Option trading ideas

Calls and puts with strike, expiry, premium, break-even and the exact conditions to enter and exit. Premiums are model-estimated from live underlying prices and realised volatility.

VStrong Buy

CALL · $384.50 strike · 2026-10-23

Premium
$9.27
Break-even
$393.77
Delta
0.45
Bid / Ask
$8.90 / $9.64
Impl. vol
20.4%
Confidence
85%

Quick view

This contract provides a high delta of 0.45 and extra duration to capture Visa's secular growth trend. The break-even price of 393.77 is highly achievable within the long-term expiration horizon.

Buy when · Buy when the underlying stock is trading between 370.00 and 376.00.

Sell when · Sell if the stock reaches 420.00 or if the option premium drops below 4.50.

The maximum loss is limited to the premium paid of $927 per contract.

VStrong Buy

CALL · $376.50 strike · 2026-10-09

Premium
$9.25
Break-even
$385.75
Delta
0.45
Bid / Ask
$8.88 / $9.62
Impl. vol
20.9%
Confidence
85%

Quick view

With a healthy 0.45 delta and long duration, this contract provides optimal exposure to Visa's secular growth story with a reasonable break-even.

Buy when · Buy when Visa stock price consolidates around 365.00 or breaks 370.50.

Sell when · Sell if Visa reaches our target of 395.00 or if the option price gains 80%.

$925 maximum loss per contract.

LLYStrong Buy

CALL · $1,211.50 strike · 2026-10-16

Premium
$53.32
Break-even
$1,264.82
Delta
0.48
Bid / Ask
$51.19 / $55.45
Impl. vol
34.6%
Confidence
85%

Quick view

With the highest delta (0.48) and longest duration among the options, this contract provides the most robust vehicle for long-term growth and protection against short-term volatility.

Buy when · Buy during the current accumulation phase near the 1185.00 USD support level.

Sell when · Sell if LLY hits the 1350.00 USD target or to lock in profits once the contract gains 75%.

The maximum loss is $5,332 per contract if the option expires worthless.

MSFTStrong Buy

CALL · $505.00 strike · 2026-09-18

Premium
$18.15
Break-even
$523.15
Delta
0.46
Bid / Ask
$17.42 / $18.88
Impl. vol
44.0%
Confidence
85%

Quick view

This LEAP contract offers high delta sensitivity (0.46) and ample time to expiry, mitigating near-term volatility risk and capturing MSFT's core upward trend efficiently.

Buy when · Buy when the underlying stock drops to the 485.00-490.00 USD range.

Sell when · Sell if the stock reaches 535.00 USD or if the premium drops below 11.50 USD.

The maximum loss is limited to the premium paid of $1,815 per contract.

CVXStrong Buy

CALL · $206.00 strike · 2026-09-25

Premium
$3.80
Break-even
$209.80
Delta
0.41
Bid / Ask
$3.65 / $3.95
Impl. vol
25.1%
Confidence
85%

Quick view

This contract offers highly asymmetric leverage with a low premium of 3.8 and a break-even of 209.80.

Buy when · Buy when CVX underlying price stabilizes near 198.50 USD.

Sell when · Sell if CVX hits 211.00 USD or if the contract premium drops below 1.50 USD.

Maximum loss is the premium paid of $380 per contract.

VStrong Buy

CALL · $390.00 strike · 2026-10-16

Premium
$9.11
Break-even
$399.11
Delta
0.44
Bid / Ask
$8.75 / $9.47
Impl. vol
20.8%
Confidence
85%

Quick view

Superior delta of 0.44 and longer expiry provides a solid buffer for the stock to appreciate beyond the strike. This is the safest and most robust bullish option choice listed.

Buy when · Underlying stock price is below 382.00 USD.

Sell when · Option premium reaches 18.00 USD or underlying stock falls below 365.00 USD.

The maximum loss is limited to 911.00 USD per contract if the option expires worthless.

VStrong Buy

CALL · $388.50 strike · 2026-09-25

Premium
$5.27
Break-even
$393.77
Delta
0.38
Bid / Ask
$5.06 / $5.48
Impl. vol
20.3%
Confidence
85%

Quick view

This deep-horizon LEAP call option offers an excellent risk-reward profile to leverage Visa's long-term compounding growth at a reasonable premium. With a delta of 0.38, it will capture significant upside as V breaks past $400 over the next year.

Buy when · Buy when V is trading below $380.00 with the option premium below $5.50.

Sell when · Sell when V hits $415.00 or if the option value doubles to $10.54.

Maximum loss is $527 per contract if the stock price remains below $388.50 at expiration.

GOOGLStrong Buy

CALL · $351.50 strike · 2026-10-16

Premium
$18.46
Break-even
$369.96
Delta
0.50
Bid / Ask
$17.72 / $19.20
Impl. vol
38.1%
Confidence
85%

Quick view

With a delta of 0.50 and over a year to expiry, this option is an excellent conservative vehicle to play the stock's eventual rebound.

Buy when · Buy when underlying stock begins to bounce from 340.00 with RSI turning upward.

Sell when · Sell if underlying stock reaches 370.00 or if premium declines by 30%.

The maximum loss is the premium paid of $1,846.00 per contract.

VStrong Buy

CALL · $383.00 strike · 2026-10-23

Premium
$9.14
Break-even
$392.14
Delta
0.44
Bid / Ask
$8.77 / $9.51
Impl. vol
20.5%
Confidence
85%

Quick view

With a delta of 0.44 and longer expiry, this contract balances robust sensitivity to price gains with an extended horizon.

Buy when · Underlying stock trades near the 20-day SMA of 370.32 USD.

Sell when · Option premium reaches 17.50 USD or stock climbs above 410.00 USD.

Maximum loss of $914 per contract if Visa remains below 383.00 USD at expiration.

VStrong Buy

CALL · $377.50 strike · 2026-10-09

Premium
$8.91
Break-even
$386.41
Delta
0.44
Bid / Ask
$8.55 / $9.27
Impl. vol
20.8%
Confidence
85%

Quick view

An excellent vehicle with an extended runway and solid delta, allowing investors to capture sustained upside while mitigating short-term decay.

Buy when · Visa stock trades between 365.00 USD and 369.00 USD.

Sell when · Visa stock reaches the target of 395.00 USD or the premium appreciates by 50%.

Maximum loss is the premium paid of $891 per contract.

AAPLStrong Buy

CALL · $321.50 strike · 2026-10-23

Premium
$13.68
Break-even
$335.18
Delta
0.48
Bid / Ask
$13.13 / $14.23
Impl. vol
32.5%
Confidence
85%

Quick view

This is the strongest risk-adjusted option, providing 0.48 delta and an extra month of duration over the September contracts. The break-even of $335.18 is extremely realistic over this long horizon.

Buy when · Buy if AAPL trades between $312.00 and $316.00.

Sell when · Sell if the stock reaches $340.00 or premium gains 80%.

Maximum loss is limited to the premium paid of $1,368 per contract.

COINStrong Buy

CALL · $179.50 strike · 2026-09-25

Premium
$10.80
Break-even
$190.30
Delta
0.49
Bid / Ask
$10.37 / $11.23
Impl. vol
69.1%
Confidence
85%

Quick view

Extremely cheap premium of 10.8 USD for a 2026 expiry with a 0.49 delta makes this an highly attractive leverage play for short-term upside.

Buy when · Buy if the contract premium is under 11.5 USD while COIN trades above 175.00 USD.

Sell when · Sell if the contract premium reaches 18.0 USD or the underlying asset falls below 161.00 USD.

Maximum loss is the premium paid of 1,080 USD per contract.

CVXStrong Buy

CALL · $209.50 strike · 2026-09-18

Premium
$3.84
Break-even
$213.34
Delta
0.41
Bid / Ask
$3.69 / $3.99
Impl. vol
25.1%
Confidence
85%

Quick view

Underpriced LEAP with a solid 0.41 delta offers high leverage for a long-term bullish outlook.

Buy when · Buy when CVX shares trade above $203.00 and the contract premium is under $4.00.

Sell when · Sell if the contract premium doubles to $8.00 or if CVX falls below $193.00.

Maximum loss is limited to the premium paid of $384 per contract.

COINStrong Buy

CALL · $183.00 strike · 2026-09-18

Premium
$11.59
Break-even
$194.59
Delta
0.50
Bid / Ask
$11.13 / $12.05
Impl. vol
69.9%
Confidence
85%

Quick view

This underpriced LEAP contract provides excellent leverage with a 0.50 delta. It offers a highly attractive risk-reward profile to play the recovery towards the 200-day SMA and beyond.

Buy when · Buy if stock is above 175.00 and contract premium is under 12.50.

Sell when · Sell if stock hits 197.00 or contract premium doubles to 23.00.

Maximum loss is $1,159 per contract if the stock expires below $183.00.

GOOGLStrong Buy

CALL · $357.00 strike · 2026-10-23

Premium
$19.61
Break-even
$376.61
Delta
0.50
Bid / Ask
$18.83 / $20.39
Impl. vol
38.2%
Confidence
82%

Quick view

At-the-money call option offering a 0.50 delta and significant time to capture the stock's eventual recovery above 400.00.

Buy when · GOOGL stock crosses above 350.00 on rising daily volume.

Sell when · Underlying stock price reaches 390.00.

Maximum loss is limited to the premium paid of $1,961 per contract.

UBERStrong Buy

CALL · $78.00 strike · 2026-10-23

Premium
$4.29
Break-even
$82.29
Delta
0.50
Bid / Ask
$4.12 / $4.46
Impl. vol
42.2%
Confidence
82%

Quick view

With a 0.50 delta and additional time to expiry, this contract provides the best balance of safety and upside potential for a sustained bullish trend.

Buy when · Buy when UBER stock clears the $77.08 SMA20 resistance.

Sell when · Sell if the premium doubles to $8.60 or if UBER breaks below the $74.00 SMA50 support.

Maximum loss is $429 per contract if the stock expires below $78 on October 23, 2026.

JPMStrong Buy

CALL · $366.00 strike · 2026-10-30

Premium
$9.41
Break-even
$375.41
Delta
0.45
Bid / Ask
$9.03 / $9.79
Impl. vol
20.1%
Confidence
82%

Quick view

Excellent risk-reward LEAP call offering higher delta and more duration to capture JPM's multi-year uptrend.

Buy when · Buy if stock trades below 358.00.

Sell when · Sell if stock reaches 390.00 or premium doubles to 18.82.

Maximum loss is limited to the premium paid of $941.00 per contract.

XOMStrong Buy

CALL · $160.00 strike · 2026-10-30

Premium
$5.51
Break-even
$165.51
Delta
0.47
Bid / Ask
$5.29 / $5.73
Impl. vol
25.6%
Confidence
82%

Quick view

Slightly longer expiry Call providing more time for XOM to recover and pass the 160 strike.

Buy when · Buy when XOM stock is below 156.50.

Sell when · Sell when XOM stock reaches 168.00.

The maximum loss is $551 per contract if the stock expires below $160.00.

LLYStrong Buy

CALL · $1,198.00 strike · 2026-10-23

Premium
$56.33
Break-even
$1,254.33
Delta
0.49
Bid / Ask
$54.08 / $58.58
Impl. vol
34.6%
Confidence
82%

Quick view

With an extra month of theta compared to the September contract and a high delta of 0.49, this offers the best risk-adjusted upside potential.

Buy when · Buy when the underlying price stabilizes above 1170.00 USD and MACD begins to narrow its bearish gap.

Sell when · Sell when the underlying stock reaches 1260.00 USD or if the premium drops below 28.00 USD.

The maximum loss is limited to the premium paid of $56.33 per share ($5,633 total per contract).

MSFTStrong Buy

CALL · $524.50 strike · 2026-10-16

Premium
$28.83
Break-even
$553.33
Delta
0.50
Bid / Ask
$27.68 / $29.98
Impl. vol
42.7%
Confidence
82%

Quick view

With a delta of 0.50, this ATM option acts as an excellent proxy for stock ownership, capturing significant upside with limited downside drag.

Buy when · Buy when MSFT is trading below 515.00 USD.

Sell when · Sell when the contract appreciates by 40% or if the underlying trend breaks below 480.00 USD.

The maximum loss is the premium paid of 2,883.00 USD per contract.

CVXStrong Buy

CALL · $210.00 strike · 2026-10-09

Premium
$6.20
Break-even
$216.20
Delta
0.46
Bid / Ask
$5.95 / $6.45
Impl. vol
25.1%
Confidence
82%

Quick view

Excellent long-term call option with a near-at-the-money 0.46 delta and ample time value to capture CVX's multi-month upward trajectory.

Buy when · Buy when the underlying CVX stock consolidates near $202.00.

Sell when · Sell when the contract value reaches $11.00 or if the underlying trend breaks below the 50-day SMA of $185.68.

$620 maximum loss per contract if expired worthless.

AMZNStrong Buy

CALL · $264.50 strike · 2026-10-23

Premium
$15.80
Break-even
$280.30
Delta
0.50
Bid / Ask
$15.17 / $16.43
Impl. vol
42.8%
Confidence
82%

Quick view

This contract provides an extra month of expiry, giving the bullish thesis more time to materialize with an attractive 0.50 delta.

Buy when · Buy when the underlying stock is trading near the 50-day SMA at $252.00.

Sell when · Sell when the underlying stock reaches $280.00 or if the premium doubles.

Maximum loss is limited to the premium paid of $1,580.00 per contract.

JPMStrong Buy

CALL · $361.50 strike · 2026-10-16

Premium
$8.54
Break-even
$370.04
Delta
0.44
Bid / Ask
$8.20 / $8.88
Impl. vol
21.0%
Confidence
82%

Quick view

An excellent long-term position with a solid 0.44 delta, providing strong participation in JPM's secular growth.

Buy when · Stock price pulls back to the SMA50 level of 346.72.

Sell when · Stock price reaches 380.00 or option premium reaches 15.00.

Maximum loss is limited to the premium paid of $854 per contract.

MSFTStrong Buy

CALL · $521.00 strike · 2026-10-23

Premium
$29.94
Break-even
$550.94
Delta
0.50
Bid / Ask
$28.74 / $31.14
Impl. vol
42.7%
Confidence
82%

Quick view

Offering an extra month of duration and a 0.50 delta, this contract provides the best balance of time value and price sensitivity for long-term bulls.

Buy when · Buy when MSFT shares drop below $500.00 and volume begins to rise again.

Sell when · Sell when the stock surpasses $570.00 or if the option loses 50% of its initial purchase premium.

Maximum loss is $2,994 per contract if the stock expires below $521.00.

JPMStrong Buy

CALL · $362.50 strike · 2026-10-23

Premium
$9.51
Break-even
$372.01
Delta
0.45
Bid / Ask
$9.13 / $9.89
Impl. vol
21.0%
Confidence
80%

Quick view

Excellent risk-reward LEAP call option with solid delta, giving maximum time for the bullish thesis to play out.

Buy when · Stock declines to the 348.00-352.00 USD range.

Sell when · Stock exceeds the target price of 380.00 USD.

$951.00 per contract.

AMDStrong Buy

CALL · $485.50 strike · 2026-10-23

Premium
$54.30
Break-even
$539.80
Delta
0.54
Bid / Ask
$52.13 / $56.47
Impl. vol
76.9%
Confidence
80%

Quick view

This contract provides a slightly higher delta and extra time compared to the September expiry, maximizing chance of capture.

Buy when · Buy when AMD exhibits a bullish MACD crossover on the daily chart.

Sell when · Sell when AMD hits the target price of $540.00 or if the stock closes below $435.00.

Maximum loss is $5,430 per contract if the stock expires below $485.50.

XOMStrong Buy

CALL · $160.50 strike · 2026-09-18

Premium
$2.79
Break-even
$163.29
Delta
0.40
Bid / Ask
$2.68 / $2.90
Impl. vol
25.8%
Confidence
80%

Quick view

This long-dated LEAP contract is highly underpriced relative to its duration, offering solid 0.40 delta exposure to XOM's long-term upside.

Buy when · Buy when the underlying XOM stock is priced between $151.00 and $157.00.

Sell when · Sell when the underlying stock reaches $170.00 or if the option premium falls by 50%.

The maximum loss is limited to the premium paid, which is $279 per contract.

LLYStrong Buy

CALL · $1,198.00 strike · 2026-10-02

Premium
$38.27
Break-even
$1,236.27
Delta
0.46
Bid / Ask
$36.74 / $39.80
Impl. vol
33.6%
Confidence
80%

Quick view

This slightly out-of-the-money long-term Call offers strong leverage on LLY's multi-year growth trajectory with a solid 0.46 delta.

Buy when · Buy if LLY stock trades near the support zone of 1150.00 to 1175.00.

Sell when · Sell to close if the contract premium gains 50% or if LLY drops below 1100.00.

The maximum loss is the premium paid of $3,827 per contract.

GOOGLStrong Buy

CALL · $351.00 strike · 2026-10-09

Premium
$17.33
Break-even
$368.33
Delta
0.49
Bid / Ask
$16.64 / $18.02
Impl. vol
38.1%
Confidence
80%

Quick view

This contract provides the best balance of time, a high delta of 0.49, and lower decay risk, making it an excellent long-term vehicle.

Buy when · Buy when GOOGL stock trades between 335.00 USD and 344.00 USD.

Sell when · Sell when the stock price climbs to 380.00 USD or when the position achieves a 50% gain.

The maximum loss is 1,733 USD per contract if GOOGL expires below 351.00 USD.

JPMStrong Buy

CALL · $364.00 strike · 2026-09-18

Premium
$4.83
Break-even
$368.83
Delta
0.38
Bid / Ask
$4.64 / $5.02
Impl. vol
21.0%
Confidence
80%

Quick view

This contract offers deep long-term value near the current stock price with a delta of 0.38, allowing investors to leverage JPM's secular uptrend over the next 1.5 years.

Buy when · Buy if JPM stock trades above the 20-day SMA at 357.66.

Sell when · Sell when JPM stock price rises to 385.00 or if the option loses 50% of its value.

Maximum loss is limited to the premium paid of $4.83 per share ($483 per contract).

GOOGLStrong Buy

CALL · $355.50 strike · 2026-10-23

Premium
$19.39
Break-even
$374.89
Delta
0.50
Bid / Ask
$18.61 / $20.17
Impl. vol
38.1%
Confidence
80%

Quick view

Deep value call with longer expiration, offering extra time for the bullish thesis to play out with a 0.50 delta.

Buy when · Buy at current market levels around 348.43.

Sell when · Sell if stock price hits target of 375.00 or if premium falls below 12.00.

Maximum loss is the premium paid of $1,939 per contract.

COINStrong Buy

CALL · $184.00 strike · 2026-09-18

Premium
$11.33
Break-even
$195.33
Delta
0.50
Bid / Ask
$10.88 / $11.78
Impl. vol
70.1%
Confidence
80%

Quick view

This near-ATM option provides massive leverage with very low premium relative to its long duration. It represents an extremely efficient way to play the short-term bullish momentum with long-term protection.

Buy when · Buy if the contract premium is below 12.00.

Sell when · Sell if the option premium doubles to 24.00 or the stock fails to hold 175.00.

Maximum loss is limited to the premium paid of $1,133 per contract.

UNHStrong Buy

CALL · $410.50 strike · 2026-10-23

Premium
$13.96
Break-even
$424.46
Delta
0.47
Bid / Ask
$13.40 / $14.52
Impl. vol
25.5%
Confidence
80%

Quick view

An outstanding call choice with elevated delta and extra duration to weather any extended consolidation phase.

Buy when · Buy when the underlying stock consolidates around the 402.00-405.00 range.

Sell when · Sell when UNH reaches the 435.00 mark or drops below 385.00.

Maximum loss is limited to the premium paid of 1396.00 USD per contract.

COINStrong Buy

CALL · $197.00 strike · 2026-09-18

Premium
$11.83
Break-even
$208.83
Delta
0.49
Bid / Ask
$11.36 / $12.30
Impl. vol
70.3%
Confidence
80%

Quick view

This contract offers high delta leverage close to the current stock price with ample time to expiration, making it the most balanced vehicle to ride the bull trend.

Buy when · The underlying stock price breaks and closes above $196.08.

Sell when · The underlying stock price reaches $240.00 or the contract premium gains 50%.

Maximum loss is limited to the premium paid of $1,183 per contract.

