Max Loss: 173/contract Max Profit/Return on Capital: 27/contract ; 15.6% Break Even: 4.73/share
Notes: A small, defined risk engagement trade here in Ford. The metrics generally aren't what I'm looking for in one of these setups (25% ROC or greater), but I'm selling the front month shortie at-the-money, so that's to be expected.
Trade aktif
I just couldn't settle for .27 ($27) max, so rolled the 5 short call out to June for a .19 /contract credit before earnings drop Tuesday after the close. Cost basis/max loss now: 1.54. Max Profit: .46/contract; Break Even at 4.54.
Trading ditutup secara manual
Closed here for 1.93/contract, .07 short of max with 31 DTE for the front month; .39 ($39)/contract winner; 22.5% ROC. Will re-up with a June/Sept shortly, since it may still have room to run.
Informasi dan publikasi tidak dimaksudkan untuk menjadi, dan bukan merupakan saran keuangan, investasi, perdagangan, atau rekomendasi lainnya yang diberikan atau didukung oleh TradingView. Baca selengkapnya di Persyaratan Penggunaan.