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How to effectively leverage information from unusual options activity?
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options

I sell puts 90+ days out to capture larger credit
like
sofi 8/16 put on 7.00
73 00 credit to me for 100 shares
so if I have to buy im only paying 6.27 a share for 7.00 buy price ...
if I went shorter time span my buy price would be higher creating more risk
I also see earnings is end of July so its a good catalyst to push sofi over 7 and I get to keep the credit.
I sold 25 puts total for 8-16
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    I want to prove a Poodle can beat J Cramer! He's bought ,AMZN DIS,TSLA,MPW,SVOL,QYLD,PLTR, ,SOFI,BDN,,
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