Mini S&P Option Strategy (20220722)

  • The market is waiting for the big FED decision on interest rate next week.
  • S&P is going to trade within a tight range.
  • I sold both Call option at 4010 and Put option at 3940 to capture income on option expiry.
  • Stop loss when S&P breaks beyond 3950 and 4010.
Chart PatternsTechnical IndicatorsTrend Analysis

También en:

Exención de responsabilidad