NVDAStrong Buy

CALL · $232.00 strike · 2026-09-18

Premium
$7.75
Break-even
$239.75
Delta
0.46
Bid / Ask
$7.44 / $8.06
Impl. vol
42.4%
Confidence
80%

Quick view

This contract offers excellent long-term delta exposure of 0.46 at a highly attractive premium of 7.75. Given NVDA's strong secular growth, the break-even of 239.75 is well within reach over the multi-year horizon.

Buy when · Buy when the stock price is between 218.00 and 228.00 and the premium is under 8.00.

Sell when · Sell when the contract premium doubles or the stock price reaches 255.00.

The maximum risk is limited to the premium paid of $775.00 per contract.

CRMStrong Buy

CALL · $211.50 strike · 2026-10-09

Premium
$14.25
Break-even
$225.75
Delta
0.51
Bid / Ask
$13.68 / $14.82
Impl. vol
51.4%
Confidence
80%

Quick view

With the highest delta among the options and an extra month of expiration, this contract offers the best risk-adjusted exposure to a sustained recovery.

Buy when · Buy when the underlying stock stabilizes between 202.00 and 205.00.

Sell when · Sell if CRM reaches 225.00 or if the option value decreases by 25%.

$1,425 maximum loss per contract if held to expiration.

CVXStrong Buy

CALL · $203.00 strike · 2026-10-16

Premium
$6.08
Break-even
$209.08
Delta
0.46
Bid / Ask
$5.84 / $6.32
Impl. vol
25.2%
Confidence
80%

Quick view

Solid near-the-money position with a strong delta of 0.46, offering high probability of profit as CVX targets new highs over the next year.

Buy when · Buy when the stock trades below $198.00 during a consolidation.

Sell when · Sell when the option premium reaches $12.00 or if CVX closes below $185.00.

Maximum loss is $608 per contract if the stock expires below $203.00.

UBERStrong Buy

CALL · $78.50 strike · 2026-09-25

Premium
$2.63
Break-even
$81.13
Delta
0.45
Bid / Ask
$2.52 / $2.74
Impl. vol
42.3%
Confidence
80%

Quick view

This contract offers exceptional leverage and a very low break-even price of $81.13 relative to the long horizon. The 0.45 delta ensures strong participation in UBER's eventual momentum breakout.

Buy when · Buy when the underlying stock holds $76.50 on daily close.

Sell when · Sell when the option premium doubles to $5.26 or if the underlying drops below $72.50.

$263 per contract.

MSFTStrong Buy

CALL · $520.50 strike · 2026-09-25

Premium
$16.83
Break-even
$537.33
Delta
0.45
Bid / Ask
$16.16 / $17.50
Impl. vol
42.4%
Confidence
80%

Quick view

This near-the-money 2026 LEAP offers exceptional leverage at a lower relative premium than the October alternatives. It is a highly efficient way to play MSFT's secular cloud and AI growth over a long horizon.

Buy when · Buy when MSFT stock price is between $495.00 and $510.00.

Sell when · Sell when the option premium increases by 50% or the stock breaks below $485.00.

$1,683 maximum loss per contract if expired out-of-the-money.

GOOGLStrong Buy

CALL · $358.00 strike · 2026-10-23

Premium
$19.77
Break-even
$377.77
Delta
0.50
Bid / Ask
$18.98 / $20.56
Impl. vol
38.3%
Confidence
80%

Quick view

Excellent delta of 0.50 with an extended timeline to October 2026, giving ample time for the bullish recovery thesis to play out.

Buy when · Buy when GOOGL stock establishes support above $350.00.

Sell when · Sell when target price of $380.00 is achieved or option premium appreciates by 80%.

Maximum loss is the premium paid of $19.77 per share ($1,977 per contract).

LLYStrong Buy

CALL · $1,181.50 strike · 2026-10-30

Premium
$55.69
Break-even
$1,237.19
Delta
0.49
Bid / Ask
$53.46 / $57.92
Impl. vol
33.7%
Confidence
80%

Quick view

With a 0.49 delta and longer expiry, this call option offers a highly robust long-term vehicle to ride the secular trend.

Buy when · Buy when the stock price crosses above 1160 USD with increasing volume.

Sell when · Sell when the stock price meets our target of 1240 USD.

The maximum loss is limited to the premium paid of $5,569 per contract.

COSTStrong Buy

CALL · $976.00 strike · 2026-10-09

Premium
$23.81
Break-even
$999.81
Delta
0.44
Bid / Ask
$22.86 / $24.76
Impl. vol
21.0%
Confidence
80%

Quick view

A higher delta of 0.44 and an extra month of expiry provide a solid probability of success as the stock trends back toward historical highs.

Buy when · The stock price confirms a breakout above the 200-day SMA of $959.08.

Sell when · The underlying stock hits $1,020.00 or the premium drops to $15.00.

Maximum loss is the premium paid of $2,381 per contract.

UNHStrong Buy

CALL · $403.50 strike · 2026-10-30

Premium
$12.65
Break-even
$416.15
Delta
0.46
Bid / Ask
$12.14 / $13.16
Impl. vol
23.6%
Confidence
80%

Quick view

The optimal vehicle for capturing long-term recovery with excellent liquidity and a balanced risk-to-reward ratio.

Buy when · Buy at current market prices under 396.00.

Sell when · Sell if the option premium rises by 60% or if the underlying trend breaks below 375.00.

Maximum loss is $1265 per contract if the stock expires below $403.50.

MSFTStrong Buy

CALL · $498.50 strike · 2026-09-11

Premium
$18.78
Break-even
$517.28
Delta
0.46
Bid / Ask
$18.03 / $19.53
Impl. vol
46.0%
Confidence
80%

Quick view

This LEAPS contract offers solid exposure with a 0.46 delta and a highly achievable break-even price of 517.28 over the next 1.5 years.

Buy when · Buy if MSFT stock price retraces to $480.00 or if the option premium drops below $17.50.

Sell when · Sell if the option premium doubles to $37.50 or if MSFT stock falls below $450.00.

Maximum loss is the premium paid of $1,878 per contract.

METAStrong Buy

CALL · $592.50 strike · 2026-10-30

Premium
$39.03
Break-even
$631.53
Delta
0.51
Bid / Ask
$37.47 / $40.59
Impl. vol
45.6%
Confidence
80%

Quick view

Slightly longer maturity in October 2026 provides optimal exposure to recovery trends with a high 0.51 delta.

Buy when · Buy when META stock is trading below 582.00.

Sell when · Sell when META stock crosses 640.00 or the premium rises by 60%.

Maximum loss is limited to the premium paid of $3,903 per contract.

UNHStrong Buy

CALL · $404.00 strike · 2026-10-02

Premium
$8.02
Break-even
$412.02
Delta
0.42
Bid / Ask
$7.70 / $8.34
Impl. vol
23.7%
Confidence
80%

Quick view

Extremely cheap LEAP call providing high delta exposure to a long-term recovery for a low absolute premium.

Buy when · Buy if UNH stock price crosses above 397.00.

Sell when · Sell if UNH stock price falls below 380.00, or when the contract value doubles.

Maximum loss is the premium paid of $802 per contract.

JPMStrong Buy

CALL · $365.00 strike · 2026-10-02

Premium
$5.79
Break-even
$370.79
Delta
0.40
Bid / Ask
$5.56 / $6.02
Impl. vol
20.1%
Confidence
80%

Quick view

This deep-in-time LEAP call offers outstanding leverage to play JPM's long-term uptrend at an exceptionally cheap premium of $5.79. It has a high delta of 0.40, which will capture strong upside as the stock recovers.

Buy when · Buy if JPM remains above $355.00 and the option premium is under $6.00.

Sell when · Sell if the underlying stock hits $380.00 or if the option premium falls below $2.50.

Maximum loss is limited to the premium paid of $579 per contract.

UNHStrong Buy

CALL · $409.00 strike · 2026-10-30

Premium
$12.16
Break-even
$421.16
Delta
0.46
Bid / Ask
$11.67 / $12.65
Impl. vol
23.3%
Confidence
80%

Quick view

This contract offers a higher delta and additional time to late October, which aligns well with our medium-term recovery thesis.

Buy when · Buy when UNH stock price establishes a base above $400.00.

Sell when · Sell when UNH stock reaches our target of $425.00.

Maximum loss is limited to the premium paid of $1,216 per contract.

TSLAStrong Buy

CALL · $366.00 strike · 2026-09-25

Premium
$18.48
Break-even
$384.48
Delta
0.48
Bid / Ask
$17.74 / $19.22
Impl. vol
57.9%
Confidence
80%

Quick view

This contract represents an exceptionally cheap near-ATM option with a 0.48 delta, offering excellent leverage relative to its premium of 18.48.

Buy when · Buy if TSLA stock breaks above 360.00 on expanding volume.

Sell when · Sell if the option premium gains 80% or if the underlying stock falls below 335.00.

Maximum loss is $1,848 if TSLA closes at or below $366.00 at expiration.

UNHStrong Buy

CALL · $407.00 strike · 2026-10-30

Premium
$13.10
Break-even
$420.10
Delta
0.47
Bid / Ask
$12.58 / $13.62
Impl. vol
24.0%
Confidence
80%

Quick view

This contract offers a higher delta of 0.47 and more time to capture the recovery wave post-consolidation.

Buy when · Buy if UNH holds above 399.00 in the upcoming sessions.

Sell when · Sell if the premium reaches $25.00 or if UNH invalidates the trend below 385.00.

The maximum loss is limited to the premium paid of $13.10 per share ($1,310 per contract).

VStrong Buy

CALL · $373.00 strike · 2026-10-09

Premium
$8.76
Break-even
$381.76
Delta
0.44
Bid / Ask
$8.41 / $9.11
Impl. vol
20.7%
Confidence
80%

Quick view

With a high delta of 0.44 and longer duration, this is an excellent stock replacement vehicle with limited downside compared to owning 100 shares.

Buy when · Buy when V stock trades between 363.00 and 366.00, confirming support around the SMA20.

Sell when · Sell when the stock price hits 390.00 or the contract premium gains 50% to reach 13.14.

Maximum loss is $876 per contract if the stock expires below $373 on October 9, 2026.

LLYStrong Buy

CALL · $1,178.50 strike · 2026-10-30

Premium
$54.34
Break-even
$1,232.84
Delta
0.49
Bid / Ask
$52.17 / $56.51
Impl. vol
33.6%
Confidence
80%

Quick view

An excellent long-term call option with a high 0.49 delta and an extra month of duration to capture the recovery.

Buy when · LLY stock stabilizes near 1145 USD with an RSI turning upwards.

Sell when · LLY reaches 1320 USD or option premium gains 60%.

Maximum loss is the premium paid of $5,434 per contract.

COSTStrong Buy

CALL · $979.00 strike · 2026-10-23

Premium
$25.09
Break-even
$1,004.09
Delta
0.45
Bid / Ask
$24.09 / $26.09
Impl. vol
20.2%
Confidence
80%

Quick view

This contract offers the best blend of high delta and extra duration to capture the post-consolidation rally towards 1020.00.

Buy when · Buy at current market price if stock maintains levels above 955.00.

Sell when · Sell if the stock reaches 1020.00 or if the premium drops below 18.00.

Maximum loss is $2,509 per contract if the stock expires below 979.00.

AMZNStrong Buy

CALL · $264.00 strike · 2026-10-30

Premium
$16.09
Break-even
$280.09
Delta
0.50
Bid / Ask
$15.45 / $16.73
Impl. vol
43.5%
Confidence
80%

Quick view

This call option provides optimal delta exposure with additional time to expiry to capture the bullish trend recovery.

Buy when · AMZN price is between $252.00 and $256.00.

Sell when · AMZN stock price hits the target of $278.00.

The maximum loss is limited to the premium paid of $1,609 per contract.

LLYStrong Buy

CALL · $1,180.00 strike · 2026-10-30

Premium
$55.79
Break-even
$1,235.79
Delta
0.49
Bid / Ask
$53.56 / $58.02
Impl. vol
33.7%
Confidence
80%

Quick view

High delta call with extra time value extending to late October 2026, allowing maximum time for LLY to resume its primary uptrend.

Buy when · Buy when LLY stock tests the $1140.00 to $1150.00 range.

Sell when · Sell when stock price reaches $1250.00 or contract premium rises by 50%.

Maximum loss of $5,579 per contract if it expires worthless.

GOOGLStrong Buy

CALL · $351.50 strike · 2026-10-23

Premium
$19.34
Break-even
$370.84
Delta
0.50
Bid / Ask
$18.57 / $20.11
Impl. vol
38.1%
Confidence
80%

Quick view

Excellent long-term bullish play with extra duration into late October, providing a 0.50 delta to maximize recovery gains.

Buy when · Buy when GOOGL establishes a short-term bottom near 342.00.

Sell when · Sell when underlying stock reaches 370.00 or if the premium falls below 10.00.

Maximum loss is the premium paid of $1,934 per contract.

XOMStrong Buy

CALL · $159.50 strike · 2026-10-16

Premium
$4.95
Break-even
$164.45
Delta
0.46
Bid / Ask
$4.75 / $5.15
Impl. vol
25.9%
Confidence
80%

Quick view

With a high delta of 0.46 and additional time to expiry, this is the most robust vehicle to capture a long-term cyclical uptrend in energy. It provides a safer buffer against short-term volatility.

Buy when · Buy when XOM consolidates near 155.00 with RSI remaining above 50.

Sell when · Sell if XOM reaches the target of 170.00 or the premium falls below 2.50.

$495 per contract if the stock expires below $159.50.

JPMStrong Buy

CALL · $358.50 strike · 2026-10-16

Premium
$9.22
Break-even
$367.72
Delta
0.45
Bid / Ask
$8.85 / $9.59
Impl. vol
21.2%
Confidence
80%

Quick view

This October 2026 contract provides the highest delta exposure among the options, offering a safer recovery profile.

Buy when · Buy when the underlying stock drops close to the 50-day SMA of 343.94 USD.

Sell when · Sell when the stock price reaches 375.00 USD or the contract premium gains 50%.

Maximum loss is limited to the premium paid, which is 922 USD per contract.

AAPLStrong Buy

CALL · $323.00 strike · 2026-10-16

Premium
$14.64
Break-even
$337.64
Delta
0.49
Bid / Ask
$14.05 / $15.23
Impl. vol
32.9%
Confidence
80%

Quick view

This call offers a solid 0.49 delta and an extra month of expiry, providing deep exposure to AAPL's recovery with a high probability of success.

Buy when · Buy when the underlying AAPL trades between $315 and $317.

Sell when · Sell when the underlying AAPL reaches $335 or closes below $308.

Maximum loss is the premium paid of $1,464 per contract.

GOOGLStrong Buy

CALL · $353.50 strike · 2026-10-23

Premium
$18.00
Break-even
$371.50
Delta
0.49
Bid / Ask
$17.28 / $18.72
Impl. vol
37.2%
Confidence
80%

Quick view

This LEAP call offers extra duration through October 2026, giving Alphabet ample time to capitalize on AI growth and rebound from current oversold levels.

Buy when · Buy when the underlying GOOGL price is at or below 346.59.

Sell when · Sell when the stock price crosses above 375.00 or the premium gains 60%.

$1,800 per contract if the stock expires below 353.50.

LLYStrong Buy

CALL · $1,181.00 strike · 2026-10-30

Premium
$54.31
Break-even
$1,235.31
Delta
0.49
Bid / Ask
$52.14 / $56.48
Impl. vol
33.6%
Confidence
80%

Quick view

The optimal vehicle for maximum exposure, providing a 0.49 delta and additional time to ride out near-term volatility.

Buy when · Stock price drops below $1150.00.

Sell when · Stock price reaches the target of $1240.00.

Premium paid of $54.31 ($5,431 per contract).

GOOGLStrong Buy

CALL · $351.00 strike · 2026-10-16

Premium
$18.45
Break-even
$369.45
Delta
0.50
Bid / Ask
$17.71 / $19.19
Impl. vol
38.0%
Confidence
80%

Quick view

Excellent risk-reward with additional duration into late 2026, offering 0.50 delta to capture the recovery phase.

Buy when · GOOGL shares trade between $335 and $345.

Sell when · GOOGL share price exceeds $380.

Maximum loss is limited to the premium paid of $1,845 per contract.

PLTRStrong Buy

CALL · $177.00 strike · 2026-09-25

Premium
$11.64
Break-even
$188.64
Delta
0.50
Bid / Ask
$11.17 / $12.11
Impl. vol
74.6%
Confidence
80%

Quick view

This deep LEAP call option provides excellent leverage with a 0.50 delta at a strike close to current spot, minimizing time decay risk. It offers an efficient way to play the long-term secular trend in PLTR with limited downside.

Buy when · Buy when the underlying asset trades within the entry zone of 168.00 to 174.00 USD.

Sell when · Sell if the underlying PLTR stock hits the target of 200.00 USD or if the premium drops by 40% from the purchase price.

Maximum loss is limited to the premium paid, which is $1,164 per contract.

AMZNStrong Buy

CALL · $263.50 strike · 2026-10-30

Premium
$16.87
Break-even
$280.37
Delta
0.51
Bid / Ask
$16.20 / $17.54
Impl. vol
43.8%
Confidence
80%

Quick view

This contract provides extra time for the bullish recovery thesis to play out with a solid 0.51 delta.

Buy when · AMZN is trading between $252.00 and $258.00.

Sell when · AMZN stock price hits $280.00.

$1,687 per contract (premium paid).

AMZNStrong Buy

CALL · $260.50 strike · 2026-09-18

Premium
$8.77
Break-even
$269.27
Delta
0.45
Bid / Ask
$8.42 / $9.12
Impl. vol
43.1%
Confidence
80%

Quick view

With an attractive premium of 8.77, this near-the-money long-dated Call offers an excellent risk-to-reward ratio to leverage AMZN's long-term recovery. This contract is highly mispriced relative to the October expiration options.

Buy when · Buy if AMZN shares stay above 251.00 and the premium is below 9.00.

Sell when · Sell if AMZN shares hit 275.00 in the short term, or if the contract value gains 50%.

Maximum loss is limited to the premium paid of $877 per contract.

JPMStrong Buy

CALL · $364.00 strike · 2026-10-30

Premium
$9.21
Break-even
$373.21
Delta
0.45
Bid / Ask
$8.84 / $9.58
Impl. vol
20.1%
Confidence
80%

Quick view

An ideal bull LEAP option with extra duration and solid 0.45 delta to capture the long-term uptrend.

Buy when · Buy when JPM stock stabilizes around 353.00-355.00.

Sell when · Sell if JPM hits 375.00 or the premium gains 60%.

Maximum loss is the premium paid of $921 per contract.

AMZNStrong Buy

CALL · $267.00 strike · 2026-10-30

Premium
$16.78
Break-even
$283.78
Delta
0.50
Bid / Ask
$16.11 / $17.45
Impl. vol
43.5%
Confidence
80%

Quick view

This 0.50 delta call offers extra time and liquidity to participate in AMZN's eventual upward momentum.

Buy when · Buy if stock drops to 255.00 or breaks out above 265.00.

Sell when · Sell when option premium doubles or stock hits 280.00.

Maximum loss is the premium paid of $1,678 per contract.

XOMStrong Buy

CALL · $160.00 strike · 2026-10-02

Premium
$3.57
Break-even
$163.57
Delta
0.43
Bid / Ask
$3.43 / $3.71
Impl. vol
25.6%
Confidence
80%

Quick view

This near-the-money Call option is highly underpriced relative to the long expiry, providing exceptional leverage.

Buy when · Buy when XOM stock is below 156.50.

Sell when · Sell when XOM stock reaches 168.00 or option premium doubles.

The maximum loss is $357 per contract if the stock expires below $160.00.

COSTStrong Buy

CALL · $979.00 strike · 2026-10-16

Premium
$23.29
Break-even
$1,002.29
Delta
0.44
Bid / Ask
$22.36 / $24.22
Impl. vol
20.4%
Confidence
80%

Quick view

With an extra month of expiry and a higher delta of 0.44, this contract offers the best balance of time value and price sensitivity.

Buy when · Buy when the stock price sustains above $960.00.

Sell when · Sell if stock breaks below $935.00 or the contract premium reaches $40.00.

$2,329 maximum loss per contract at expiration.

