Okay ... . This isn't my usual cup of tea, but I have a lot of buying power sitting on the sidelines here, and the implied volatility in the underlying is >50% ... .
Metrics:
Probability of Profit: 72%
Max Profit: $98/contract
Buying Power Effect: $402/contract
I'll look to take it off for 50% max, as I don't want to hold it into earnings ... .
Metrics:
Probability of Profit: 72%
Max Profit: $98/contract
Buying Power Effect: $402/contract
I'll look to take it off for 50% max, as I don't want to hold it into earnings ... .