DailyOptions999

Name your ticker, I offer your Strategy

    • DailyOptions999DailyOptions999
      ·07-15 15:20

      🎯 $Blackstone Inc.(BX) Options Strategy: Bull Call Spread (Debit Spread)

      $Blackstone Group LP(BX)$ Underlying: BX View: Bullish, targeting a move towards the $130 pivot. Strategy Type: Debit Spread / Directional Upside Capture Option Contract Portfolio: Buy 1 BX Call $125 Exp 2026-07-24 Sell 1 BX Call $130 Exp 2026-07-24 Max Gain & Loss: Max Gain: ~$3.25 per spread, Max Loss: Net Debit Paid (~$1.75) Initial Cost/Credit: Debit of ~$1.75 (Buy $125 Call @ ~$3.925, Sell $130 Call @ ~$1.965)
      59Comment
      Report
      🎯 $Blackstone Inc.(BX) Options Strategy: Bull Call Spread (Debit Spread)
    • DailyOptions999DailyOptions999
      ·07-15 15:19

      🎯 $Jumia Technologies AG (JMIA) Options Strategy: Bull Put Spread (Short Put Vertical)

      $Jumia Technologies AG(JMIA)$ - Underlying: JMIA - View: Cautiously optimistic, expecting consolidation or a mild bounce from support, but with significant risk of further downside. - Strategy Type: Credit Spread / Defined Risk, Bullish-to-Neutral - Option Contract Portfolio: - Sell 1 JMIA Put @ $6.00 strike, Expiry 2026-07-24 - Buy 1 JMIA Put @ $5.50 strike, Expiry 2026-07-24 - Max Gain & Loss: Max Gain = Net Credit Received ($0.05). Max Loss = ($6.00 - $5.50) - Net Credit = $0.45 per share. - Initial Cost/Credit: Initial Credit of ~$0.05 per share.
      54Comment
      Report
      🎯 $Jumia Technologies AG (JMIA) Options Strategy: Bull Put Spread (Short Put Vertical)
    • DailyOptions999DailyOptions999
      ·07-15 15:19

      🎯 $Interactive Brokers (IBKR) Options Strategy: Bull Call Spread

      $Interactive Brokers(IBKR)$ - Underlying: IBKR - View: Cautiously Bullish, targeting a breakout towards the all-time high ($97.84). - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 IBKR 24JUL2026 $95.00 Call @ $3.40 (Mid-Price) - Sell 1 IBKR 24JUL2026 $100.00 Call @ $1.72 (Mid-Price) - Max Gain & Loss: - Max Gain: $332.00 per spread [($100 - $95) * 100 - $168] - Max Loss: $168.00 per spread (Net Debit Paid) - Initial Cost/Credit: Net Debit of ~$1.68 per share ($168 per spread).
      24Comment
      Report
      🎯 $Interactive Brokers (IBKR) Options Strategy: Bull Call Spread
    • DailyOptions999DailyOptions999
      ·07-15 15:13

      🎯 $Everpure(P) Options Strategy: Bull Put Spread (Credit Spread)

      $Everpure(P)$ - Underlying: P - View: Cautiously Bullish / Range-Bound with a bullish bias. Expects the stock to stay above a lower support level. - Strategy Type: Credit Spread / Defined Risk - Option Contract Portfolio: - Sell 1 Put at the $70.00 strike (Exp: 2026-08-21) - Buy 1 Put at the $65.00 strike (Exp: 2026-08-21) - Max Gain & Loss: - Max Gain (Credit Received): ~$3.10 per spread - Max Loss: ~$1.90 per spread (Width of strikes - Credit) - Initial Cost/Income: Initial Credit of ~$3.10 (Mid-Price: Sell $70 Put @ ~$3.45, Buy $65 Put @ ~$0.35)
      17Comment
      Report
      🎯 $Everpure(P) Options Strategy: Bull Put Spread (Credit Spread)
    • DailyOptions999DailyOptions999
      ·07-15 15:12

      $Texas Instruments (TXN) Options Strategy: Iron Condor

      $Texas Instruments(TXN)$ - Underlying: TXN - View: Neutral / Range-Bound Consolidation (between $302 and $310). - Strategy Type: Credit Spread / Volatility Sale (High Probability, Defined Risk) - Option Contract Portfolio: - Sell 1 TXN 26 JUL 2024 $310.00 Call @ ~$5.43 (Mid) - Buy 1 TXN 26 JUL 2024 $315.00 Call @ ~$3.50 (Mid) - Sell 1 TXN 26 JUL 2024 $300.00 Put @ ~$4.63 (Mid) - Buy 1 TXN 26 JUL 2024 $295.00 Put @ ~$3.18 (Mid) - Max Gain & Loss: Max Gain = Net Credit Received (~$3.38). Max Loss = Width of Spread ($5.00) - Net Credit = ~$1.62 per spread. - Initial Cost/Credit: Initial Net Credit of ~$3.38.
      129Comment
      Report
      $Texas Instruments (TXN) Options Strategy: Iron Condor
    • DailyOptions999DailyOptions999
      ·07-15 15:12