LLYStrong Buy

CALL · $1,198.00 strike · 2026-10-30

Premium
$57.04
Break-even
$1,255.04
Delta
0.49
Bid / Ask
$54.76 / $59.32
Impl. vol
33.6%
Confidence
80%

Quick view

Provides excellent long-term exposure with a near 0.50 delta, benefiting from LLY's dominant position in the GLP-1 market.

Buy when · Buy if the underlying stock price consolidates around 1170.00.

Sell when · Sell to close when the option premium increases by 40% from purchase price.

The maximum loss is the premium paid of $5,704 per contract.

NVDAStrong Buy

CALL · $219.00 strike · 2026-09-11

Premium
$6.55
Break-even
$225.55
Delta
0.45
Bid / Ask
$6.29 / $6.81
Impl. vol
40.1%
Confidence
80%

Quick view

This long-dated ITM call option provides strong leverage and an attractive 0.45 delta to capture NVDA's secular growth. The low premium relative to its far-out expiry offers a high risk-to-reward ratio.

Buy when · Buy when the underlying stock stabilizes near the 20-day SMA of $213.18.

Sell when · Sell when the contract premium doubles to $13.10 or the underlying stock breaks below $195.00.

Maximum loss is the premium paid of $655.00 per contract.

GOOGLStrong Buy

CALL · $356.50 strike · 2026-10-23

Premium
$19.64
Break-even
$376.14
Delta
0.50
Bid / Ask
$18.85 / $20.43
Impl. vol
38.2%
Confidence
80%

Quick view

High-delta LEAP option offering significant leverage to play the oversold reversal with extra time value into October 2026.

Buy when · Underlying price trades near 349.00 with RSI turning upward.

Sell when · Underlying reaches 390.00 or the contract premium appreciates by 60%.

Maximum loss is $1,964 per contract if stock expires below $356.50.

XOMStrong Buy

CALL · $167.50 strike · 2026-10-23

Premium
$5.29
Break-even
$172.79
Delta
0.46
Bid / Ask
$5.08 / $5.50
Impl. vol
26.2%
Confidence
80%

Quick view

With a delta of 0.46 and extra time, this is the safest long-term bullish bet among the options. It allows ample time for XOM to clear its previous high and push toward $180.

Buy when · XOM trades between $160.00 and $163.50.

Sell when · XOM stock price breaks above $175.00 or the contract premium gains 60%.

Maximum loss is the premium of $5.29 ($529 per contract) if the stock is below $167.50 at expiry.

GOOGLStrong Buy

CALL · $352.00 strike · 2026-09-18

Premium
$12.04
Break-even
$364.04
Delta
0.46
Bid / Ask
$11.56 / $12.52
Impl. vol
38.1%
Confidence
80%

Quick view

Long-dated call offers high delta exposure near current stock price to capture the multi-month rebound.

Buy when · GOOGL stock is trading between $335.00 and $346.00.

Sell when · Stock price rises above $370.00 or contract premium reaches $20.00.

$1,204 per contract if held to expiry.

VStrong Buy

CALL · $389.00 strike · 2026-10-16

Premium
$9.21
Break-even
$398.21
Delta
0.44
Bid / Ask
$8.84 / $9.58
Impl. vol
20.7%
Confidence
80%

Quick view

This option offers the strongest risk-reward profile with a high 0.44 delta and extended expiration. It provides substantial exposure to a sustained move above the current 52-week high.

Buy when · Buy if Visa pulls back slightly to trade between $375.00 and $379.00.

Sell when · Sell if the stock trades below $358.00 or the option achieves a 50% gain.

Maximum loss is limited to the premium paid of $921 per contract.

AMZNStrong Buy

CALL · $270.50 strike · 2026-10-23

Premium
$16.44
Break-even
$286.94
Delta
0.50
Bid / Ask
$15.78 / $17.10
Impl. vol
43.3%
Confidence
80%

Quick view

Offers deep long-term recovery potential with an extra month of duration, capturing maximum delta benefit.

Buy when · Underlying stock stabilizes near the current price of $265.41.

Sell when · Underlying stock targets $284.00 or premium reaches $25.00.

$1,644 per contract if AMZN expires below $270.50.

VStrong Buy

CALL · $387.50 strike · 2026-10-16

Premium
$9.22
Break-even
$396.72
Delta
0.44
Bid / Ask
$8.85 / $9.59
Impl. vol
21.1%
Confidence
80%

Quick view

This option offers the highest delta at 0.44 and the longest duration among the set, capturing the long-term upward momentum of V with a higher probability of profit.

Buy when · Buy if the underlying stock dips to $377.00 or the premium is near $9.20.

Sell when · Sell if the stock reaches $405.00 or the premium drops below $5.00.

The maximum loss is limited to the premium paid of $922 per contract.

CRMStrong Buy

CALL · $211.00 strike · 2026-09-11

Premium
$8.84
Break-even
$219.84
Delta
0.47
Bid / Ask
$8.49 / $9.19
Impl. vol
51.4%
Confidence
80%

Quick view

This contract offers a solid 0.47 delta at a reasonable premium, providing excellent leveraged exposure to CRM's long-term upside with over two years of expiry.

Buy when · Buy when the underlying stock price is between 201.00 and 205.00 USD and the premium is below 9.00 USD.

Sell when · Sell when the underlying stock reaches 225.00 USD or the option value gains 50%.

Maximum loss is limited to the premium paid of $884 per contract.

JPMStrong Buy

CALL · $363.00 strike · 2026-10-23

Premium
$9.61
Break-even
$372.61
Delta
0.45
Bid / Ask
$9.23 / $9.99
Impl. vol
21.0%
Confidence
80%

Quick view

High-quality call option with 0.45 delta. This contract maximizes capture of JPM's long-term earnings growth into late 2026.

Buy when · Buy when the underlying stock is between 350.00 and 356.00.

Sell when · Sell when JPM rises to 380.00 or the option premium increases by 40%.

Maximum loss is limited to the premium paid of $961 per contract.

BACStrong Buy

CALL · $65.00 strike · 2026-09-11

Premium
$0.78
Break-even
$65.78
Delta
0.38
Bid / Ask
$0.75 / $0.81
Impl. vol
18.8%
Confidence
80%

Quick view

This option offers cheap leveraged exposure to capture the breakout past $65 with relatively low premium risk and a solid delta of 0.38.

Buy when · Buy when the BAC stock price trades between $63.00 and $63.83.

Sell when · Sell when the BAC stock price reaches $68.00 or the contract premium doubles.

Maximum loss is $78 per contract if BAC expires below $65.00.

GOOGLStrong Buy

CALL · $355.00 strike · 2026-09-25

Premium
$11.75
Break-even
$366.75
Delta
0.46
Bid / Ask
$11.28 / $12.22
Impl. vol
37.3%
Confidence
80%

Quick view

This LEAP option offers an attractive delta of 0.46 to capture long-term upside with a reasonable break-even level.

Buy when · Buy if the underlying stock stabilizes above 345.00 and the contract premium is under 12.00.

Sell when · Sell when the underlying stock reaches 385.00 or falls below 328.00.

Maximum loss is limited to the premium paid of $1,175 per contract.

LLYStrong Buy

CALL · $1,183.00 strike · 2026-10-30

Premium
$53.85
Break-even
$1,236.85
Delta
0.49
Bid / Ask
$51.70 / $56.00
Impl. vol
33.6%
Confidence
80%

Quick view

Highly attractive near-the-money LEAP call option providing ample time for LLY to surpass its previous highs.

Buy when · Buy when stock price trades between 1140 and 1160.

Sell when · Sell when stock climbs to 1300 or if it drops below 1060.

$5,385 per contract (premium paid).

LLYStrong Buy

CALL · $1,183.50 strike · 2026-10-30

Premium
$54.43
Break-even
$1,237.93
Delta
0.49
Bid / Ask
$52.25 / $56.61
Impl. vol
33.6%
Confidence
80%

Quick view

Deep long-term call with slightly longer duration, capturing key earnings cycles through late 2026.

Buy when · Buy when LLY stock dips to near 1140.00-1150.00 range.

Sell when · Sell when LLY stock target of 1280.00 is achieved or contract premium appreciates by 80%.

Maximum loss is the premium paid of $54.43 per share ($5,443 total).

XOMStrong Buy

CALL · $164.00 strike · 2026-09-18

Premium
$2.98
Break-even
$166.98
Delta
0.41
Bid / Ask
$2.86 / $3.10
Impl. vol
25.5%
Confidence
80%

Quick view

At a premium of $2.98, this 2026 LEAP option offers high leverage and a 0.41 delta for a strike close to the current price.

Buy when · Buy when the underlying stock is between $159.00 and $161.50 and the option premium is below $3.10.

Sell when · Sell when the option premium reaches $6.00 or the underlying stock falls below $154.00.

Maximum loss is limited to the premium paid of $298 per contract if the stock expires below $164.00.

BACStrong Buy

CALL · $63.00 strike · 2026-10-16

Premium
$1.43
Break-even
$64.43
Delta
0.44
Bid / Ask
$1.37 / $1.49
Impl. vol
19.1%
Confidence
78%

Quick view

This contract offers an optimal mix of a higher 0.44 delta and an extra month of duration to capture the recovery.

Buy when · Buy when the stock price is between $60.50 and $61.50.

Sell when · Sell when BAC reaches $66.00 or if the option premium gains 80%.

The maximum loss is limited to the premium paid of $143 per contract.

BACStrong Buy

CALL · $64.50 strike · 2026-10-30

Premium
$1.33
Break-even
$65.83
Delta
0.42
Bid / Ask
$1.28 / $1.38
Impl. vol
18.1%
Confidence
78%

Quick view

A longer-dated, slightly more expensive call option with a high delta (0.42) that will capture significant upside as BAC moves towards its 66.50 target.

Buy when · Buy when the stock confirms support and bounces off 63.00.

Sell when · Sell when BAC hits our target price of 66.50.

Maximum loss is $133 per contract if BAC is below 64.50 at expiration.

VStrong Buy

CALL · $392.00 strike · 2026-10-16

Premium
$9.85
Break-even
$401.85
Delta
0.45
Bid / Ask
$9.46 / $10.24
Impl. vol
21.5%
Confidence
78%

Quick view

With a 0.45 delta and extra duration, this contract provides strong exposure to Visa's growth while mitigating near-term time decay.

Buy when · Underlying stock trades above 382.00 or pulls back slightly to 378.00.

Sell when · Underlying stock reaches 410.00 or contract premium doubles.

Maximum loss is the premium paid of $9.85 per share, totaling $985 per contract.

NVDAStrong Buy

CALL · $222.50 strike · 2026-10-30

Premium
$12.92
Break-even
$235.42
Delta
0.50
Bid / Ask
$12.40 / $13.44
Impl. vol
40.9%
Confidence
78%

Quick view

With a solid 0.50 delta, this contract offers excellent sensitivity and leverage to a rebound from the current neutral RSI levels.

Buy when · Buy when NVDA is trading between $212.00 and $216.00.

Sell when · Sell when the underlying NVDA stock reaches $235.00 or contract premium gains 50%.

$1,292 maximum loss per contract if held to expiration.

GOOGLStrong Buy

CALL · $350.00 strike · 2026-10-09

Premium
$17.42
Break-even
$367.42
Delta
0.49
Bid / Ask
$16.72 / $18.12
Impl. vol
38.1%
Confidence
78%

Quick view

With a high delta of 0.49 and extra time to expiry in October 2026, this contract offers the highest probability of success. It effectively mimics holding the stock with limited down-side exposure.

Buy when · Underlying stock price trades between $335.00 and $343.50.

Sell when · Underlying stock price reaches $400.00 or the option premium gains 60%.

$1,742 maximum loss per contract if the stock expires below $350.00.

BACStrong Buy

CALL · $64.00 strike · 2026-10-30

Premium
$1.37
Break-even
$65.37
Delta
0.43
Bid / Ask
$1.32 / $1.42
Impl. vol
18.3%
Confidence
78%

Quick view

Offers slightly more time value than the early October expiry to capture the bullish reversal and breakout above 64.

Buy when · BAC trades between 61.50 and 62.50.

Sell when · BAC underlying reaches 66.00 or premium gains 60%.

$137 per contract if the stock expires below the $64.00 strike price.

VStrong Buy

CALL · $378.00 strike · 2026-10-09

Premium
$8.95
Break-even
$386.95
Delta
0.44
Bid / Ask
$8.59 / $9.31
Impl. vol
20.8%
Confidence
78%

Quick view

With an extra month of duration and a solid 0.44 delta, this contract provides excellent exposure to Visa's steady upward grind.

Buy when · Buy if Visa is above 367.00 and the option premium is below 9.00.

Sell when · Sell if Visa breaks below 350.00 or the premium reaches 16.00.

Maximum loss is the premium paid of $895 per contract.

LLYStrong Buy

CALL · $1,193.00 strike · 2026-10-23

Premium
$56.33
Break-even
$1,249.33
Delta
0.49
Bid / Ask
$54.08 / $58.58
Impl. vol
34.7%
Confidence
78%

Quick view

This contract offers an attractive 0.49 delta with extra time value, giving LLY ample runway to recover and target $1250.

Buy when · Buy when LLY shows sign of stabilization above $1165.

Sell when · Sell to close when the underlying price touches the target of $1250 or drops below $1110.

Maximum loss is $5,633 per contract if the stock expires below $1193.

XOMStrong Buy

CALL · $159.50 strike · 2026-10-23

Premium
$5.30
Break-even
$164.80
Delta
0.47
Bid / Ask
$5.09 / $5.51
Impl. vol
25.6%
Confidence
78%

Quick view

Provides exposure to XOM's upside past the October 2026 expiry, offering solid delta and ample time for the stock to appreciate.

Buy when · Buy when XOM trades between 154.00 and 156.50.

Sell when · Sell if XOM reaches 172.00 or if the stock closes below 145.00.

Maximum loss is limited to the premium paid of $530 per contract.

XOMStrong Buy

CALL · $159.00 strike · 2026-10-23

Premium
$5.28
Break-even
$164.28
Delta
0.47
Bid / Ask
$5.07 / $5.49
Impl. vol
25.6%
Confidence
78%

Quick view

An attractive call option with a high delta of 0.47 and ample time for the bullish thesis to play out as XOM rebounds from support.

Buy when · Buy when the stock price stabilizes near 153.00.

Sell when · Sell when the stock price targets 168.00 or the option premium doubles.

Maximum loss is the premium of $528 per contract if the stock expires below $159.

CVXStrong Buy

CALL · $203.00 strike · 2026-09-18

Premium
$3.37
Break-even
$206.37
Delta
0.40
Bid / Ask
$3.24 / $3.50
Impl. vol
25.2%
Confidence
75%

Quick view

This LEAP call offers cheap exposure to long-term upside with a reasonable 0.4 delta, ideal for capturing CVX's broad uptrend on a discount.

Buy when · Buy when the stock price pulls back to $196.50.

Sell when · Sell when the option premium doubles or if the stock drops below the 200-day SMA.

Maximum loss is $337 per contract if the stock expires below $203.00.

AMDStrong Buy

CALL · $477.50 strike · 2026-10-16

Premium
$53.65
Break-even
$531.15
Delta
0.54
Bid / Ask
$51.50 / $55.80
Impl. vol
77.1%
Confidence
75%

Quick view

An extremely long-dated call option providing maximum time for AMD's AI chip market share expansion to materialize.

Buy when · Buy when the entry price of AMD stock is between $440 and $465.

Sell when · Sell when the stock price crosses above $530.

Maximum loss is the premium paid of $5,365 per contract.

AAPLStrong Buy

CALL · $317.50 strike · 2026-10-16

Premium
$14.23
Break-even
$331.73
Delta
0.49
Bid / Ask
$13.66 / $14.80
Impl. vol
33.1%
Confidence
75%

Quick view

This LEAP call with almost 0.50 delta gives ample time for Apple to break out of current consolidation and head towards new highs.

Buy when · AAPL tests the 50-day SMA of 309.85 and holds successfully.

Sell when · Stock hits the 340.00 target or the option premium doubles.

Maximum loss is the premium paid of 1423.00 USD per contract.

MSFTStrong Buy

CALL · $504.00 strike · 2026-10-16

Premium
$29.33
Break-even
$533.33
Delta
0.50
Bid / Ask
$28.16 / $30.50
Impl. vol
44.0%
Confidence
75%

Quick view

With a 0.50 delta and extra time to expiry in October 2026, this contract offers the best balance of directional exposure and decay protection.

Buy when · Buy when MSFT tests the SMA20 support at 488.10 and premium is under 30.00.

Sell when · Sell if MSFT reaches the stock target of 535.00 or contract premium falls below 20.00.

Maximum loss is $2,933 per contract if MSFT expires below $504.00.

UNHStrong Buy

CALL · $412.50 strike · 2026-10-30

Premium
$12.41
Break-even
$424.91
Delta
0.46
Bid / Ask
$11.91 / $12.91
Impl. vol
23.4%
Confidence
75%

Quick view

Excellent liquidity and delta exposure for a longer-term trade, benefiting from the bullish MACD crossover.

Buy when · UNH stock price is below 405.00.

Sell when · UNH stock price reaches 430.00.

Maximum loss is limited to the premium paid of $1,241 per contract.

UNHStrong Buy

CALL · $409.50 strike · 2026-10-23

Premium
$13.80
Break-even
$423.30
Delta
0.47
Bid / Ask
$13.25 / $14.35
Impl. vol
25.4%
Confidence
75%

Quick view

Slightly longer-dated call with a 47% delta that offers an attractive risk-reward profile for capturing the broader structural uptrend.

Buy when · Buy when UNH stock price recovers above 401.50.

Sell when · Sell when the contract premium reaches 22.00 or the underlying stock breaks below 385.00.

The maximum loss is the premium paid of $13.80 per share ($1,380 per contract).

COSTStrong Buy

CALL · $987.00 strike · 2026-10-16

Premium
$25.87
Break-even
$1,012.87
Delta
0.45
Bid / Ask
$24.84 / $26.90
Impl. vol
21.6%
Confidence
75%

Quick view

This contract provides an extra month of duration compared to the September expiry, yielding a higher delta of 0.45 for a safer long-term bullish bet.

Buy when · COST stock trades above 960.00 USD on a daily close.

Sell when · The option premium gains 40% or stock falls below 930.00 USD.

Maximum loss is limited to the premium paid of $2,587 per contract.

AMDStrong Buy

CALL · $486.00 strike · 2026-10-23

Premium
$54.91
Break-even
$540.91
Delta
0.54
Bid / Ask
$52.71 / $57.11
Impl. vol
77.4%
Confidence
75%

Quick view

An ultra-long call contract with a 0.54 delta, allowing ample time to ride out short-term volatility and capture multi-quarter AI growth.

Buy when · Buy if AMD shares trade between $470.00 and $480.00.

Sell when · Sell to close if AMD reaches $580.00 or if the premium appreciates by 80%.

Maximum loss is the premium paid of $5,491 per contract.

AMDStrong Buy

CALL · $482.50 strike · 2026-09-18

Premium
$36.76
Break-even
$519.26
Delta
0.51
Bid / Ask
$35.29 / $38.23
Impl. vol
77.1%
Confidence
75%

Quick view

Long-term bullish play capitalizing on AMD's secular growth; the 2026 expiry provides ample time for the stock to surpass the strike price.

Buy when · Buy if AMD stock trades near or below 473 USD and the option premium is under 37.00 USD.

Sell when · Sell when AMD stock reaches the target of 550 USD or if the option loses 50% of its value.

Maximum loss is limited to the premium paid of 3,676 USD per contract.

AMDStrong Buy

CALL · $482.50 strike · 2026-10-16

Premium
$54.11
Break-even
$536.61
Delta
0.54
Bid / Ask
$51.95 / $56.27
Impl. vol
77.1%
Confidence
75%

Quick view

Slightly longer maturity call with high delta, providing excellent exposure to AMD's long-term upside with robust time cushion.

Buy when · Buy if AMD shares consolidate near 470 USD and premium is under 55.00 USD.

Sell when · Sell when AMD shares exceed 560 USD or to cut losses if stock falls below 420 USD.

Maximum loss is limited to the premium paid of 5,411 USD per contract.

CVXStrong Buy

CALL · $202.00 strike · 2026-09-18

Premium
$3.44
Break-even
$205.44
Delta
0.40
Bid / Ask
$3.30 / $3.58
Impl. vol
25.3%
Confidence
75%

Quick view

This long-dated call option offers highly leveraged upside exposure at an exceptionally low premium relative to its 0.40 delta.

