NYSE:SQ to report earning on 22 Feb Stock will move 12.84% EPS will be Reporting $0.59 YOY Beat by 172% #SQ Earning Trading range for earning $55.90 to $89.90 Potential upside $106.59 Current price: $68.71 Our Pivot Point Stand at $ 61.60 Trade alert SQ Earning Play - New Alert 042 - Long Strangle for 22 Mar 1: Buy 1 Put for $63 for...
NYSE:RBLX to report earning on 07 Feb Stock will move 13.54% EPS will be Reporting -$0.39 #RBLX Earning Trading range for earning $34.20 to $45.80 Current price: $40.14 -Long Strangle Our Pivot Point stand at $ 41.80 We are looking downside Target $ 34.20 and Upside target $ 45.80 Long Strangle Trade Doesnt matter how stock move we make money Trade...
NASDAQ:SOFI to report earning on 29 Jan EPS Beat Expected by 56.18% Stock will Shoot Up - Stock is expected to Move 16.10% Today's Current price$ 7.61 Earning trading range will be $ 6.37 to Upsode $ 9.25 Our Pivot point stand at $7.17 expect 16.10% of this price either side
RIVN Pivot point Stand $ 18.70 Stock has Bottom at $ 12.90 and 1st Support at $ 15.20 Upside target 1st PT ios $ 27.27 and Top PT is $ 38.89 After TSLA Earning this is ready for Bull run
AEHR Stock Double ITM Spread for 28% Gain Out Pivot Point Stand $ 17 1: Buy 1 Call for $ 10 and Sell 1 Call for $ 15 for Net Debit $ 3.90 to make $ 5 Which is Free 28% Money in 6 weeks - Safe Trade
Buy 100 share at $ 7.61 and Sell Covered Call for $ 7.5 for 23 Feb and Collect .85 cent Our Pivot Point Stand $ 7.43 Stock trading range $ 7.30 to $ 8.25
Bitcoin Bullish Assessment We are Looking for Trading range for Next 6 Months for BTCUSD from Bottom at $30766.57 Upside target to $ 66686.60 By 17 July there are 2 Pull back Expected 1 in March and 1 in May and finally hitting $ 66686.60
Our pivot point stands at 228.50 Our preference Short term rebound towards 242.2. Long Term Possible Recovery to $ 299.13 (6 Months) Spread will 10x Date: 17 Jan 2025 1: Buy 1 Call for $ 410 Delta .21 2: Sell 1 Call for $ 450 Delta .17 Net Delta .04 with Next debit $ 3
TSLA Share at $ 214 Keep Buying in 100 Lot and Sell 16 Feb ATm Covered Call Looking for a recovery toward $ 237.84 Trading range is from $ 208.90 to $ 237.84 Long Term look for an Exit around $287 or $ 299.13
They lose -$500K for every car they sell. Their sales are down ~30% since Q4 of 2022. Their production is down ~40% since Q4 of 2022. They have 4,900 cars in inventory, which is more than 3x their average quarterly deliveries, or 310 days on hand. In 2021, they had a target of $5.5B in 2023. So far this year, they are on track to hit $600M. That's 90% less...
Buy CHTR Stock $ 368 and sell covered call $365 for 22nd Dec and Collect $ 1179 Out Pivot Point Stand Downside $ 349 so we will Hold Until assingment. Enjoy printing $$$$$$$$$$$$$
Our pivot point stands at 74.90 Our preference Short term rebound towards 79.90 We are looking for a recovery for $ 99.03 We are looking for 498.08% Profit Target on Sprad for 17 June 2024
1: Buy call Option for $ 25 for 17 June $ 1.84 2; sell 1 Call option for $ 30 for 17 June for $ 1.40 Net debit $ .44 Cent Merry Christmas - VIX $$$$$$$4
Impulse wave Target $ 391.82 a Put Spread buy $ 400 and Sell for $ 370 for 30 April Ourt Pivot Point Stand at $ 409.21 Below this it will call $ 391.83
16 Feb 2024 - Safe trade Both ITM Call 1: Buy call optionf or $ 200 for $29.95 2: Sell call Option for $ 210 for $ 24.40 Net debit $ 5.55 to make $ 10 (ROI 94% Arbitrage)
AMZN Buy Alert Both ITM Call for 16 Feb 2024 Buy Call Option for $ 135 and Sell 1 Call for $ 140 Net Debit $ 3.65 (Profit Target 36.99%) Out Pivot stand at $ 127.90 and Year end target $ 160
Stock is Oversold Buy 100 Share at $ 2.02 and sell Covered Call for $ 2 for 08 Dec for $ 0.31 cent 2.49 is our pivot point. Our preference Short term rebound towards 4.3. Alternative scenario The downside breakout of 2.49 would call for 1.96 $ 2 Covered Call for 17% downside hedge is Great Trade
Our pivot point stands at 6.8. Our preference Short term rebound towards 9.46 (Exit at this price ) Alternative scenario The downside breakout of 6.8 would call for 6.09 (Keep Buying Until $ 6.09) Stock is at Daily chart support Heavy Insider buy Nato anthony CEO on 09 Nov at $ 6.78 bought 44000 and total share owned now are 7,239,289 Lapointe...