PLUG Long

Diupdate
daily, trendline break + retest

Long 2.4
Stop 1.5
Target 5.0

Risk management is much more important than a good entry point.
I am not a PRO trader.
In my trading plan, the Max Risk of each short term trade should be less than 1% of an account.
Trade aktif
BuyToOpen Jun25 Call spread C2.5/5.5 0.46 x5 (C2.5 Delta=0.63 , 188 days )
SellToOpen Jun25 Put P1.5 0.24 x10 ( Delta -0.15, , 188 days )

This is option strategy BFF (Buy for free):
If price goes above $2.5, win; result as buy 500 stock at $1.0.
If price goes down under $1.5, loss. result as buy 1000 stock at $1.5
Trend Lines

Pernyataan Penyangkalan