Buy when · CVX share price consolidates near $195.00.

Sell when · Option premium reaches $10.00 or underlying stock drops below $185.00.

$344 maximum loss per contract if expired worthless.

HOODStrong Buy

CALL · $101.00 strike · 2026-10-16

Premium
$10.78
Break-even
$111.78
Delta
0.54
Bid / Ask
$10.35 / $11.21
Impl. vol
71.7%
Confidence
75%

Quick view

Long-dated call option with high delta (0.54) that captures the bullish MACD shift with an extra month of duration.

Buy when · Buy when HOOD closes above $100.

Sell when · Sell when HOOD reaches $120 or contract loses 35% of its value.

Maximum loss is $1,078 per contract if HOOD remains below $101 at expiry.

COSTBuy

CALL · $981.00 strike · 2026-10-16

Premium
$23.43
Break-even
$1,004.43
Delta
0.44
Bid / Ask
$22.49 / $24.37
Impl. vol
20.3%
Confidence
85%

Quick view

This contract offers a solid 0.44 delta and further out expiry, providing excellent exposure to the stock's long-term upside with robust time buffer.

Buy when · Buy if the underlying stock consolidates near 960.00 or the contract premium falls to 21.50.

Sell when · Sell when the contract premium reaches 40.00 or the stock reaches the 1030.00 target.

Maximum loss is capped at the premium paid of $2,343 per contract.

JPMBuy

CALL · $358.50 strike · 2026-10-09

Premium
$8.67
Break-even
$367.17
Delta
0.44
Bid / Ask
$8.32 / $9.02
Impl. vol
21.2%
Confidence
85%

Quick view

An attractive LEAP contract with a strong delta of 0.44 and an extra month of duration to capture long-term upside.

Buy when · Buy if the underlying stock drops below $350.00.

Sell when · Sell if the premium reaches $15.00 or if JPM breaks key support at $338.00.

$867 maximum loss per contract if the stock expires below $358.50.

JPMBuy

CALL · $363.50 strike · 2026-10-16

Premium
$8.89
Break-even
$372.39
Delta
0.45
Bid / Ask
$8.53 / $9.25
Impl. vol
21.0%
Confidence
85%

Quick view

With a strong delta of 0.45 and further expiry, this contract offers the best balance of risk and potential reward to capture JPM's upward trajectory.

Buy when · Buy when JPM stock price is between 350.00 and 356.50.

Sell when · Sell when the stock price reaches 390.00 or breaks support at 338.00.

The maximum loss is the premium paid of $8.89 per share ($889.00 total per contract).

NVDABuy

CALL · $213.50 strike · 2026-10-16

Premium
$11.61
Break-even
$225.11
Delta
0.50
Bid / Ask
$11.15 / $12.07
Impl. vol
40.4%
Confidence
85%

Quick view

Featuring a strong 0.50 delta, this contract represents the optimal balance of immediate price sensitivity and extended duration.

Buy when · Buy when NVDA finds support at the 50-day SMA of $207.67 and the contract premium is near $11.60.

Sell when · Sell when the underlying stock reaches $228.00 or if the premium drops by 35% from the entry level.

The maximum loss is limited to the premium paid, which is $1,161.00 per contract.

LLYBuy

CALL · $1,274.50 strike · 2026-10-16

Premium
$56.25
Break-even
$1,330.75
Delta
0.48
Bid / Ask
$54.00 / $58.50
Impl. vol
34.1%
Confidence
85%

Quick view

With an extra month of duration and a higher delta of 0.48, this contract provides the best risk-adjusted path to capture LLY's continuation trend.

Buy when · Buy when LLY consolidates near the 1230.00 level.

Sell when · Sell when LLY stock reaches 1360.00 or if the option loses 40% of its purchase value.

The maximum loss is limited to the premium paid of $5,625 per contract.

XOMBuy

CALL · $166.00 strike · 2026-10-23

Premium
$5.29
Break-even
$171.29
Delta
0.47
Bid / Ask
$5.08 / $5.50
Impl. vol
25.9%
Confidence
85%

Quick view

With a delta close to 0.47 and extra time value, this contract offers solid exposure to the upside while offering a buffer against short-term volatility.

Buy when · Buy when XOM share price trades above 162.00, confirming the bounce off the SMA20.

Sell when · Sell if the contract premium reaches 9.00 or if the underlying trend breaks below the 50-day SMA.

Maximum loss is the premium paid of $529 per contract.

JPMBuy

CALL · $363.00 strike · 2026-10-16

Premium
$9.05
Break-even
$372.05
Delta
0.44
Bid / Ask
$8.69 / $9.41
Impl. vol
21.2%
Confidence
85%

Quick view

This contract provides an optimal balance of duration and a high delta of 0.44 to efficiently capitalize on a medium-term upward trend.

Buy when · Buy when JPM stock stabilizes around $350.00.

Sell when · Sell when the premium reaches $18.00 or the stock breaks below $338.00.

Maximum loss is the premium paid of $905 per contract.

XOMBuy

CALL · $170.50 strike · 2026-10-09

Premium
$5.39
Break-even
$175.89
Delta
0.46
Bid / Ask
$5.17 / $5.61
Impl. vol
26.1%
Confidence
83%

Quick view

With a delta of 0.46 and October 2026 expiry, this option offers excellent exposure to XOM's upside with a buffer of extra time.

Buy when · XOM stock price retreats to $163.00.

Sell when · XOM stock price rises to $178.00 or the contract loses 40% of its purchase value.

Maximum loss is limited to the premium paid of $539 per contract.

LLYBuy

CALL · $1,263.50 strike · 2026-10-16

Premium
$57.37
Break-even
$1,320.87
Delta
0.48
Bid / Ask
$55.08 / $59.66
Impl. vol
34.5%
Confidence
83%

Quick view

An optimal choice offering a high 0.48 delta and extra duration into late 2026, shielding the position from near-term market fluctuations.

Buy when · Buy when the underlying stock price trades between 1220.00 and 1240.00.

Sell when · Sell when the underlying stock climbs above 1330.00 or the premium achieves a 40% gain.

The maximum loss is limited to the premium paid, which is $5,737 per contract.

MSFTBuy

CALL · $521.50 strike · 2026-10-23

Premium
$28.88
Break-even
$550.38
Delta
0.50
Bid / Ask
$27.72 / $30.04
Impl. vol
42.5%
Confidence
82%

Quick view

With a 0.50 delta, this contract will track the underlying stock's gains closely while protecting against short-term decay due to its extensive expiry.

Buy when · Buy when the stock trades near the current level of 511.46 USD.

Sell when · Sell if the stock reaches the 540.00 USD target or if the option premium gains 40% to reach 40.40 USD.

Maximum loss is limited to the premium paid of 2,888.00 USD per contract.

NVDABuy

CALL · $224.50 strike · 2026-10-09

Premium
$11.81
Break-even
$236.31
Delta
0.49
Bid / Ask
$11.34 / $12.28
Impl. vol
40.1%
Confidence
82%

Quick view

With an expiry in late 2026 and a near-0.50 delta, this contract provides deep liquidity and significant runway to withstand temporary consolidation.

Buy when · Underlying NVDA stock pulls back to $215.00 or lower.

Sell when · Underlying NVDA stock reaches $250.00 or the option premium increases by 40%.

The maximum loss is limited to the premium paid of $1,181.00 per contract.

CRMBuy

CALL · $263.50 strike · 2026-10-16

Premium
$21.04
Break-even
$284.54
Delta
0.52
Bid / Ask
$20.20 / $21.88
Impl. vol
59.7%
Confidence
82%

Quick view

This contract provides an extra month of duration over the September expiry and a stronger 0.52 delta, making it highly resilient to short-term pullbacks.

Buy when · Buy when CRM stock drops to $250.00, targeting an estimated premium of $18.00.

Sell when · Sell when the underlying stock hits $285.00 or if the premium appreciates by 50%.

Maximum loss is limited to the premium paid, which is $2,104 per contract.

LLYBuy

CALL · $1,296.00 strike · 2026-09-11

Premium
$33.49
Break-even
$1,329.49
Delta
0.44
Bid / Ask
$32.15 / $34.83
Impl. vol
35.4%
Confidence
82%

Quick view

This LEAP contract offers an attractive 0.44 delta and ample runway for the stock to surpass the strike price. The long-term horizon mitigates short-term volatility and decay.

Buy when · Buy if the option premium pulls back below $30.00 during an underlying market consolidation.

Sell when · Sell if the contract premium doubles to $66.00 or if the underlying stock falls below $1,150.

Maximum loss is limited to the premium paid of $3,349 per contract.

PLTRBuy

CALL · $181.00 strike · 2026-10-16

Premium
$18.88
Break-even
$199.88
Delta
0.54
Bid / Ask
$18.12 / $19.64
Impl. vol
76.2%
Confidence
82%

Quick view

Provides additional duration into October 2026 and a solid delta of 0.54, helping to buffer against near-term volatility.

Buy when · Buy if the stock price drops below 174.00 USD, lowering the premium close to 17.00 USD.

Sell when · Sell if the contract premium reaches 35.00 USD or the stock drops below 150.00 USD.

Maximum loss is limited to the premium paid, which is 1,888 USD per contract.

AAPLBuy

CALL · $320.50 strike · 2026-10-23

Premium
$13.61
Break-even
$334.11
Delta
0.48
Bid / Ask
$13.07 / $14.15
Impl. vol
32.6%
Confidence
82%

Quick view

Provides superior delta exposure of 0.48 and an extra month of duration to cushion against short-term volatility.

Buy when · Buy if AAPL trades between 310.00 and 314.50 with RSI under 65.

Sell when · Sell when the underlying stock price hits 336.00 or if the premium loses 35%.

Maximum loss is the premium paid of $13.61 per share ($1361 per contract).

MSFTBuy

CALL · $524.00 strike · 2026-10-23

Premium
$29.17
Break-even
$553.17
Delta
0.50
Bid / Ask
$28.00 / $30.34
Impl. vol
42.6%
Confidence
82%

Quick view

This contract offers a solid 0.50 delta and an extra month of duration compared to the September contract, making it a highly resilient long-term bullish bet.

Buy when · MSFT trades between 500.00 and 514.00 during the current minor consolidation phase.

Sell when · Option premium reaches 45.00 or underlying touches 560.00.

$2,917 per contract.

METABuy

CALL · $626.50 strike · 2026-10-23

Premium
$38.23
Break-even
$664.73
Delta
0.50
Bid / Ask
$36.70 / $39.76
Impl. vol
46.4%
Confidence
82%

Quick view

At-the-money long-term call with a solid 0.5 delta, capturing 50% of stock gains with plenty of time value.

Buy when · Buy when META moves above 614.45 USD with an RSI rising above 60.

Sell when · Sell if the premium appreciates to 55.00 USD or the stock drops below 588.00 USD.

$3,823 maximum loss per contract if the stock closes below $626.50 at expiry.

JPMBuy

CALL · $365.00 strike · 2026-10-16

Premium
$8.58
Break-even
$373.58
Delta
0.44
Bid / Ask
$8.24 / $8.92
Impl. vol
21.0%
Confidence
82%

Quick view

An attractive call option with a high delta of 0.44 and an extra month of expiry, ideal for capturing JPM's next major leg up.

Buy when · Buy when the underlying stock stabilizes near $355.00 or breaks past $358.50.

Sell when · Sell if the option premium gains 50% to $12.87 or if JPM breaks long-term support at $340.00.

Maximum loss is the premium paid of $858 per contract.

GOOGLBuy

CALL · $349.00 strike · 2026-10-16

Premium
$18.28
Break-even
$367.28
Delta
0.49
Bid / Ask
$17.55 / $19.01
Impl. vol
38.0%
Confidence
82%

Quick view

This longer-dated October 2026 call provides structural protection against short-term tech sector weakness while capturing eventual rebound.

Buy when · Buy if stock price is below 343.00.

Sell when · Sell if stock price reaches 380.00.

Maximum loss is limited to the premium paid of $1,828 per contract.

JPMBuy

CALL · $367.00 strike · 2026-10-09

Premium
$9.24
Break-even
$376.24
Delta
0.45
Bid / Ask
$8.87 / $9.61
Impl. vol
21.4%
Confidence
82%

Quick view

A higher delta of 0.45 and an extra month of expiry relative to the Sept 2026 contract offers a higher probability of profit as JPM continues its upward trajectory.

Buy when · Buy if JPM price falls to the $355-$358 entry zone and the premium is below $9.00.

Sell when · Sell if the stock reaches $385.00 or the premium rises by 50%.

Maximum loss is the premium paid of $924 per contract.

MSFTBuy

CALL · $499.50 strike · 2026-10-16

Premium
$29.63
Break-even
$529.13
Delta
0.50
Bid / Ask
$28.44 / $30.82
Impl. vol
44.2%
Confidence
82%

Quick view

With a 0.50 delta and an extra month of expiry relative to September, this option offers robust balanced protection against short-term consolidation.

Buy when · Underlying MSFT stock pulls back to test the $480.00 to $483.00 level.

Sell when · Underlying MSFT stock price reaches $535.00 or the premium appreciates by 40%.

The maximum loss is limited to the premium paid of $2,963.00 per contract.

NVDABuy

CALL · $220.00 strike · 2026-10-09

Premium
$11.31
Break-even
$231.31
Delta
0.49
Bid / Ask
$10.86 / $11.76
Impl. vol
40.1%
Confidence
82%

Quick view

An excellent near-ATM LEAP with a solid 0.49 delta and a longer expiration into October 2026, shielding the position from short-term fluctuations.

Buy when · Buy if NVDA holds above 215.00 and the option premium stays near 11.30 USD.

Sell when · Sell if the stock reaches 235.00 or if the premium rises to 20.00 USD.

The maximum loss is limited to the premium paid, which is $1,131.00 per contract.

AAPLBuy

CALL · $321.00 strike · 2026-10-09

Premium
$13.28
Break-even
$334.28
Delta
0.48
Bid / Ask
$12.75 / $13.81
Impl. vol
32.9%
Confidence
82%

Quick view

This contract provides an extra month of duration to the 321 strike with a higher delta of 0.48, making it a highly robust long-term trade structure.

Buy when · Buy on minor stock pullbacks near the 310.00 level.

Sell when · Sell if the target price of 335.00 is achieved or the stock breaks key support at 298.00.

The maximum loss is limited to the premium paid of $1328 per contract.

CVXBuy

CALL · $212.50 strike · 2026-10-23

Premium
$6.69
Break-even
$219.19
Delta
0.46
Bid / Ask
$6.42 / $6.96
Impl. vol
25.5%
Confidence
82%

Quick view

An extra month of expiration provides a safety buffer for the stock to recover from any short-term pullback. The 0.46 delta offers strong participation in the stock's eventual upside.

Buy when · Buy if CVX stock drops to $201.00 or the premium falls below $5.80.

Sell when · Sell when the premium reaches $11.00 or if the underlying stock breaches $188.00.

Maximum loss is limited to the premium paid of $6.69 per share ($669 per contract).

LLYBuy

CALL · $1,273.50 strike · 2026-10-16

Premium
$57.40
Break-even
$1,330.90
Delta
0.48
Bid / Ask
$55.10 / $59.70
Impl. vol
34.4%
Confidence
82%

Quick view

Offers the highest delta in this set at 0.48 and provides the longest duration, maximizing the probability of reaching the break-even level.

Buy when · The stock price pulls back to the entry zone between 1210.00 USD and 1230.00 USD.

Sell when · The underlying stock price reaches 1380.00 USD or the contract premium gains 50%.

Maximum loss is the premium paid of $5,740.00 per contract.

MSFTBuy

CALL · $499.00 strike · 2026-10-16

Premium
$29.59
Break-even
$528.59
Delta
0.50
Bid / Ask
$28.41 / $30.77
Impl. vol
44.2%
Confidence
82%

Quick view

Offers slightly more time value than the September expiration with a solid 0.50 delta. It serves as a highly robust vehicle for long-term growth exposure.

Buy when · Buy when the premium drops to 28.00 USD.

Sell when · Sell when the underlying stock reaches 540.00 USD.

Maximum loss is limited to the premium paid of $2,959.00 per contract.

CVXBuy

CALL · $213.00 strike · 2026-10-23

Premium
$6.78
Break-even
$219.78
Delta
0.46
Bid / Ask
$6.51 / $7.05
Impl. vol
25.5%
Confidence
82%

Quick view

Provides a slightly higher delta and an extra month of duration compared to the September contract, offering a robust bullish position.

Buy when · Buy if the stock pulls back to 201.00 USD or the option premium drops to 5.80 USD.

Sell when · Sell when CVX reaches 220.00 USD or the option premium reaches 11.50 USD.

The maximum loss is the premium paid of $678 per contract.

AMZNBuy

CALL · $265.50 strike · 2026-10-16

Premium
$14.94
Break-even
$280.44
Delta
0.50
Bid / Ask
$14.34 / $15.54
Impl. vol
43.1%
Confidence
82%

Quick view

Offering a 0.50 delta and additional time value into October 2026, this contract provides the strongest risk-adjusted exposure among options analyzed.

Buy when · Buy when the underlying stock price is below $261.00.

Sell when · Sell when the underlying stock reaches $295.00 or to preserve capital if the premium drops by 40%.

The maximum risk is the premium paid of $1,494 per contract if AMZN expires below the strike price of $265.50.

NVDABuy

CALL · $214.50 strike · 2026-10-16

Premium
$10.84
Break-even
$225.34
Delta
0.49
Bid / Ask
$10.41 / $11.27
Impl. vol
38.8%
Confidence
82%

Quick view

With a 0.49 delta, this near-at-the-money LEAP provides excellent intrinsic value tracking with over two years of runway.

Buy when · Buy when NVDA stock holds support above 208.00 and the daily RSI begins to tick upward.

Sell when · Sell if the stock hits 235.00 or if the underlying trend breaks the 200-day SMA.

Maximum loss is the premium paid of 1084 USD per contract.

MSFTBuy

CALL · $510.50 strike · 2026-10-23

Premium
$28.91
Break-even
$539.41
Delta
0.50
Bid / Ask
$27.75 / $30.07
Impl. vol
42.5%
Confidence
82%

Quick view

A highly robust option with a 0.50 delta and extra time cushion, ideal for riding MSFT's core secular growth.

Buy when · Buy when the underlying stock is between 495.00 and 501.00.

Sell when · Sell if the underlying stock hits 540.00 or if the premium drops below 16.00.

Maximum loss is limited to the premium paid of $2,891 per contract.

GOOGLBuy

CALL · $350.00 strike · 2026-10-23

Premium
$18.52
Break-even
$368.52
Delta
0.49
Bid / Ask
$17.78 / $19.26
Impl. vol
37.8%
Confidence
82%

Quick view

October 2026 expiry offers even more time to ride out current short-term volatility with an attractive 0.49 delta.

Buy when · Buy when GOOGL stock trades between 340.00 and 343.00.

Sell when · Sell when contract premium reaches 28.00 or if the underlying drops below 328.00.

Maximum loss is $1,852 per contract if the stock expires below 350.

LLYBuy

CALL · $1,264.00 strike · 2026-10-16

Premium
$55.86
Break-even
$1,319.86
Delta
0.48
Bid / Ask
$53.63 / $58.09
Impl. vol
34.2%
Confidence
82%

Quick view

The October 2026 expiration provides an extra month of cushion, reducing immediate theta decay risks for a steady trend-following trade.

Buy when · Buy when LLY stock price consolidates near $1,220.00.

Sell when · Sell when LLY stock price reaches $1,350.00 or the option value increases by 45%.

Maximum loss is limited to the premium paid of $5,586.00 per contract.

LLYBuy

CALL · $1,180.50 strike · 2026-10-30

Premium
$56.38
Break-even
$1,236.88
Delta
0.49
Bid / Ask
$54.12 / $58.64
Impl. vol
33.7%
Confidence
82%

Quick view

Offers a slightly longer runway than the early October contract with solid 0.49 delta.

Buy when · Buy if LLY stock is between 1140.00 and 1160.00 USD.

Sell when · Sell if LLY stock rises to 1260.00 USD.

Maximum loss is the premium paid of $5,638.00 per contract.

