... for a 3.55 credit. Comments: Another risk one to make one iron fly in an underlying I'm not currently in with fairly decent 30-day IV at 38.9%. Metrics: Buying Power Effect: 3.45 Max Profit: 3.55 ROC at Max: 102.90% 25% Max: .89 ROC at 25% Max: 25.72% Will look to take profit at 25% max.
rejected from upper trendline 40 below weak 38.50 / 37.50 can test soon if upper TL break then trade invalid
... for a 37.00 debit. Comments: Back into TAN (30-Day IV: 47.6%), selling the -76 call against stock to emulate the delta metrics of a 25 delta short put, but with built-in short call defense. Going with the August 30th, 46 DTE contract. Metrics: Buying Power Effect/Break Even: 37.00/share Max Profit: 1.00 ($100) ROC at Max: 2.63% 50% Max: .50 ($50) ROC at...
40.50 above swing high breakout possible 41.50 above trendline breakout possible 41.30/42/43/45/46 can test soon
Simply go long, it's the future! If the USA doesn't want to increase this ETF by 20 or 30 or 40%, the world will end up on its last legs! NVDA won't save the planet! ENPH Enphase Energy, Inc. 10.11% FSLR First Solar, Inc. 8.64% NXT Nextracker Inc. 7.68% RUN Sunrun Inc. 7.10% 3800.HK GCL Technology Holdings Limited 5.01% 0968.HK Xinyi Solar Holdings Limited...
Simply go long, it's the future! If the USA doesn't want to increase this ETF by 20 or 30 or 40%, the world will end up on its last legs! NVDA won't save the planet! ENPH Enphase Energy, Inc. 7.93% FSLR First Solar, Inc. 7.36% ED Consolidated Edison, Inc. 6.34% IBE.MC Iberdrola, S.A. 6.02% VWS.CO Vestas Wind Systems A/S 5.83% 600900.SS China Yangtze Power...
... for a 37.86 debit. Comments: High IVR/IV at 55.1/41. Selling the -75 call against stock to emulate the delta metrics of a 25 delta short put, but with the built-in defense of the short call. Metrics: Buying Power Effect/Break Even: 37.86 Max Profit: 1.14 ROC at Max: 3.01% 50% Max: .57 ROC at 50% Max: 1.50% Will generally look to take profit at 50% max.
... for a .93 credit. Comments: High IVR/IV at 51/44. Adding a short put in the vicinity of the 25 delta strike on weakness to my covered call, which has a 37.86 break even. (See Post Below). Metrics: Break Even/Buying Power Effect: 36.03 Max Profit: .93 ($93) ROC at Max: 2.44% ROC at 50% Max: 1.22% Will generally look to take profit at 50% max; roll for...
NASDAQ:CSLR I have been long this for about 2 weeks adding along the way. This is a complete turn around play as there is a new CEO, COO and management team appointed. They have managed to renegotiated debt structure, most for equity swaps. This is one of my rare situations that I have not set a stop as this could be a wild ride. So far, on average I'm up over...
Let's see. I am betting on a generational low in small cap stocks and a bull run from here. My time horizon is 5 - 10 years, but looking at this year for the heaviest move. My portfolio consists of 35% TNA 20% XBI 15% RDFN 20% TAN 10% SPWR
Longterm position taken in TAN solar ETF. Immediate structural resistance near 47. Major resistance at 50-618 fib extension from ATH. Any break and close of Hagopian line will threaten longer term count.
Solar stocks follow energy prices (crude oil) and AMEX:USO (oil etf) is about to break out. I read that chinese are outcompeting the west in cheaper solar products. ie NYSE:JKS TNX is at bull market, crude oil and yields correlate (not sure which one cause the other). I look at everything trough probabilities since nothing is ever known. Stocks do bad when...
The Invesco Solar ETF is based on the MAC Global Solar Energy Index (Index). The Index is comprised of companies in the solar energy industry. Wall Street investors have only short-sold the future of the planet! They have shorted all the players that could be a solution to climate change (personal opinion). With the upcoming U.S. presidential elections, I...
If the ETF crosses the $84.03 mark during next week a huge rally can take place, daily charts are already bullish for a few days, I got into a position in $FSLR, $ENPH and $RUN recently, but might add an ETF position in $TAN as well if the weekly signal outlined here triggers. Note that price crossed over the entire post COVID low till today Volume Profile POC...
Using Tan as an example, we see how we can identify periods of Accumulation and Distribution for the solar industry. My custom ADX, CCI strategy gives signs of accumulation, over buying and over selling. I've marked those points on the chart. Presently signs of uncertainty in both directions as the range sets lower highs and higher lows. This is a sign of...
RUN is benefiting from the federal incentives policies. As shown on the chart Price has risen 48% since the earnings report which was quite favorable. It is consistently above the Ichimoku cloud and is now in a consolidation. I see this as a good swing-long setup with the stop loss under the cloud or instead wait for a pullback. The target would be $37 at the...
I am now moving into puts in FSLR as of this morning >look to move to a net short at 75 % in the money puts look at 2023 puts only .We should a rather large drop back to 100/115 easy