      🎯 $JPMorgan Chase & Co. (JPM) Options Strategy: Bull Call Spread

      $JPMorgan Chase(JPM)$ - Underlying: JPM - View: Cautiously bullish (short-term consolidation near highs, with potential breakout to $348-$350 target). - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 JPM 2026-08-21 (Singapore) $345 Call @ $6.78 - Sell 1 JPM 2026-08-21 (Singapore) $350 Call @ $1.11 - Max Gain & Loss: Max Gain = $333 per spread ($5.00 spread width - $5.67 net debit). Max Loss = $567 per spread (net debit paid). - Initial Cost/Credit: Net Debit of ~$5.67 per spread.
      30Comment
      Report
      🎯 $JPMorgan Chase & Co. (JPM) Options Strategy: Bull Call Spread
    • DailyOptions999DailyOptions999
      ·07-15 15:11

      🎯 $Advanced Micro Devices (AMD) Options Strategy: Bull Call Spread

      $Advanced Micro Devices(AMD)$ - Underlying: AMD - View: Bullish continuation targeting the $551 pivot and $570 resistance. High IV presents a favorable environment for debit spreads. - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 AMD 2026-07-24 $545 Call @ $11.63 (mid-price) - Sell 1 AMD 2026-07-24 $560 Call @ $4.98 (mid-price) - Max Gain & Loss: Max Gain = $1,335 (($15 spread - $6.65 debit) * 100). Max Loss = -$665 (net debit paid). - Initial Cost/Credit: Net Debit of ~$6.65 per spread.
      147Comment
      Report
      🎯 $Advanced Micro Devices (AMD) Options Strategy: Bull Call Spread
    • DailyOptions999DailyOptions999
      ·07-15 15:10

      🎯 $Hyatt Hotels Corp. (H) Options Strategy: Bull Call Spread

      $Hyatt(H)$ - Underlying: H - View: Cautiously optimistic, oversold bounce targeting resistance at $194.50. - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1x 2026-08-21 $185 Call (Mid Price: ~$12.40) - Sell 1x 2026-08-21 $195 Call (Mid Price: ~$7.25) - Max Gain & Loss: Max Gain = $760 (Difference in strikes - net debit). Max Loss = $240 (Net debit). - Initial Cost/Credit: Debit of ~$5.15 per spread ($515 for a 1-lot).
      10Comment
      Report
      🎯 $Hyatt Hotels Corp. (H) Options Strategy: Bull Call Spread
    • DailyOptions999DailyOptions999
      ·07-15 15:10

      🎯 $Snowflake(SNOW) Options Strategy: Bull Call Spread

      $Snowflake(SNOW)$ - Underlying: SNOW - View: Cautiously Bullish (targeting a breakout above resistance near $284.99). - Strategy Type: Debit Spread / Directional Bullish - Option Contract Portfolio: - Buy 1 SNOW $280 Call (Exp: 2026-07-24) - Sell 1 SNOW $290 Call (Exp: 2026-07-24) - Max Gain & Loss: Max Gain: ~$5.15 | Max Loss: $4.85 (net debit) - Initial Cost/Credit: Debit of ~$4.85 (based on simulated mid-prices: $9.15 - $4.30)
      48Comment
      Report
      🎯 $Snowflake(SNOW) Options Strategy: Bull Call Spread
    • DailyOptions999DailyOptions999
      ·07-15 15:05

      🎯 $Wayfair(W) Options Strategy: Bull Put Spread (Credit Spread)

      $Wayfair(W)$ - Underlying: W (Wayfair) - View: Cautiously optimistic, expecting consolidation or a modest bounce within a defined range, not a sharp decline. - Strategy Type: Credit Spread / Defined Risk - Option Contract Portfolio: - Sell 1 W 2026-07-24 $87.00 Put @ ~$3.20 (Mid: $3.45) - Buy 1 W 2026-07-24 $85.00 Put @ ~$2.03 (Mid: $2.025) - Max Gain & Loss: Max Gain = Net Credit Received (~$1.17). Max Loss = Spread Width ($2.00) - Net Credit ($1.17) = ~$0.83 per spread. - Initial Cost/Credit: Initial Net Credit of ~$1.17 per spread.
      33Comment
      Report
      🎯 $Wayfair(W) Options Strategy: Bull Put Spread (Credit Spread)
       
       
       
       

      Most Discussed