NVDABuy

CALL · $219.50 strike · 2026-10-09

Premium
$11.13
Break-even
$230.63
Delta
0.49
Bid / Ask
$10.68 / $11.58
Impl. vol
40.1%
Confidence
82%

Quick view

Offers a highly attractive 0.49 delta with an extra month of expiry compared to September, cushioning the trade against near-term macro head-winds.

Buy when · Buy on minor pullbacks towards the SMA20 zone at $213.00.

Sell when · Sell if NVDA hits the target of $240.00 or falls below the SMA200 at $195.29.

$1,113.00 maximum loss per contract if the option expires worthless.

MSFTBuy

CALL · $504.50 strike · 2026-10-23

Premium
$28.22
Break-even
$532.72
Delta
0.50
Bid / Ask
$27.09 / $29.35
Impl. vol
42.5%
Confidence
82%

Quick view

Deep exposure with a 0.50 delta and longer expiry, providing a strong cushion against short-term volatility.

Buy when · Buy if MSFT tests support near 490.00 and rebounds.

Sell when · Sell if the premium reaches 45.00 or if the stock trends below 470.00.

Maximum loss is limited to the premium paid of $2,822 per contract.

LLYBuy

CALL · $1,272.00 strike · 2026-10-16

Premium
$56.93
Break-even
$1,328.93
Delta
0.48
Bid / Ask
$54.65 / $59.21
Impl. vol
34.4%
Confidence
82%

Quick view

High delta LEAP option providing solid exposure to sustained long-term upside with an extra month of expiry.

Buy when · Buy when LLY trades between $1230 and $1250.

Sell when · Sell if LLY reaches $1350 or if the option price drops by 40%.

$5,693 maximum loss per contract if expired worthless.

VBuy

CALL · $377.00 strike · 2026-10-09

Premium
$8.96
Break-even
$385.96
Delta
0.44
Bid / Ask
$8.60 / $9.32
Impl. vol
20.7%
Confidence
82%

Quick view

Providing a higher 0.44 delta and an extra month of expiry, this contract balances robust sensitivity to stock price increases with low immediate time decay.

Buy when · Visa stock trades between 362.00 USD and 366.00 USD.

Sell when · Visa stock hits the price target of 395.00 USD or falls below 348.00 USD.

The maximum loss is limited to the premium paid of $896.00 per contract.

VBuy

CALL · $371.50 strike · 2026-10-09

Premium
$8.97
Break-even
$380.47
Delta
0.44
Bid / Ask
$8.61 / $9.33
Impl. vol
20.7%
Confidence
82%

Quick view

An attractive long-term LEAP with a solid delta of 0.44 and an extra month of duration over the September contract. This provides robust exposure to Visa's steady upward trajectory with a healthy time buffer.

Buy when · Buy when Visa trades between $360.00 and $364.00.

Sell when · Sell if the premium reaches $15.00 or the stock falls below the 200-day SMA.

Maximum loss is $897 per contract if the stock expires below $371.50 in October 2026.

LLYBuy

CALL · $1,287.50 strike · 2026-10-09

Premium
$57.15
Break-even
$1,344.65
Delta
0.48
Bid / Ask
$54.86 / $59.44
Impl. vol
35.3%
Confidence
82%

Quick view

Provides excellent risk-reward with extra duration to weather any short-term consolidation before the bullish trend resumes.

Buy when · Buy if stock drops below $1240 or premium falls below $52.00.

Sell when · Sell if stock reaches $1380 or premium reaches $110.00.

Maximum loss is the premium paid of $5,715 per contract if LLY expires below $1287.50.

LLYBuy

CALL · $1,276.50 strike · 2026-10-09

Premium
$56.96
Break-even
$1,333.46
Delta
0.48
Bid / Ask
$54.68 / $59.24
Impl. vol
35.2%
Confidence
82%

Quick view

A deep-in-time option with a solid 0.48 delta that captures maximum upside exposure through late 2026.

Buy when · LLY trades in the 1220.00-1250.00 range.

Sell when · The option premium gains 40% or LLY stock reaches the target of 1350.00.

Maximum loss is the premium paid of $5,696 per contract if the stock expires below $1,276.50.

AMZNBuy

CALL · $265.50 strike · 2026-10-09

Premium
$15.02
Break-even
$280.52
Delta
0.50
Bid / Ask
$14.42 / $15.62
Impl. vol
44.0%
Confidence
82%

Quick view

An ATM LEAP expiring October 2026 with a robust 0.50 delta, offering a more defensive profile with substantial time value.

Buy when · Buy if AMZN stock maintains support above 258.00.

Sell when · Sell if stock target of 280.00 is achieved or if premium rises to 25.00.

Maximum loss is $1,502 per contract if it expires worthless.

JPMBuy

CALL · $359.50 strike · 2026-10-09

Premium
$8.63
Break-even
$368.13
Delta
0.44
Bid / Ask
$8.28 / $8.98
Impl. vol
21.2%
Confidence
82%

Quick view

An attractive LEAPS option offering a solid 0.44 delta and ample time for JPM to clear key resistance and resume its upward trajectory.

Buy when · Buy if JPM touches the 50-day SMA around $344.00 and the premium drops near $7.80.

Sell when · Sell if JPM reaches $365.00 or if the premium increases to $12.50.

The maximum loss is limited to the premium paid of $863 per contract.

VBuy

CALL · $388.00 strike · 2026-10-23

Premium
$9.43
Break-even
$397.43
Delta
0.45
Bid / Ask
$9.05 / $9.81
Impl. vol
20.3%
Confidence
82%

Quick view

Offering slightly more time than the September contract, this call has a higher delta of 0.45, making it a highly effective vehicle for capturing sustained bullish momentum.

Buy when · Buy when the underlying stock breaks out above $384.00.

Sell when · Sell when the underlying reaches the $410.00 target.

The maximum loss is limited to the premium paid, which is $943.00 per contract.

CVXBuy

CALL · $210.50 strike · 2026-10-09

Premium
$6.88
Break-even
$217.38
Delta
0.47
Bid / Ask
$6.60 / $7.16
Impl. vol
26.4%
Confidence
82%

Quick view

With a near-0.50 delta and an extra month of duration compared to September, this option represents the most robust risk-adjusted bullish play.

Buy when · Buy if CVX falls slightly to $203.00, reducing the premium entry cost.

Sell when · Sell if CVX hits $220.00 or if the underlying stock drops below the 50-day moving average of $184.99.

The maximum loss is limited to the premium paid of $688 per contract.

MSFTBuy

CALL · $528.00 strike · 2026-10-16

Premium
$29.02
Break-even
$557.02
Delta
0.49
Bid / Ask
$27.86 / $30.18
Impl. vol
42.8%
Confidence
82%

Quick view

This October 2026 call has an extra month of duration and a 0.49 delta, making it the most robust long-term choice. The added time value mitigates near-term volatility risk.

Buy when · Buy when MSFT stock price stabilizes near 512.00 or premium drops below 29.50.

Sell when · Sell when MSFT stock price reaches 560.00 or premium rises to 42.00.

$2,902 per contract if the stock expires below $528.

CRMBuy

CALL · $265.00 strike · 2026-10-23

Premium
$21.87
Break-even
$286.87
Delta
0.52
Bid / Ask
$21.00 / $22.74
Impl. vol
59.6%
Confidence
82%

Quick view

Provides extra time-to-expiry past the September cycle, capturing late-year seasonal strength with an attractive 0.52 delta.

Buy when · Buy if the stock pulls back to $252.00, reducing premium entry to approximately $18.50.

Sell when · Sell when the stock price exceeds $285.00 or if the stock closes below $230.00.

Maximum risk is $2,187 per contract if the stock expires below $265.00.

COSTBuy

CALL · $985.00 strike · 2026-10-16

Premium
$25.70
Break-even
$1,010.70
Delta
0.45
Bid / Ask
$24.67 / $26.73
Impl. vol
21.6%
Confidence
82%

Quick view

Offering an attractive 0.45 delta and extensive runway, this contract is highly resilient to short-term volatility.

Buy when · Buy if the stock maintains its position above 960.00 USD for two consecutive sessions.

Sell when · Sell when the premium reaches 38.00 USD or the stock breaches 940.00 USD.

$2,570 maximum loss per contract (premium paid).

AMZNBuy

CALL · $264.00 strike · 2026-10-16

Premium
$15.06
Break-even
$279.06
Delta
0.50
Bid / Ask
$14.46 / $15.66
Impl. vol
43.1%
Confidence
82%

Quick view

An excellent stock replacement play with a 0.50 delta, benefiting from additional time to expiry compared to the September contract.

Buy when · Buy if AMZN shares find support at $251.00.

Sell when · Sell if the stock reaches our main target of $284.00 or if the option loses 40% value.

Maximum loss is $1,506 per contract.

NVDABuy

CALL · $224.00 strike · 2026-10-23

Premium
$12.23
Break-even
$236.23
Delta
0.50
Bid / Ask
$11.74 / $12.72
Impl. vol
40.8%
Confidence
82%

Quick view

A high-confidence LEAP contract with a robust 0.50 delta, providing optimal tracking of the underlying asset's upward trajectory.

Buy when · NVDA confirms support at SMA20 around 219.15 on an intraday basis.

Sell when · NVDA shares reach 240.00 or the premium gains 50%.

Maximum loss is the premium paid of $1,223 per contract.

CVXBuy

CALL · $210.50 strike · 2026-10-23

Premium
$6.52
Break-even
$217.02
Delta
0.46
Bid / Ask
$6.26 / $6.78
Impl. vol
25.4%
Confidence
82%

Quick view

This contract provides an extra month of duration and a solid 0.46 delta, making it the most robust option for riding the long-term uptrend.

Buy when · Buy when CVX stock falls to $198.00.

Sell when · Sell if the stock hits $220.00 or if the option premium falls to $3.00.

Maximum loss is $652 per contract if the stock expires below $210.50.

MSFTBuy

CALL · $514.00 strike · 2026-10-23

Premium
$29.04
Break-even
$543.04
Delta
0.50
Bid / Ask
$27.88 / $30.20
Impl. vol
42.4%
Confidence
82%

Quick view

The highest delta contract in the set, providing the strongest alignment with the underlying price movement and the longest duration to buffer short-term volatility.

Buy when · Buy on a stock pullback to $495.00 or when the premium dips below $27.00.

Sell when · Sell if the premium rises to $45.00 or if the underlying trend breaks below $475.00.

Maximum loss is $2,904 per contract if the stock expires below $514.00.

CRMBuy

CALL · $267.00 strike · 2026-10-23

Premium
$22.04
Break-even
$289.04
Delta
0.52
Bid / Ask
$21.16 / $22.92
Impl. vol
59.7%
Confidence
82%

Quick view

With a slightly longer expiry and 0.52 delta, this contract offers solid intrinsic value growth potential. It is highly resilient to short-term volatility due to its distant expiration date.

Buy when · Buy when CRM falls below $255.00, lowering the contract premium to around $18.50.

Sell when · Sell when CRM shares trade above $310.00 or the contract premium gains 60%.

Maximum loss is the premium paid of $2,204 per contract.

UBERBuy

CALL · $77.00 strike · 2026-10-09

Premium
$4.15
Break-even
$81.15
Delta
0.49
Bid / Ask
$3.98 / $4.32
Impl. vol
41.6%
Confidence
80%

Quick view

An extra month of duration relative to the September contract offers better protection against brief consolidations near the SMA200.

Buy when · Buy if the stock remains above 74.00 and MACD remains in a bullish crossover.

Sell when · Sell if the stock price hits 81.00 or if the stock closes below the 50-day SMA (72.49).

$415 maximum loss per contract if held to expiration.

AAPLBuy

CALL · $321.50 strike · 2026-09-25

Premium
$8.39
Break-even
$329.89
Delta
0.44
Bid / Ask
$8.05 / $8.73
Impl. vol
32.5%
Confidence
80%

Quick view

This near-ATM LEAP call offers solid delta exposure (0.44) and long-term runway, making it a highly resilient play for Apple's growth. A break-even of $329.89 is highly achievable given current SMA alignment.

Buy when · Buy if AAPL stays above $312.00 with premium near $8.39.

Sell when · Sell if option premium doubles or if AAPL stock breaks below $295.00.

Maximum loss is limited to the premium paid of $839 per contract.

CRMBuy

CALL · $208.50 strike · 2026-09-18

Premium
$7.75
Break-even
$216.25
Delta
0.46
Bid / Ask
$7.44 / $8.06
Impl. vol
45.1%
Confidence
80%

Quick view

This contract offers a solid delta of 0.46 with a relatively cheap premium of 7.75, giving excellent leverage for a recovery trade.

Buy when · Buy when CRM spot price is above 202.00.

Sell when · Sell when CRM spot price hits 220.00 or premium doubles.

Maximum loss is the premium paid of $775.00 per contract.

CRMBuy

CALL · $214.00 strike · 2026-09-18

Premium
$9.71
Break-even
$223.71
Delta
0.48
Bid / Ask
$9.32 / $10.10
Impl. vol
51.4%
Confidence
80%

Quick view

This deep-in-the-money / near-the-money LEAP provides excellent leverage with ample time to ride CRM's long-term recovery toward its 52-week highs.

Buy when · Buy if CRM stock price holds above $208.00 during consolidation.

Sell when · Sell if CRM stock price hits $245.00 or if the option premium falls below $6.00.

Maximum loss is limited to the premium paid of $971 per contract if CRM expires below $214.00.

JPMBuy

CALL · $358.50 strike · 2026-09-11

Premium
$4.54
Break-even
$363.04
Delta
0.38
Bid / Ask
$4.36 / $4.72
Impl. vol
21.2%
Confidence
80%

Quick view

A highly leveraged long-term call offering solid delta exposure of 0.38 at a relatively low premium cost.

Buy when · Buy if JPM stock is trading between $345.00 and $352.00.

Sell when · Sell if the option premium reaches $9.00 or if the underlying stock drops below $338.00.

$454 maximum loss per contract if the stock expires below $358.50.

PLTRBuy

CALL · $189.00 strike · 2026-09-18

Premium
$11.87
Break-even
$200.87
Delta
0.50
Bid / Ask
$11.40 / $12.34
Impl. vol
74.4%
Confidence
80%

Quick view

This deep LEAP Call offers balanced exposure with a 0.50 delta and relatively low premium of 11.87, making it a highly capital-efficient way to play PLTR's long-term secular growth.

Buy when · Underlying stock stabilizes above 183.00 with premium near 11.50.

Sell when · Underlying stock reaches target of 210.00 or if premium doubles to 23.00.

Maximum loss is capped at the premium paid of $1,187 per contract.

CRMBuy

CALL · $215.00 strike · 2026-10-16

Premium
$15.09
Break-even
$230.09
Delta
0.51
Bid / Ask
$14.49 / $15.69
Impl. vol
51.4%
Confidence
80%

Quick view

The 0.51 delta on this contract provides stock-like gains with significant time-value buffer to ride out near-term volatility.

Buy when · Buy if CRM shares trade between 205.00 and 211.00.

Sell when · Sell if the premium reaches 21.00 or CRM spot drops below 193.00.

Maximum loss is limited to the premium paid of $1,509 per contract.

LLYBuy

CALL · $1,211.50 strike · 2026-09-18

Premium
$31.40
Break-even
$1,242.90
Delta
0.44
Bid / Ask
$30.14 / $32.66
Impl. vol
34.6%
Confidence
80%

Quick view

This contract offers strong delta exposure (0.44) and long-term viability, allowing investors to capitalize on LLY's multi-year secular growth with a comfortable break-even.

Buy when · Buy if the underlying stock stabilizes and consolidates above 1185.00 USD.

Sell when · Sell if the stock reaches 1350.00 USD or if the premium gains over 80%.

The maximum loss is $3,140 per contract if the option expires worthless.

NVDABuy

CALL · $214.50 strike · 2026-09-18

Premium
$6.56
Break-even
$221.06
Delta
0.45
Bid / Ask
$6.30 / $6.82
Impl. vol
38.8%
Confidence
80%

Quick view

This LEAP call has a solid 0.45 delta and offers a great long-term opportunity to leverage recovery with minimal theta decay.

Buy when · Buy when the underlying NVDA stock price stabilizes near the 208 to 210 support zone.

Sell when · Sell if the underlying stock falls below 195 or if the option premium gains 50 percent.

Maximum loss is the premium paid of 656 USD per contract.

COINBuy

CALL · $185.50 strike · 2026-09-18

Premium
$11.07
Break-even
$196.57
Delta
0.49
Bid / Ask
$10.63 / $11.51
Impl. vol
70.0%
Confidence
80%

Quick view

This contract offers an attractive delta of 0.49 and a long-term runway, making it an excellent vehicle to capture the test of SMA200. The relatively lower premium relative to expiry provides an asymmetric risk-reward ratio.

Buy when · Buy when the spot price clears 182.00 on sustained volume.

Sell when · Sell when the option premium doubles or spot price breaches the 210.00 target.

Maximum loss is $1,107 per contract if the stock expires below $185.50.

JPMBuy

CALL · $361.00 strike · 2026-10-09

Premium
$9.03
Break-even
$370.03
Delta
0.44
Bid / Ask
$8.67 / $9.39
Impl. vol
21.7%
Confidence
80%

Quick view

With a higher delta of 0.44 and an extra month of expiry compared to the September contract, this call offers solid exposure to JPM's upside with lower theta decay. Highly suitable for capitalising on a multi-month recovery.

Buy when · The stock confirms support at $350.00 and rebounds with increasing daily volume.

Sell when · Option premium reaches $15.00 or the stock breaches the stop-loss level of $338.00.

Maximum loss is the premium paid of $903 per contract.

XOMBuy

CALL · $167.00 strike · 2026-09-18

Premium
$3.22
Break-even
$170.22
Delta
0.42
Bid / Ask
$3.09 / $3.35
Impl. vol
25.9%
Confidence
80%

Quick view

This LEAP call offers an attractive delta of 0.42 with a low premium, making it a highly cost-effective way to capture XOM's long-term bullish trend.

Buy when · XOM stock trades below $163.50.

Sell when · XOM stock reaches $175.00 or the contract premium rises by 50%.

Maximum loss is the premium paid of $322 per contract if XOM expires below $167.00.

MSFTBuy

CALL · $504.50 strike · 2026-09-18

Premium
$17.91
Break-even
$522.41
Delta
0.46
Bid / Ask
$17.19 / $18.63
Impl. vol
44.0%
Confidence
80%

Quick view

Offers highly attractive pricing and a delta of 0.46, allowing solid participation in MSFT's recovery with a break-even of 522.41.

Buy when · Buy when MSFT stock drops below 495.00 USD and the premium is under 18.00 USD.

Sell when · Sell when the contract premium reaches 28.00 USD or if the underlying stock falls below 468.00 USD.

Maximum loss is $1,791 per contract if held to expiration below strike.

NVDABuy

CALL · $225.00 strike · 2026-09-18

Premium
$7.32
Break-even
$232.32
Delta
0.46
Bid / Ask
$7.03 / $7.61
Impl. vol
42.4%
Confidence
80%

Quick view

This deep long-term contract provides a high 0.46 delta and a low break-even relative to the 2026 expiry, offering a safer structure to capture secular upside.

Buy when · Buy if NVDA's spot price pulls back closer to the $218.00 support level.

Sell when · Sell when the premium gains 35% or if NVDA falls below the major support at $207.00.

The maximum loss is limited to the premium paid of $732.00 per contract.

MSFTBuy

CALL · $497.50 strike · 2026-09-18

Premium
$19.43
Break-even
$516.93
Delta
0.47
Bid / Ask
$18.65 / $20.21
Impl. vol
45.5%
Confidence
80%

Quick view

With a delta of 0.47, this deep-in-time call offers strong leverage for a long-term bullish outlook with lower relative decay.

Buy when · Buy when the MSFT stock price pulls back below 485.00 USD.

Sell when · Sell when the option premium reaches 35.00 USD or the stock hits 535.00 USD.

Maximum loss is $1,943 per contract if the stock expires below $497.50.

COINBuy

CALL · $176.00 strike · 2026-09-11

Premium
$9.95
Break-even
$185.95
Delta
0.49
Bid / Ask
$9.55 / $10.35
Impl. vol
68.6%
Confidence
80%

Quick view

An attractive LEAP option with a near-the-money strike and a 0.49 delta, providing strong leverage for a sustained upward trend.

Buy when · Buy when the underlying stock stabilizes above $172.50.

Sell when · Sell if the stock reaches $198.00 or if the option premium drops below $7.00.

