Optionstrading
will today GOLD will fall ..? Buying Put options exp 07aprPrice is trading sideways and has retested many times horizontal support, with todays FOMC meeting minutes we expect volatility in gold price and potential of price breakout towards the downside....
in order to benefit from current scenario we can PUT options at 1920 strike price or below to get good RR and maximum risk of 2.20 euro per lot ( multiplied by number of lots you take ) for example in 5 lots max loss is around 11 euro only.. irrespective of how big price movement can be against ur trade..
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AAPL (Apple) - Bearish Double Top & Momentum - 4 HourAAPL (Apple) stock price has double-topped below $179.11 and has established a lower-high in the price.
Bearish momentum has also begun on the MACD indicator (medium-term time frames).
Entry (short): $175.25
Profit Target +5% (exit): $166.15
Stop Loss -2.5% (exit): $179.68
Intra-day price fluctuations will occur everyday. This chart setup may take several weeks to complete.
Utilize stop loss, profit targets, position sizing, and risk management.
Note: Many stocks and ETFs have reached a price resistance zone, and are showing signs of potentially reversing down.
All content is Not financial advice. Trade at your own risk.
X (United States Steel) - Bearish Double Top & Momentum - DailyX (United States Steel Corporation) stock price has double-topped below $38.57. Bearish momentum (MACD) has down-crossed on a daily time frame.
Entry (short): $37.25
Profit Target +12% (exit): $32.76
Stop Loss -6% (exit): $39.49
Utilize stop loss, profit targets, position sizing, and risk management.
Note: Many stocks and ETFs have already rallied up for the past two weeks, signs of price potentially topping out have formed.
XLB (Materials sector ETF) price has also reached a Resistance Zone and could possibly pull back to the downside.
All content is Not financial advice. Trade at your own risk.
NIFTY50 Price Analysis - Medium to Short TermNifty50 index has been in the price range for nearly 6 months and is under high volatility due to variety of news flows.
As of now Nifty 50 is near major resistance and any significant breakout and close above it will cause a rally while any reversal will cause a correction for the short term.
A decisive Breakout is must for the bulls to continue in dalal street.
Any adverse news will also affect its rally or correction in the medium to short term.
DYOR Own research before Trading/Investing. Not responsible for P&L.
usdcad sell setup : intraday options Hello Traders ,
today we expect USDCAD to remain bearish as price has broken below ascending trendline in daily chart , and in weekly it seems clear breakout of uptrend , so maybe we expect price to move further down :
In order to trade current analysis which is that price may remain bearish and close below 12470 at our options expiry we have created 2 legs of options where we have
1. SOLD CALL OPTION @ STRKE PRICE 12470 = FOR WHICH WE HAVE RECIEVED PREMIUM OF 23 EURO : by doing this we get premium as profit if price remains below 12470 @ our option expiry today.
as selling option is risky move we have also bought and option at higher strike price to limit our losses if trades goes sideways..
2. BUY CALL OPTION @ STRIKE PRICE 12510 = for which WE PAID 11 EURO : And by doing this we limit our losses , means if price moves bullish our losses will be covered by this call option which increases in value if price moves above 12510 .
By creating 2 legs we remain with net +12 euros in account with no cost to open these trades , so we have not paid anything to open these trades , only recieved the premium , & our margin is used to support selling call option..
Will update the result tomorrow after option expires...
thanks...
Bearish on GOLD : Buying cheap put options instead.Hello Traders : we are bearish on GOLD today.. but as always price can turn in any direction...
however still to enter bearish setup we have decided to buy cheap Intraday options and hence limiting our maximum risk :
PUT OPTION 1910 STRIKE PRICE : currently you can buy @ 1.80 euro per lot..... ( lots of options are different and smaller than spot market ) we have decided to buy 5 lots at minor investment of 9 euro approx....
if price moves below 1910 then will update you profit expiry is today at 7.30 pm gmt...... also if premium price increases we can exit early by taking profit... if not our fix loss is already decided irrespective of how much price moves to the upside.....