Here are two ideal scenarios, one for entering a **call** and one for entering a **put** option trade, explaining how to use metrics like **theta**, **delta**, and **implied volatility (IV)** to make informed decisions.
### 1. **Scenario for Entering a Call Option (Bullish Outlook)**
#### Ideal Market Conditions:
- **Underlying Asset**: Stock XYZ is trading at $100, and based on technical and fundamental analysis, you expect the stock to rise to $110 ...
### 1. **Scenario for Entering a Call Option (Bullish Outlook)**
#### Ideal Market Conditions:
- **Underlying Asset**: Stock XYZ is trading at $100, and based on technical and fundamental analysis, you expect the stock to rise to $110 ...
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gghk
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$Apple (AAPL.US)$ Based on my analysis, Fair Value is below $140. Still, it is trading at premium. My chart indicates at least 25% correction from here.
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$SPDR S&P 500 ETF (SPY.US)$ the people will be real successful when we get the same insider trading tips as all the politicians and and hedge funds
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gghk
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$AMC Entertainment (AMC.US)$ hit max pain pay up fucking hf
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gghk
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