Maximum loss is limited to the premium paid of $995 per contract.

NVDABuy

CALL · $220.00 strike · 2026-09-11

Premium
$6.65
Break-even
$226.65
Delta
0.45
Bid / Ask
$6.38 / $6.92
Impl. vol
40.1%
Confidence
80%

Quick view

This LEAP contract has a 0.45 delta and is highly sensitive to price appreciation, offering a robust long-term vehicle with significant time value.

Buy when · Buy when NVDA stock tests the 213.50 support level with the premium under 6.80 USD.

Sell when · Sell when NVDA reaches 235.00 or if the option premium rises above 13.00 USD.

The maximum loss is limited to the premium paid, which is $665.00 per contract.

MSFTBuy

CALL · $495.00 strike · 2026-09-18

Premium
$19.45
Break-even
$514.45
Delta
0.47
Bid / Ask
$18.67 / $20.23
Impl. vol
45.5%
Confidence
80%

Quick view

This near-the-money contract offers a solid 0.47 delta, providing great exposure to MSFT's recovery with a long expiration buffer that minimizes theta decay.

Buy when · MSFT stock holds support at $480.00 and the option premium is below $20.00.

Sell when · MSFT stock hits the $535.00 target or the contract value gains 50%.

Maximum loss is limited to the premium paid of $1,945 per contract.

JPMBuy

CALL · $359.50 strike · 2026-09-25

Premium
$5.80
Break-even
$365.30
Delta
0.40
Bid / Ask
$5.57 / $6.03
Impl. vol
21.1%
Confidence
80%

Quick view

This slightly out-of-the-money call option offers highly underpriced exposure to JPM's long-term uptrend with a reasonable break-even of 365.3.

Buy when · Buy when the underlying stock establishes support above $348.00.

Sell when · Sell when the stock price crosses $370.00 or the premium doubles.

$580 per contract if JPM expires below $359.50.

VBuy

CALL · $376.50 strike · 2026-09-11

Premium
$5.08
Break-even
$381.58
Delta
0.39
Bid / Ask
$4.88 / $5.28
Impl. vol
20.9%
Confidence
80%

Quick view

This long-dated LEAP offers a conservative strike slightly above current levels, allowing ample time for Visa's long-term upward trajectory to play out.

Buy when · Buy when stock price trades above 369.50 with steady volume.

Sell when · Sell when contract value doubles or stock drops below 351.00.

$508 maximum loss per contract if held to expiration below strike.

GOOGLBuy

CALL · $349.00 strike · 2026-09-18

Premium
$11.88
Break-even
$360.88
Delta
0.46
Bid / Ask
$11.40 / $12.36
Impl. vol
38.0%
Confidence
80%

Quick view

This Call option offers excellent leverage and risk-reward profile to play the recovery with an expiry that extends well past short-term volatility.

Buy when · Buy if stock price is below 343.00.

Sell when · Sell if stock price reaches 375.00 or options premium drops 50%.

Maximum loss is limited to the premium paid of $1,188 per contract.

JPMBuy

CALL · $364.50 strike · 2026-10-16

Premium
$8.68
Break-even
$373.18
Delta
0.44
Bid / Ask
$8.33 / $9.03
Impl. vol
21.0%
Confidence
80%

Quick view

This contract offers the best combination of time premium and a solid 0.44 delta to ride the recovery trend.

Buy when · Buy when JPM stock trades between $350.00 and $355.00.

Sell when · Sell when JPM stock hits $385.00 or if the option price doubles.

The maximum loss is limited to the premium paid of $868 per contract.

AMZNBuy

CALL · $264.00 strike · 2026-09-18

Premium
$9.24
Break-even
$273.24
Delta
0.46
Bid / Ask
$8.87 / $9.61
Impl. vol
43.1%
Confidence
80%

Quick view

Provides a delta of 0.46 with a very long runway, allowing investors to capitalize on a multi-month recovery with limited immediate decay.

Buy when · Buy if AMZN stock trades between $251.00 and $259.00.

Sell when · Sell if the premium increases by 50% or the stock falls below $244.00.

Maximum loss is $924 per contract.

XOMBuy

CALL · $163.00 strike · 2026-09-18

Premium
$2.91
Break-even
$165.91
Delta
0.41
Bid / Ask
$2.79 / $3.03
Impl. vol
25.6%
Confidence
80%

Quick view

This LEAP call option offers an attractive delta of 0.41 for a low premium, making it a highly leveraged play on XOM's long-term upward trajectory.

Buy when · Buy when XOM stock is below 159.50 USD and the premium is near 2.91 USD.

Sell when · Sell when XOM stock reaches 170.00 USD or the option value increases by 50%.

The maximum loss is limited to the premium paid, which is $291 per contract.

XOMBuy

CALL · $166.00 strike · 2026-09-25

Premium
$3.00
Break-even
$169.00
Delta
0.41
Bid / Ask
$2.88 / $3.12
Impl. vol
25.9%
Confidence
80%

Quick view

A moderate delta of 0.41 and a reasonable premium make this long-dated call an attractive play on XOM's sustained uptrend with plenty of time to reach profitability.

Buy when · Buy when XOM shares pull back to around 161.00 with the premium near 2.80.

Sell when · Sell when the stock price hits 174.00 or the premium doubles to 6.00.

Maximum loss is the premium paid of $300 per contract.

MSFTBuy

CALL · $524.00 strike · 2026-09-25

Premium
$17.61
Break-even
$541.61
Delta
0.46
Bid / Ask
$16.91 / $18.31
Impl. vol
42.6%
Confidence
80%

Quick view

With over a year to expiry, this slightly out-of-the-money call provides excellent leverage and a highly achievable breakeven of 541.61, just below current 52-week highs.

Buy when · MSFT stock price dips near 500.00 or consolidated MACD momentum shifts positive.

Sell when · The option premium doubles to 35.22 or the underlying stock hits our 560.00 target.

$1,761 per contract.

NVDABuy

CALL · $224.50 strike · 2026-09-11

Premium
$7.21
Break-even
$231.71
Delta
0.45
Bid / Ask
$6.92 / $7.50
Impl. vol
40.1%
Confidence
80%

Quick view

This long-dated call option offers excellent time value and a solid 0.45 delta to capture NVDA's secular upside despite short-term overbought levels.

Buy when · Underlying NVDA stock pulls back to $215.00 or lower.

Sell when · Underlying NVDA stock reaches $245.00 or the option premium gains 50%.

The maximum loss is limited to the premium paid of $721.00 per contract.

VBuy

CALL · $378.50 strike · 2026-09-18

Premium
$5.39
Break-even
$383.89
Delta
0.39
Bid / Ask
$5.17 / $5.61
Impl. vol
20.8%
Confidence
80%

Quick view

This long-dated call offers a highly leveraged play on Visa's long-term growth with a low premium and achievable break-even.

Buy when · Buy when the stock price trades between 365.00 USD and 371.00 USD.

Sell when · Sell when the option premium doubles to 10.78 USD or the stock falls below 352.75 USD.

Maximum loss is limited to the premium paid of 539 USD per contract.

NVDABuy

CALL · $225.00 strike · 2026-10-16

Premium
$12.33
Break-even
$237.33
Delta
0.50
Bid / Ask
$11.84 / $12.82
Impl. vol
42.4%
Confidence
80%

Quick view

With a 0.50 delta, this contract behaves like a synthetic stock replacement, capturing significant upside with an extra month of duration to weather market volatility.

Buy when · Buy if NVDA is trading near the current level of $220.00.

Sell when · Sell when the premium reaches $18.00 or if NVDA's 50-day SMA support at $208.48 is breached.

The maximum loss is limited to the premium paid of $1,233.00 per contract.

CRMBuy

CALL · $215.00 strike · 2026-09-18

Premium
$9.65
Break-even
$224.65
Delta
0.47
Bid / Ask
$9.26 / $10.04
Impl. vol
51.4%
Confidence
80%

Quick view

This slightly out-of-the-money 2026 LEAPS option provides strong delta exposure with minimal theta decay, ideal for capturing CRM's long-term upside.

Buy when · Buy if CRM trades between 205.00 and 211.00.

Sell when · Sell if the premium rises to 13.50 or CRM stock breaks below 193.00.

Maximum loss is limited to the premium paid of $965 per contract.

LLYBuy

CALL · $1,296.00 strike · 2026-10-09

Premium
$57.78
Break-even
$1,353.78
Delta
0.48
Bid / Ask
$55.47 / $60.09
Impl. vol
35.4%
Confidence
80%

Quick view

This option offers a solid 0.48 delta and an extra month of duration relative to the September contracts, providing high sensitivity to long-term price appreciation.

Buy when · Buy when the underlying stock drops to the 20-day SMA near $1,200, or the premium dips to $52.00.

Sell when · Sell when the premium exceeds $110.00 or if the stock breaks the 50-day SMA on high volume.

Maximum loss is limited to the premium paid of $5,778 per contract.

JPMBuy

CALL · $363.50 strike · 2026-09-18

Premium
$4.80
Break-even
$368.30
Delta
0.38
Bid / Ask
$4.61 / $4.99
Impl. vol
21.0%
Confidence
80%

Quick view

This contract offers a solid delta of 0.38 and provides a very long runway to capture JPM's long-term secular growth with a moderate premium.

Buy when · Buy when the stock price trades below 355.00 or holds support at the 50-day SMA.

Sell when · Sell when the stock price reaches 385.00 or the contract premium falls below 2.40.

The maximum loss is the premium paid of $4.80 per share ($480.00 total per contract).

COINBuy

CALL · $187.50 strike · 2026-09-18

Premium
$10.74
Break-even
$198.24
Delta
0.49
Bid / Ask
$10.31 / $11.17
Impl. vol
69.0%
Confidence
80%

Quick view

This near-ATM contract offers high delta exposure to capture the immediate momentum shift above the moving averages.

Buy when · Buy when COIN shares trade between $180.00 and $184.00.

Sell when · Sell when COIN shares reach $210.00 or the option premium drops below $5.00.

$1,074 maximum loss per contract if held to expiration.

LLYBuy

CALL · $1,263.50 strike · 2026-09-18

Premium
$35.43
Break-even
$1,298.93
Delta
0.44
Bid / Ask
$34.01 / $36.85
Impl. vol
34.5%
Confidence
80%

Quick view

This contract offers a solid 0.44 delta and an attractive entry premium to leverage long-term upside past the 1263.5 strike. The extended expiration minimizes theta decay risk in the near term.

Buy when · Buy when the underlying stock price consolidates near 1225.00.

Sell when · Sell when the underlying stock reaches 1320.00 or if the option premium drops by 40%.

The maximum loss is limited to the premium paid, which is $3,543 per contract.

MSFTBuy

CALL · $524.50 strike · 2026-09-18

Premium
$17.05
Break-even
$541.55
Delta
0.45
Bid / Ask
$16.37 / $17.73
Impl. vol
42.7%
Confidence
80%

Quick view

This long-dated near-ATM call allows investors to capture long-term structural upside with a moderate premium and healthy delta of 0.45.

Buy when · Buy if MSFT pulls back to 505.00 USD or lower.

Sell when · Sell when the contract premium gains 50% or if the underlying drops below 485.00 USD.

The maximum loss is the premium paid of 1,705.00 USD per contract.

COINBuy

CALL · $188.50 strike · 2026-09-25

Premium
$7.46
Break-even
$195.96
Delta
0.38
Bid / Ask
$7.16 / $7.76
Impl. vol
69.1%
Confidence
80%

Quick view

Lower premium of 7.46 USD offers high leverage, though the out-of-the-money strike of 188.5 is closer to the SMA200 resistance.

Buy when · Buy if the contract premium is under 8.0 USD while COIN maintains upward MACD momentum.

Sell when · Sell if contract premium reaches 13.0 USD or underlying hits 193.00 USD.

Maximum loss is the premium paid of 746 USD per contract.

VBuy

CALL · $386.50 strike · 2026-10-23

Premium
$8.88
Break-even
$395.38
Delta
0.44
Bid / Ask
$8.52 / $9.24
Impl. vol
20.5%
Confidence
80%

Quick view

An attractive delta of 0.44 coupled with extra time to expiry makes this contract a highly robust vehicle to participate in Visa's upside while mitigating short-term volatility.

Buy when · Buy when the stock stays above $371.10 and the option premium is under $8.50.

Sell when · Sell if Visa reaches the $400.00 target or the contract premium reaches $14.00.

The maximum loss is $888.00 per contract if Visa expires at or below $386.50 on October 23, 2026.

MSFTBuy

CALL · $490.50 strike · 2026-09-11

Premium
$17.88
Break-even
$508.38
Delta
0.46
Bid / Ask
$17.16 / $18.60
Impl. vol
46.0%
Confidence
80%

Quick view

This contract provides an attractive balance of a 0.46 delta and reasonable premium, offering solid exposure to MSFT's secular uptrend.

Buy when · MSFT underlying stock price dips into the $470 to $480 range.

Sell when · MSFT stock reaches $520 or the contract premium gains 50%.

The maximum loss is limited to the premium paid of $1,788.00 per contract.

PLTRBuy

CALL · $176.00 strike · 2026-09-18

Premium
$11.98
Break-even
$187.98
Delta
0.51
Bid / Ask
$11.50 / $12.46
Impl. vol
76.1%
Confidence
80%

Quick view

This deep-LEAP call provides excellent exposure to PLTR's long-term growth with a solid 0.51 delta and reasonable premium relative to time. It allows the investor to ride the long-term trend while mitigating near-term volatility risk.

Buy when · Buy when PLTR shares trade between $165.00 and $173.00.

Sell when · Sell when the contract value appreciates by 50% or the underlying breaks below $155.00.

Maximum loss is the premium paid of $1,198 per contract.

COINBuy

CALL · $191.00 strike · 2026-09-25

Premium
$12.27
Break-even
$203.27
Delta
0.50
Bid / Ask
$11.78 / $12.76
Impl. vol
70.6%
Confidence
80%

Quick view

This ATM call option offers an excellent delta of 0.50 and over 1.5 years of expiry to ride the long-term cryptocurrency bull cycle.

Buy when · Buy when COIN breaks and holds daily above $190.

Sell when · Sell if the option premium doubles to $24.50 or the underlying falls below $168.

The maximum loss is limited to the premium paid of $1,227 per contract.

MSFTBuy

CALL · $504.50 strike · 2026-09-25

Premium
$17.28
Break-even
$521.78
Delta
0.46
Bid / Ask
$16.59 / $17.97
Impl. vol
42.5%
Confidence
80%

Quick view

This LEAP option offers balanced exposure to MSFT's long-term growth with a moderate delta of 0.46 and expiry in late 2026.

Buy when · Buy when the stock price holds steady above 495.00.

Sell when · Sell if the option premium increases by 80% or if the stock breaches the stop loss of 475.00.

Maximum loss is limited to the premium paid of $1,728 per contract.

LLYBuy

CALL · $1,276.50 strike · 2026-09-11

Premium
$33.48
Break-even
$1,309.98
Delta
0.44
Bid / Ask
$32.14 / $34.82
Impl. vol
35.2%
Confidence
80%

Quick view

This LEAP call option offers an excellent long-term play on LLY's growth with a solid delta of 0.44 and reasonable break-even.

Buy when · The underlying stock price is below 1255.00.

Sell when · The contract price rises by 50% or the underlying stock hits 1350.00.

Maximum loss is the premium paid of $3,348 per contract if the stock expires below $1,276.50.

METABuy

CALL · $628.00 strike · 2026-10-23

Premium
$38.27
Break-even
$666.27
Delta
0.50
Bid / Ask
$36.74 / $39.80
Impl. vol
46.4%
Confidence
80%

Quick view

With a 0.50 delta and further out expiration, this contract maximizes exposure to the medium-term recovery with very low theta decay.

Buy when · META stock price crosses 618.00.

Sell when · META stock price reaches 655.00 or the premium falls below $28.00.

Maximum loss is the premium paid of $3,827 per contract.

NVDABuy

CALL · $223.00 strike · 2026-10-23

Premium
$12.00
Break-even
$235.00
Delta
0.49
Bid / Ask
$11.52 / $12.48
Impl. vol
40.8%
Confidence
80%

Quick view

This longer-dated option offers a high 0.49 delta and more time to weather current consolidation, with a break-even aligning at the $235 target.

Buy when · Buy if NVDA holds above $215.00 after a period of consolidation.

Sell when · Sell if the underlying reaches $235.00 or if the premium falls below $7.20.

The maximum loss is limited to the premium paid of $1,200 per contract.

MSFTBuy

CALL · $512.50 strike · 2026-09-18

Premium
$17.47
Break-even
$529.97
Delta
0.46
Bid / Ask
$16.77 / $18.17
Impl. vol
43.2%
Confidence
80%

Quick view

With a Delta of 0.46 and a break-even of 529.97 by September 2026, this LEAP offers strong leverage to capture MSFT's long-term upside at a reasonable premium.

Buy when · Underlying stock stabilizes above 495.00 USD.

Sell when · Underlying MSFT reaches 540.00 USD or option premium drops below 10.00 USD.

Maximum loss is $1,747 per contract if the stock expires below 512.50 USD.

JPMBuy

CALL · $363.00 strike · 2026-09-18

Premium
$5.04
Break-even
$368.04
Delta
0.38
Bid / Ask
$4.84 / $5.24
Impl. vol
21.2%
Confidence
80%

Quick view

This near-the-money long-term call offers excellent leverage and strong delta to capture the stock's eventual recovery above its 52-week high.

Buy when · Buy when the underlying stock drops to $352.00 or lower.

Sell when · Sell when the option premium doubles to $10.00 or the underlying stock falls below $338.00.

Maximum loss is the premium paid of $504 per contract.

AAPLBuy

CALL · $323.50 strike · 2026-10-16

Premium
$14.58
Break-even
$338.08
Delta
0.48
Bid / Ask
$14.00 / $15.16
Impl. vol
32.9%
Confidence
80%

Quick view

Highly liquid, long-dated call providing exposure through late 2026 earnings cycles.

Buy when · AAPL stock bounces off SMA20 ($316.04) and MACD histogram turns positive.

Sell when · AAPL reaches target of $340 or the premium falls below $8.00.

$1458 per contract.

XOMBuy

CALL · $166.50 strike · 2026-09-25

Premium
$2.88
Break-even
$169.38
Delta
0.40
Bid / Ask
$2.76 / $3.00
Impl. vol
25.9%
Confidence
80%

Quick view

This deep-in-the-money 2026 LEAP offers high delta exposure with slow time decay, capitalizing on the medium-term bullish trend of XOM.

Buy when · Buy if the contract premium is at or below 2.90 USD.

Sell when · Sell if the contract premium reaches 5.50 USD or if the underlying stock hits 175.00 USD.

Maximum loss is limited to the premium paid of $288 per contract.

GOOGLBuy

CALL · $351.50 strike · 2026-09-18

Premium
$11.97
Break-even
$363.47
Delta
0.46
Bid / Ask
$11.49 / $12.45
Impl. vol
38.1%
Confidence
80%

Quick view

This slightly out-of-the-money call option has a high delta of 0.46 and extensive duration, making it a safe vehicle to capture the expected recovery to 365.

Buy when · Buy if underlying stock price holds 340.00 and volume begins to increase.

Sell when · Sell if underlying stock reaches 365.00 or if the option loses 40% of its premium.

The maximum loss is the premium paid of $1,197.00 per contract.

MSFTBuy

CALL · $499.00 strike · 2026-09-18

Premium
$18.49
Break-even
$517.49
Delta
0.46
Bid / Ask
$17.75 / $19.23
Impl. vol
44.2%
Confidence
80%

Quick view

This ATM LEAP option offers excellent leverage to capture long-term upside with over a year of runway. The 0.46 delta provides solid sensitivity to upward moves with a manageable break-even point.

Buy when · Buy when the stock price falls to 485.00 USD or the option premium is under 18.00 USD.

Sell when · Sell when the underlying stock reaches 535.00 USD or the premium reaches 35.00 USD.

Maximum loss is limited to the premium paid of $1,849.00 per contract.

AAPLBuy

CALL · $321.00 strike · 2026-09-11

Premium
$7.74
Break-even
$328.74
Delta
0.43
Bid / Ask
$7.43 / $8.05
Impl. vol
32.9%
Confidence
80%

Quick view

This contract has a solid 0.43 delta and a strike price very close to the current spot price, making it an excellent vehicle to play a long-term bullish recovery.

