningsLooking at the XPEV XPeng Inc options chain ahead of earnings , i would buy the $10 strike price Calls with
2023-3-17 expiration date for about
$0.76 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
BBY Best Buy Options Ahead Of EarningsLooking at the BBY Best Buy options chain ahead of earnings , i would buy the $73 strike price Calls with
2022-11-25 expiration date for about
$2.79 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
VRM Vroom Options Ahead of EarningsLooking at the VRM Vroom options chain, i would buy the $1 strike price Calls with
2022-11-18 expiration date for about
$0.10 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
MDT Medtronic Options Ahead Of EarningsLooking at the MDT Medtronic options chain ahead of earnings , i would buy the $82.5 strike price Calls with
2023-1-20 expiration date for about
$2.93 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
PANW Palo Alto Networks Options Ahead of EarningsLooking at the PANW Palo Alto Networks options chain ahead of earnings , i would buy the $160 strike price in the money Calls with
2022-11-18 expiration date for about
$7.70 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
JD Options Ahead of EarningsLooking at the JD options chain ahead of earnings, i would buy the $47 strike price in the money Calls with
2022-11-18 expiration date for about
$8.50 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
FTCH Farfetch Limited Options Ahead of EarningsLooking at the FTCH Farfetch Limited options chain ahead of earnings , i would buy the $11strike price Calls with
2022-12-16 expiration date for about
$1.17 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.
PSNY Polestar Automotive Holding Options Ahead of EarningsLooking at the PSNY Polestar Automotive Holding options chain, i would buy the $5 strike price Calls with
2022-11-18 expiration date for about
$0.23 premium.
If the options turn out to be profitable Before the earnings release, i would sell at least 50%.
Looking forward to read your opinion about it.