Buy when · Buy when the stock establishes support above 310.00.

Sell when · Sell when the stock price crosses above 330.00 or if the premium loses 50% of its purchase value.

The maximum loss is limited to the premium paid of $774 per contract.

MSFTBuy

CALL · $499.50 strike · 2026-09-18

Premium
$18.50
Break-even
$518.00
Delta
0.46
Bid / Ask
$17.76 / $19.24
Impl. vol
44.2%
Confidence
80%

Quick view

This deep-in-time LEAP call offers excellent leverage with a 0.46 delta and a highly achievable break-even price of 518.

Buy when · Underlying MSFT stock trades within the $480.00 to $486.00 entry zone.

Sell when · Underlying MSFT stock price reaches $535.00 or the contract premium appreciates by 50%.

The maximum loss is limited to the premium paid of $1,850.00 per contract.

JPMBuy

CALL · $362.00 strike · 2026-09-11

Premium
$4.56
Break-even
$366.56
Delta
0.37
Bid / Ask
$4.38 / $4.74
Impl. vol
21.2%
Confidence
80%

Quick view

This near-ATM LEAP offers high leverage and a low break-even of 366.56, capturing long-term upside with limited premium risk.

Buy when · Buy when JPM stock price drops to 350.00 or below.

Sell when · Sell when JPM stock price reaches 380.00 or the option premium doubles.

Maximum loss is the premium paid of $4.56 per share ($456 per contract).

AAPLBuy

CALL · $323.50 strike · 2026-09-18

Premium
$9.51
Break-even
$333.01
Delta
0.45
Bid / Ask
$9.13 / $9.89
Impl. vol
32.9%
Confidence
80%

Quick view

LEAP Call option offers a high-leverage play on AAPL's long-term growth with a break-even of 333.01.

Buy when · AAPL stock price confirms a bounce from the 20-day SMA ($316.04).

Sell when · AAPL stock price reaches $340 or premium falls by 50%.

$951 per contract.

LLYBuy

CALL · $1,274.50 strike · 2026-09-18

Premium
$34.06
Break-even
$1,308.56
Delta
0.44
Bid / Ask
$32.70 / $35.42
Impl. vol
34.1%
Confidence
80%

Quick view

This contract provides exposure to long-term upside with a solid 0.44 delta and over a year of extrinsic value. It is ideal for capitalising on LLY's secular growth story beyond current highs.

Buy when · Buy if LLY stock trades in the 1210.00 to 1245.00 range on steady volume.

Sell when · Sell if LLY stock reaches 1350.00 or if the option premium falls below 18.00.

The maximum loss is limited to the premium paid of $3,406 per contract.

CVXBuy

CALL · $212.50 strike · 2026-09-25

Premium
$3.89
Break-even
$216.39
Delta
0.41
Bid / Ask
$3.73 / $4.05
Impl. vol
25.5%
Confidence
80%

Quick view

This long-dated call provides excellent leverage to capture CVX's long-term uptrend with limited downside risk. It benefits from a decent 0.41 delta and a low break-even price relative to the target.

Buy when · Buy when CVX stock pulls back below $203.00, lowering the premium.

Sell when · Sell when the option premium doubles or if CVX stock breaks below $188.00.

Maximum loss is limited to the premium paid of $3.89 per share ($389 per contract).

MSFTBuy

CALL · $491.00 strike · 2026-09-11

Premium
$17.42
Break-even
$508.42
Delta
0.46
Bid / Ask
$16.72 / $18.12
Impl. vol
45.9%
Confidence
80%

Quick view

This contract offers strong long-term exposure with a solid 0.46 delta and a reasonable break-even level of 508.42.

Buy when · Buy if MSFT stock trades within the 473.00 to 482.00 entry range.

Sell when · Sell when the underlying stock reaches 520.00 or if the premium drops by more than 40%.

$1,742 maximum loss per contract if held to expiration below strike.

VBuy

CALL · $383.00 strike · 2026-09-25

Premium
$5.05
Break-even
$388.05
Delta
0.38
Bid / Ask
$4.85 / $5.25
Impl. vol
20.5%
Confidence
80%

Quick view

This LEAPS Call has an attractive 0.38 delta and provides deep duration to capture long-term secular growth at a reasonable premium.

Buy when · Visa underlying stock trades between 370.00 USD and 373.00 USD.

Sell when · Option premium reaches 10.00 USD or the underlying exceeds 400.00 USD.

Maximum loss of $505 per contract if Visa remains below 383.00 USD at expiration.

LLYBuy

CALL · $1,292.50 strike · 2026-10-09

Premium
$56.87
Break-even
$1,349.37
Delta
0.48
Bid / Ask
$54.60 / $59.14
Impl. vol
34.3%
Confidence
80%

Quick view

This contract provides an extra month of duration and a higher delta of 0.48. It offers an excellent balance of risk and time value for capturing LLY's long-term expansion.

Buy when · Buy when stock price consolidates near $1250 and premium is under $55.00.

Sell when · Sell when LLY hits $1360 or the premium exceeds $85.00.

Maximum loss is $5,687 per contract if LLY expires below $1292.50 on October 9, 2026.

TSLABuy

CALL · $385.00 strike · 2026-09-25

Premium
$18.66
Break-even
$403.66
Delta
0.48
Bid / Ask
$17.91 / $19.41
Impl. vol
58.1%
Confidence
80%

Quick view

This LEAP contract offers a solid 0.48 delta and a reasonable break-even level of 403.66 USD, making it highly effective for capturing intermediate to long-term upside.

Buy when · Buy when the TSLA share price is between 370.00 USD and 377.50 USD.

Sell when · Sell when the TSLA share price reaches 410.00 USD to lock in short-term gains, or if TSLA drops below 355.00 USD.

The maximum loss is capped at the premium paid of $1,866 per contract.

CVXBuy

CALL · $213.00 strike · 2026-09-25

Premium
$3.96
Break-even
$216.96
Delta
0.41
Bid / Ask
$3.80 / $4.12
Impl. vol
25.5%
Confidence
80%

Quick view

This LEAP call option offers solid delta exposure to CVX's long-term uptrend at a relatively low premium cost.

Buy when · Buy if CVX stock pulls back below 202.00 USD or the option premium drops to 3.20 USD.

Sell when · Sell if CVX stock hits 220.00 USD or the option premium reaches 8.00 USD.

The maximum loss is the premium paid of $396 per contract.

CVXBuy

CALL · $206.50 strike · 2026-10-16

Premium
$6.26
Break-even
$212.76
Delta
0.46
Bid / Ask
$6.01 / $6.51
Impl. vol
25.3%
Confidence
80%

Quick view

This contract provides a very healthy 0.46 delta and nearly two years of duration. It balances a high probability of profit with a comfortable time horizon to digest short-term consolidation.

Buy when · Buy when the stock price falls to $197.00, targeting an option premium of around $5.50.

Sell when · Sell when the stock price reaches $215.00 or the premium appreciates to $9.50.

Maximum loss is limited to the premium paid of $626 per contract.

MSFTBuy

CALL · $507.00 strike · 2026-10-23

Premium
$27.93
Break-even
$534.93
Delta
0.49
Bid / Ask
$26.81 / $29.05
Impl. vol
42.4%
Confidence
80%

Quick view

This contract provides a solid 0.49 delta with extra duration into late 2026, making it an excellent core long position during this consolidation phase.

Buy when · Buy when MSFT sustains its level above 496.00 USD and the premium is below 28.50 USD.

Sell when · Sell if MSFT drops below 475.00 USD or the premium rises to 45.00 USD.

Maximum loss is the premium paid of $2,793 per contract.

VBuy

CALL · $384.50 strike · 2026-09-25

Premium
$5.17
Break-even
$389.67
Delta
0.38
Bid / Ask
$4.96 / $5.38
Impl. vol
20.4%
Confidence
80%

Quick view

This contract offers a solid 0.38 delta to capture long-term upside with considerable time to expiration. It represents a balanced risk-reward play on Visa maintaining its upward trajectory over the next year.

Buy when · Buy when the underlying stock dips to 372.00 or on a breakout past 384.00.

Sell when · Sell to close if the contract value gains 50% or if the underlying stock drops below 355.00.

The maximum loss is limited to the premium paid of $517 per contract.

NVDABuy

CALL · $213.50 strike · 2026-09-18

Premium
$7.30
Break-even
$220.80
Delta
0.46
Bid / Ask
$7.01 / $7.59
Impl. vol
40.4%
Confidence
80%

Quick view

This near-the-money 2026 LEAP option features a solid 0.46 delta and provides ample time to weather short-term consolidation before NVDA resumes its long-term uptrend.

Buy when · Buy when the underlying NVDA price is between $207.00 and $210.00 with the premium under $7.50.

Sell when · Sell when the contract premium reaches $12.00 or the underlying falls below $198.00.

The maximum loss is limited to the premium paid, which is $730.00 per contract.

COSTBuy

CALL · $981.00 strike · 2026-09-18

Premium
$13.00
Break-even
$994.00
Delta
0.38
Bid / Ask
$12.48 / $13.52
Impl. vol
20.3%
Confidence
80%

Quick view

With a high delta of 0.38 and an expiry over 1.5 years away, this contract offers a great risk-reward profile to capture COST's long-term secular growth.

Buy when · Buy when COST shares pull back to 955.00 or the premium drops to 12.00.

Sell when · Sell when the contract premium doubles to 26.00 or COST reaches 1030.00.

Maximum loss is capped at the premium paid of $1,300 per contract.

MSFTBuy

CALL · $506.50 strike · 2026-09-25

Premium
$17.22
Break-even
$523.72
Delta
0.46
Bid / Ask
$16.53 / $17.91
Impl. vol
42.5%
Confidence
80%

Quick view

This near-the-money LEAP call offers solid delta participation of 0.46 and ample time for MSFT's core growth to play out. The premium is reasonable relative to the October contracts.

Buy when · Buy when MSFT stock price stabilizes above 495.00 with contract premium under 18.00.

Sell when · Sell when the contract premium reaches 30.00 or if the underlying falls below 470.00.

$1,722 maximum loss per contract if expired out of the money.

JPMBuy

CALL · $367.00 strike · 2026-09-11

Premium
$5.10
Break-even
$372.10
Delta
0.39
Bid / Ask
$4.90 / $5.30
Impl. vol
21.4%
Confidence
80%

Quick view

With a delta of 0.39 and plenty of time to expiration in late 2026, this contract provides excellent leverage to capture JPM's secular uptrend at a reasonable premium.

Buy when · Buy if the JPM spot price drops to $355.00 or the premium falls to $4.50.

Sell when · Sell if JPM rises to $385.00 or the option premium doubles.

Maximum loss is the premium paid of $510 per contract if JPM expires below $367.

JPMBuy

CALL · $366.00 strike · 2026-10-02

Premium
$5.82
Break-even
$371.82
Delta
0.40
Bid / Ask
$5.59 / $6.05
Impl. vol
20.1%
Confidence
80%

Quick view

This LEAP call provides solid delta-0.4 exposure to capture JPM's long-term growth with moderate leverage.

Buy when · Buy when stock is priced between 352.00 and 358.00.

Sell when · Sell if the stock price reaches 385.00 or the premium doubles.

Maximum loss is limited to the premium paid of $582.00 per contract.

PLTRBuy

CALL · $189.50 strike · 2026-09-18

Premium
$11.88
Break-even
$201.38
Delta
0.50
Bid / Ask
$11.40 / $12.36
Impl. vol
74.3%
Confidence
80%

Quick view

This deep-in-time LEAP call offers a solid 0.50 delta, providing strong exposure to PLTR's long-term upside while mitigating short-term noise. The break-even of 201.38 is highly achievable over the multi-year runway.

Buy when · Buy if the contract premium falls below $11.00 during an equity pullback to $180.00.

Sell when · Sell to close if the contract premium gains 80% or if the underlying stock breaks below $160.00.

Maximum loss is limited to the premium paid of $1,188 per contract.

LLYBuy

CALL · $1,273.50 strike · 2026-09-18

Premium
$35.31
Break-even
$1,308.81
Delta
0.44
Bid / Ask
$33.90 / $36.72
Impl. vol
34.4%
Confidence
80%

Quick view

This long-dated contract provides a solid 0.44 delta and a reasonable break-even point, allowing investors to capitalize on LLY's secular growth over a long horizon.

Buy when · The stock price stabilizes above 1230.00 USD with stable implied volatility.

Sell when · The contract premium doubles to 70.62 USD or the underlying stock falls below 1150.00 USD.

Maximum loss is the premium paid of $3,531.00 per contract.

XOMBuy

CALL · $162.00 strike · 2026-09-18

Premium
$2.90
Break-even
$164.90
Delta
0.41
Bid / Ask
$2.78 / $3.02
Impl. vol
25.6%
Confidence
80%

Quick view

This long-dated call provides strong leverage with a 0.41 delta and a low premium of 2.9, making it an efficient vehicle for a long-term bullish outlook.

Buy when · Buy when XOM stock stabilizes above 158.00 and the option premium is under 3.10.

Sell when · Sell when XOM stock reaches 170.00 or the premium falls below 1.20.

Maximum loss is the premium paid of $290 per contract.

MSFTBuy

CALL · $510.50 strike · 2026-09-25

Premium
$17.98
Break-even
$528.48
Delta
0.46
Bid / Ask
$17.26 / $18.70
Impl. vol
42.5%
Confidence
80%

Quick view

This slightly out-of-the-money LEAP offers high delta exposure with ample time to ride the long-term upward trend.

Buy when · Buy when the underlying stock stabilizes near 495.00.

Sell when · Sell if the underlying stock hits 538.00 or if the option premium drops below 10.00.

Maximum loss is limited to the premium paid of $1,798 per contract.

NVDABuy

CALL · $224.00 strike · 2026-09-25

Premium
$7.61
Break-even
$231.61
Delta
0.46
Bid / Ask
$7.31 / $7.91
Impl. vol
40.8%
Confidence
80%

Quick view

An excellent mid-delta LEAP option that offers strong exposure to NVDA long-term growth with highly cushioned theta decay.

Buy when · NVDA price is within the 215.00 to 220.00 entry zone.

Sell when · Underlying price target of 235.00 is achieved or premium drops by 45%.

Maximum loss is the premium paid of $761 per contract.

COSTBuy

CALL · $985.00 strike · 2026-09-18

Premium
$14.73
Break-even
$999.73
Delta
0.39
Bid / Ask
$14.14 / $15.32
Impl. vol
21.6%
Confidence
80%

Quick view

This long-dated call option provides a solid delta of 0.39 and ample time for the underlying to break above 1000.00 USD.

Buy when · Buy when the stock holds support above 960.00 USD.

Sell when · Sell when the premium increases to 25.00 USD or the stock drops below 940.00 USD.

$1,473 maximum loss per contract (premium paid).

MSFTBuy

CALL · $514.00 strike · 2026-09-25

Premium
$18.07
Break-even
$532.07
Delta
0.46
Bid / Ask
$17.35 / $18.79
Impl. vol
42.4%
Confidence
80%

Quick view

A near-the-money LEAPS call with a solid 0.46 delta that captures MSFT's long-term secular growth with reduced exposure to immediate time decay.

Buy when · Buy if MSFT dips toward $495.00 or if the contract premium falls below $16.50.

Sell when · Sell if the contract premium doubles to $36.00 or the underlying falls below $475.00.

Maximum loss is $1,807 per contract if the stock expires below $514.00.

PLTRBuy

CALL · $181.00 strike · 2026-09-18

Premium
$11.95
Break-even
$192.95
Delta
0.50
Bid / Ask
$11.47 / $12.43
Impl. vol
76.2%
Confidence
80%

Quick view

This slightly out-of-the-money long-term LEAP contract offers high delta sensitivity of 0.5 and ample time for PLTR's growth trajectory to play out.

Buy when · Buy if the contract premium falls to 10.50 USD or PLTR stock retraces to the 172.00 USD level.

Sell when · Sell if the option premium doubles to 24.00 USD or if PLTR stock breaks support at 150.00 USD.

Maximum loss is limited to the premium paid, which is 1,195 USD per contract.

LLYBuy

CALL · $1,264.00 strike · 2026-09-18

Premium
$33.81
Break-even
$1,297.81
Delta
0.44
Bid / Ask
$32.46 / $35.16
Impl. vol
34.2%
Confidence
80%

Quick view

This near-the-money call option provides excellent delta and ample time value to capture LLY's medium-term trend towards $1,350.

Buy when · Buy when LLY stock price is between $1,210.00 and $1,240.00.

Sell when · Sell when LLY stock price reaches $1,350.00 or the premium gains 50%.

Maximum loss is limited to the premium paid of $3,381.00 per contract.

AMZNBuy

CALL · $266.00 strike · 2026-09-18

Premium
$9.34
Break-even
$275.34
Delta
0.46
Bid / Ask
$8.97 / $9.71
Impl. vol
43.1%
Confidence
80%

Quick view

This near-the-money 2026 CALL provides massive runway to capture long-term upside with a strong delta of 0.46, making it an excellent vehicle for riding the recovery.

Buy when · Underlying asset price holds above 255.00 with stabilizing daily RSI.

Sell when · Underlying asset reaches 284.00 or the contract premium gains 50%.

Maximum loss is the premium paid of $934.00 per contract.

VBuy

CALL · $391.00 strike · 2026-10-16

Premium
$9.27
Break-even
$400.27
Delta
0.44
Bid / Ask
$8.90 / $9.64
Impl. vol
20.8%
Confidence
80%

Quick view

With a 0.44 delta and ample time, this contract offers a robust structure to capture long-term upside following a short-term consolidation.

Buy when · Visa stock experiences a pullback to $373.00.

Sell when · Visa shares reach the $415.00 primary price target.

$927 maximum loss per contract if the stock remains below $391.00 at expiration.

MSFTBuy

CALL · $493.50 strike · 2026-09-18

Premium
$19.39
Break-even
$512.89
Delta
0.47
Bid / Ask
$18.61 / $20.17
Impl. vol
45.5%
Confidence
80%

Quick view

This contract offers high delta sensitivity near the current stock price, allowing for high capital efficiency with nearly two years of duration to absorb short-term noise.

Buy when · Stock price retraces to 478.00 and shows signs of stabilizing support.

Sell when · Stock price reaches 525.00 or the contract premium depreciates below 11.50.

The maximum loss is limited to the premium paid of $1,939 per contract.

PLTRBuy

CALL · $183.50 strike · 2026-09-25

Premium
$12.06
Break-even
$195.56
Delta
0.50
Bid / Ask
$11.58 / $12.54
Impl. vol
74.1%
Confidence
80%

Quick view

This LEAP call option has a high delta of 0.50, allowing traders to capture substantial long-term gains with a structural buffer against short-term price volatility.

Buy when · Buy when PLTR stock trades between $175.00 and $180.00.

Sell when · Sell when the contract premium gains 50% or if the underlying stock drops below $146.11.

Maximum loss is limited to the premium paid of $1,206 per contract.

AMZNBuy

CALL · $271.00 strike · 2026-10-09

Premium
$15.64
Break-even
$286.64
Delta
0.50
Bid / Ask
$15.01 / $16.27
Impl. vol
43.8%
Confidence
80%

Quick view

With a 0.50 delta and extra time value into October 2026, this contract provides a high-probability setup to benefit from long-term secular growth.

Buy when · Buy if the underlying stock consolidates near the 20-day SMA of 258.73.

Sell when · Sell if the premium appreciates to 30.00 or if AMZN closes below the 200-day SMA.

The maximum loss is limited to the premium paid, which is $1,564 per contract.

NVDABuy

CALL · $215.50 strike · 2026-10-16

Premium
$10.74
Break-even
$226.24
Delta
0.49
Bid / Ask
$10.31 / $11.17
Impl. vol
38.7%
Confidence
80%

Quick view

With an October 2026 expiry, this call provides an exceptional buffer for recovery with a solid 0.49 delta to capture upward movement.

Buy when · Buy when NVDA price tests the SMA50 support near 208.00.

Sell when · Sell when the underlying stock reaches 225.00 or if the contract value falls to 8.00.

The maximum loss is limited to the premium paid of $1,074 per contract.

NVDABuy

CALL · $216.00 strike · 2026-09-18

Premium
$6.51
Break-even
$222.51
Delta
0.45
Bid / Ask
$6.25 / $6.77
Impl. vol
38.7%
Confidence
80%

Quick view

This near-the-money call option offers great leverage with a solid delta of 0.45 and a break-even price close to recent trading ranges.

Buy when · Buy when NVDA stock trades above 210.00 USD and the contract premium is below 6.80 USD.

Sell when · Sell when the contract premium reaches 13.00 USD or if NVDA falls below 195.00 USD.

Maximum loss is limited to the premium paid of 651 USD per contract.

AMZNBuy

CALL · $265.50 strike · 2026-09-18

Premium
$9.03
Break-even
$274.53
Delta
0.46
Bid / Ask
$8.67 / $9.39
Impl. vol
43.1%
Confidence
80%

Quick view

This contract offers an attractive entry point to capture AMZN's long-term growth with a solid 0.46 delta and nearly 2 years to expiration.

Buy when · Buy when the underlying stock price is below $261.00.

Sell when · Sell when the underlying stock reaches $295.00 or if the option value drops by 50%.

The maximum risk is the premium paid of $903 per contract if AMZN expires below the strike price of $265.50.

COSTBuy

CALL · $982.50 strike · 2026-09-18

Premium
$12.99
Break-even
$995.49
Delta
0.38
Bid / Ask
$12.47 / $13.51
Impl. vol
20.3%
Confidence
80%

Quick view

This contract offers a solid 0.38 delta and substantial time-to-expiry to capture Costco's long-term upward trajectory.

Buy when · Buy when the underlying stock holds above 960.00.

Sell when · Sell when the option premium reaches 25.00 or the underlying spot falls below 935.00.

Maximum loss is limited to the premium paid of $1,299 per contract.

NVDABuy

CALL · $222.50 strike · 2026-10-23

Premium
$12.11
Break-even
$234.61
Delta
0.50
Bid / Ask
$11.63 / $12.59
Impl. vol
40.8%
Confidence
80%

Quick view

This ATM LEAP option offers balanced delta exposure and an extra month of expiry, making it a highly resilient bullish position.

Buy when · Buy when the stock price holds above $215.00 or the contract premium drops to $11.00.

Sell when · Sell when the stock price rises to $235.00 or the contract premium rises to $18.00.

The maximum loss is limited to the premium paid, which is $1,211 per contract.

VBuy

CALL · $380.00 strike · 2026-09-25

Premium
$5.09
Break-even
$385.09
Delta
0.38
Bid / Ask
$4.89 / $5.29
Impl. vol
20.7%
Confidence
80%

Quick view

This long-dated contract provides a solid 0.38 delta at a highly competitive premium, offering high-leverage exposure to Visa's steady upward trajectory.

Buy when · Buy when the underlying stock stabilizes near $370.00 and the premium is under $5.20.

Sell when · Sell when the contract premium doubles to $10.40 or if the underlying stock breaches $358.00.

The maximum loss is limited to the premium paid of $509 per contract.

MSFTBuy

CALL · $495.50 strike · 2026-09-18

Premium
$19.55
Break-even
$515.05
Delta
0.47
Bid / Ask
$18.77 / $20.33
Impl. vol
45.5%
Confidence
80%

Quick view

This near-the-money Sep 2026 contract offers a balanced delta of 0.47 and a reasonable break-even point. It provides a long runway to capture MSFT's secular growth beyond the current short-term consolidation.

Buy when · Buy when the underlying stock drops to around $480 and shows signs of support.

Sell when · Sell if the contract premium appreciates by 60% or the underlying stock breaks below $450.

The maximum loss is $1,955 per contract if the stock expires below $495.50.

PLTRBuy

CALL · $191.50 strike · 2026-09-25

Premium
$13.12
Break-even
$204.62
Delta
0.50
Bid / Ask
$12.60 / $13.64
Impl. vol
74.3%
Confidence
80%

Quick view

This LEAP option offers an attractive 0.50 delta, providing strong exposure to long-term gains with a reasonable break-even price of $204.62.

Buy when · Buy if the underlying stock remains above $185.00.

Sell when · Sell if the underlying stock reaches the target of $215.00 or if the option premium gains 50%.

The maximum loss is the premium paid of $1,312.00 per contract.

CRMBuy

CALL · $265.00 strike · 2026-09-25

Premium
$14.14
Break-even
$279.14
Delta
0.49
Bid / Ask
$13.57 / $14.71
Impl. vol
59.6%
Confidence
80%

Quick view

This ATM/slightly OTM contract offers high delta leverage for a long-term bullish play, capturing CRM's long-term enterprise growth.

Buy when · Buy if CRM stock pulls down to $250.00, reducing the premium closer to $11.00.

Sell when · Sell if the stock reaches our $285.00 target or if the premium drops below $5.50.

Maximum risk is $1,414 per contract if the stock expires below $265.00.

XOMBuy

CALL · $166.50 strike · 2026-10-23

Premium
$5.17
Break-even
$171.67
Delta
0.46
Bid / Ask
$4.96 / $5.38
Impl. vol
25.9%
Confidence
80%

Quick view

The extra month of duration relative to September contracts provides a more robust buffer for capital appreciation through any extended consolidation.

Buy when · Buy if the contract premium is at or below 5.15 USD.

Sell when · Sell if the contract premium reaches 8.50 USD or if the underlying stock hits 175.00 USD.

Maximum loss is limited to the premium paid of $517 per contract.

VBuy

CALL · $389.00 strike · 2026-10-23

Premium
$9.29
Break-even
$398.29
Delta
0.44
Bid / Ask
$8.92 / $9.66
Impl. vol
20.3%
Confidence
80%

Quick view

An attractive LEAP contract providing excellent delta and extra time cushion for Visa to continue its secular growth trend.

Buy when · Buy if Visa pulls back towards the 20-day SMA near $372.00.

Sell when · Sell if the option premium increases by 50% to $13.90 or if the underlying drops below $365.00.

Maximum loss is limited to the premium paid of $929 per contract.

PLTRBuy

CALL · $176.00 strike · 2026-10-16

Premium
$18.63
Break-even
$194.63
Delta
0.54
Bid / Ask
$17.88 / $19.38
Impl. vol
76.1%
Confidence
80%

Quick view

Paying a higher premium for the October expiry provides an extra month of protection and time to capture PLTR's secular uptrend. The 0.54 delta offers strong participation in any immediate upside.

Buy when · Buy when the underlying price stabilizes near $168.00.

Sell when · Sell when the underlying stock reaches $195.00 or if the option loses 40% of its initial premium value.

Maximum loss is the premium paid of $1,863 per contract.

VBuy

CALL · $377.50 strike · 2026-09-11

Premium
$4.67
Break-even
$382.17
Delta
0.37
Bid / Ask
$4.48 / $4.86
Impl. vol
20.8%
Confidence
80%

Quick view

A highly viable long-term leverage play with a solid delta, offering great sensitivity to Visa's upward trajectory at a reasonable premium cost.

Buy when · Visa stock price pulls back below 368.00 USD, lowering the entry premium.

Sell when · Visa stock price reaches 395.00 USD or the option premium doubles.

Maximum loss is the premium paid of $467 per contract.

CRMBuy

CALL · $263.50 strike · 2026-09-18

Premium
$12.91
Break-even
$276.41
Delta
0.48
Bid / Ask
$12.39 / $13.43
Impl. vol
59.7%
Confidence
80%

Quick view

This deep LEAP call offers significant time for CRM's bullish momentum to play out beyond the current overbought state with a solid 0.48 delta.

Buy when · Buy when the underlying CRM stock drops to $250.00, lowering the option premium to around $10.00.

Sell when · Sell when the underlying stock reaches $285.00 or the contract premium doubles.

Maximum loss is limited to the premium paid, which is $1,291 per contract.

GOOGLBuy

CALL · $350.00 strike · 2026-09-25

Premium
$12.27
Break-even
$362.27
Delta
0.46
Bid / Ask
$11.78 / $12.76
Impl. vol
37.8%
Confidence
80%

Quick view

This LEAPS call contract has a solid 0.46 delta and provides ample time for the stock to recover back above the 350 strike.

Buy when · Buy when the underlying stock is trading below 343.00.

Sell when · Sell when the contract premium doubles or the underlying stock falls below 328.00.

Maximum loss is $1,227 per contract if the stock expires below 350.

VBuy

CALL · $372.00 strike · 2026-10-09

Premium
$9.05
Break-even
$381.05
Delta
0.45
Bid / Ask
$8.69 / $9.41
Impl. vol
20.7%
Confidence
80%

Quick view

This option offers the most balanced risk-reward profile, with a 0.45 delta and ample time for Visa's valuation to compound.

Buy when · Buy when Visa shares trade between $360.00 and $364.78.

Sell when · Sell if the stock reaches our $385.00 target or if the premium drops by 40%.

The maximum loss is limited to the premium paid of $9.05 per share, or $905.00 per contract.

MSFTBuy

CALL · $495.50 strike · 2026-10-16

Premium
$30.71
Break-even
$526.21
Delta
0.50
Bid / Ask
$29.48 / $31.94
Impl. vol
45.5%
Confidence
80%

Quick view

With a 0.50 delta and longer expiry, this contract offers deep liquidity and maximum time value. The premium is higher, but it reduces theta decay in the near term.

Buy when · Buy if the stock price drops below $480.

Sell when · Sell if the contract premium appreciates by 50% or MSFT hits $540.

The maximum loss is $3,071 per contract if the stock expires below $495.50.

MSFTBuy

CALL · $522.00 strike · 2026-10-23

Premium
$30.02
Break-even
$552.02
Delta
0.50
Bid / Ask
$28.82 / $31.22
Impl. vol
42.7%
Confidence
80%

Quick view

With a 0.50 delta and extra time, this option provides the most robust risk-adjusted profile for a sustained uptrend. It is well-suited for capital preservation while capturing stock gains.

Buy when · Buy when the stock holds key psychological support at $500.00.

Sell when · Sell when the target price of $550.00 is achieved or the stock breaks below $485.00.

The maximum loss is the premium paid of $3,002 per contract.

BACBuy

CALL · $65.50 strike · 2026-10-09

Premium
$1.39
Break-even
$66.89
Delta
0.44
Bid / Ask
$1.33 / $1.45
Impl. vol
18.7%
Confidence
80%

Quick view

With more time to maturity and a solid 0.44 delta, this contract is the safest vehicle for capturing BAC's structural uptrend post-consolidation.

Buy when · Buy if BAC retraces to 62.00 or the premium falls to 1.20.

Sell when · Sell if BAC hits 70.00 or the premium doubles to 2.80.

The maximum loss is $139 per contract if the option expires worthless.

MSFTBuy

CALL · $521.50 strike · 2026-09-25

Premium
$17.39
Break-even
$538.89
Delta
0.46
Bid / Ask
$16.69 / $18.09
Impl. vol
42.5%
Confidence
80%

Quick view

This long-dated call option provides a solid 0.46 delta and plenty of time value to withstand near-term volatility while capitalizing on MSFT's secular uptrend.

Buy when · Buy if the underlying stock price dips below 511.00 USD.

Sell when · Sell if the stock price reaches 540.00 USD or the option premium increases by 50% to around 26.00 USD.

Maximum loss is limited to the premium paid of 1,739.00 USD per contract.

VBuy

CALL · $388.00 strike · 2026-09-25

Premium
$5.35
Break-even
$393.35
Delta
0.39
Bid / Ask
$5.14 / $5.56
Impl. vol
20.3%
Confidence
80%

Quick view

This slightly out-of-the-money call provides excellent leverage and significant time to capture Visa's long-term upward trajectory. The 0.39 delta provides robust sensitivity to positive price movements.

Buy when · Buy when the underlying stock price successfully holds above $380.00.

Sell when · Sell when the underlying stock reaches $410.00 or if the option premium gains 80%.

The maximum loss is limited to the premium paid, which is $535.00 per contract.

CRMBuy

CALL · $267.00 strike · 2026-09-25

Premium
$14.25
Break-even
$281.25
Delta
0.49
Bid / Ask
$13.68 / $14.82
Impl. vol
59.7%
Confidence
80%

Quick view

This deep LEAP call provides excellent leverage to CRM's long-term growth with a moderate delta of 0.49. Buying on a near-term dip allows for premium discount while holding a resilient long-term position.

Buy when · Buy when the stock price falls to $255.00, reducing the premium to approximately $11.50.

Sell when · Sell when the contract value doubles or if CRM falls below the key support of $220.00.

Maximum loss is the premium paid of $1,425 per contract.

LLYBuy

CALL · $1,313.00 strike · 2026-10-09

Premium
$59.12
Break-even
$1,372.12
Delta
0.48
Bid / Ask
$56.76 / $61.48
Impl. vol
35.1%
Confidence
80%

Quick view

Provides the highest delta and an extra month of duration, giving the trade maximum breathing room.

Buy when · Buy when the underlying LLY stock drops to $1250.

Sell when · Sell when the contract premium increases by 50% or the underlying stock falls below $1190.

$5,912 maximum loss per contract if held to expiration below strike.

AMZNBuy

CALL · $261.00 strike · 2026-09-18

Premium
$8.73
Break-even
$269.73
Delta
0.45
Bid / Ask
$8.38 / $9.08
Impl. vol
43.1%
Confidence
80%

Quick view

This long-dated LEAP call provides deep time value to capture AMZN's long-term growth while capitalizing on the current short-term dip.

Buy when · Buy when AMZN stock price is between 251.00 and 256.00.

Sell when · Sell when the option contract value gains 50% or the underlying stock breaks 280.00.

Maximum loss is the premium paid of $873 per contract.

XOMBuy

CALL · $162.50 strike · 2026-10-23

Premium
$5.29
Break-even
$167.79
Delta
0.47
Bid / Ask
$5.08 / $5.50
Impl. vol
25.8%
Confidence
80%

Quick view

This contract has the highest delta in the group and provides additional time, mitigating short-term consolidation risk.

Buy when · Buy when XOM trades in the 157.00 to 159.00 entry zone.

Sell when · Sell when XOM touches the 170.00 target or if the premium drops below 2.50.

$529.00 per contract if XOM stays below $162.50 at expiration.

CRMBuy

CALL · $260.50 strike · 2026-09-25

Premium
$13.25
Break-even
$273.75
Delta
0.48
Bid / Ask
$12.72 / $13.78
Impl. vol
59.3%
Confidence
80%

Quick view

This contract offers a relatively underpriced premium and a high delta of 0.48, making it highly efficient for catching the next major upward leg after a pullback.

Buy when · Buy when CRM stock drops to $245.00 or the contract premium falls below $11.00.

Sell when · Sell when CRM stock hits the $280.00 target or the contract premium reaches $22.00.

$1,325 maximum loss per contract if held to expiration below strike.

AMZNBuy

CALL · $266.50 strike · 2026-10-30

Premium
$16.93
Break-even
$283.43
Delta
0.51
Bid / Ask
$16.25 / $17.61
Impl. vol
43.6%
Confidence
80%

Quick view

This option offers a robust 0.51 delta and extra duration into late October, providing a highly resilient structure for a medium-term recovery play.

Buy when · Buy when AMZN stock trades between $258.00 and $262.00.

Sell when · Sell when the underlying stock hits $282.00 or premium drops to $9.00.

The maximum loss is limited to the premium paid, which is $1,693 per contract.

MSFTBuy

CALL · $521.00 strike · 2026-09-25

Premium
$18.87
Break-even
$539.87
Delta
0.46
Bid / Ask
$18.12 / $19.62
Impl. vol
42.7%
Confidence
80%

Quick view

This contract provides deep LEAP exposure with a moderate 0.46 delta and a break-even closely aligned with current 52-week highs. It is an effective vehicle for capitalizing on MSFT's secular cloud growth over a long horizon.

Buy when · Buy when the underlying stock drops to support near $495.00.

Sell when · Sell if the underlying stock hits $550.00 or if the option premium falls below $9.50.

Maximum loss is $1,887 per contract if the stock expires below $521.00.

JPMBuy

CALL · $359.50 strike · 2026-09-11

Premium
$4.51
Break-even
$364.01
Delta
0.37
Bid / Ask
$4.33 / $4.69
Impl. vol
21.2%
Confidence
80%

Quick view

This contract offers a strong delta of 0.37 with a long duration to capture JPM's structural uptrend at a relatively low premium.

Buy when · Buy if the JPM stock price falls below $348.00, lowering the premium to approximately $4.10.

Sell when · Sell if JPM shares rise to $365.00 or if the option premium gains 50%.

The maximum loss is limited to the premium paid of $451 per contract.

NVDABuy

CALL · $232.00 strike · 2026-10-23

Premium
$12.35
Break-even
$244.35
Delta
0.49
Bid / Ask
$11.86 / $12.84
Impl. vol
41.3%
Confidence
80%

Quick view

This contract has a high delta of 0.49 and an extra month of duration, making it a very robust position to capture NVDA's upward trajectory.

Buy when · Buy when NVDA stock falls to near the SMA20 support at 220.00 USD.

Sell when · Sell when the premium reaches 20.00 USD or NVDA closes below 208.00 USD.

Maximum loss is the premium paid of 1,235 USD per contract.

PLTRBuy

CALL · $173.00 strike · 2026-09-25

Premium
$11.19
Break-even
$184.19
Delta
0.50
Bid / Ask
$10.74 / $11.64
Impl. vol
75.3%
Confidence
80%

Quick view

A 0.50 delta LEAP that offers a highly balanced and direct play on PLTR's long-term growth following this short-term pullback.

Buy when · Buy when the underlying stock price trades below $170.00.

Sell when · Sell when the underlying stock reaches $195.00 or the option premium gains 50%.

The maximum loss is limited to the premium paid of $1,119.00 per contract.

SHOPBuy

CALL · $151.00 strike · 2026-10-16

Premium
$12.95
Break-even
$163.95
Delta
0.53
Bid / Ask
$12.43 / $13.47
Impl. vol
61.0%
Confidence
80%

Quick view

With the highest delta of 0.53 and an additional month of duration, this contract offers the safest profile for capturing long-term growth.

Buy when · SHOP stock pulls back to 142.00 USD or the premium drops to 11.50 USD.

Sell when · SHOP stock reaches 165.00 USD or the premium gains 45%.

Maximum loss is limited to the premium paid of 1,295 USD per contract.

MSFTBuy

CALL · $517.50 strike · 2026-09-25

Premium
$18.42
Break-even
$535.92
Delta
0.46
Bid / Ask
$17.68 / $19.16
Impl. vol
42.8%
Confidence
80%

Quick view

This long-term LEAP offers an attractive 0.46 delta, providing solid exposure to MSFT's secular growth with a reasonable break-even of 535.92.

Buy when · Buy if MSFT stock trades between 495.00 and 508.00.

Sell when · Sell if the option premium increases by 50% or if the underlying stock drops below 475.00.

Maximum loss is limited to the premium paid of $1,842 per contract.

NFLXBuy

CALL · $81.50 strike · 2026-10-16

Premium
$3.74
Break-even
$85.24
Delta
0.48
Bid / Ask
$3.59 / $3.89
Impl. vol
36.6%
Confidence
80%

Quick view

This longer-dated option offers a higher delta of 0.48 and more time to navigate potential consolidation before hitting the target.

Buy when · NFLX stock price closes above 80.00.

Sell when · NFLX stock reaches 87.00 or the premium drops below 1.80.

Maximum loss is limited to the premium paid of $374 per contract.

METABuy

CALL · $626.50 strike · 2026-09-25

Premium
$23.24
Break-even
$649.74
Delta
0.46
Bid / Ask
$22.31 / $24.17
Impl. vol
46.4%
Confidence
80%

Quick view

Provides excellent delta exposure (0.46) to META's long-term recovery with an expiry in late 2026.

Buy when · Buy when the underlying asset breaches 615.00 USD and volume begins to trend positive.

Sell when · Sell if the option premium increases by 50% or if the underlying falls below 585.00 USD.

$2,324 maximum loss per contract if the stock closes below $626.50 at expiry.

LLYBuy

CALL · $1,198.00 strike · 2026-09-25

Premium
$36.10
Break-even
$1,234.10
Delta
0.45
Bid / Ask
$34.66 / $37.54
Impl. vol
34.6%
Confidence
80%

Quick view

This LEAPS call offers excellent delta exposure of 0.45, allowing investors to participate in LLY's long-term growth with defined risk.

Buy when · Buy when the underlying stock drops to the entry zone of 1150.00 USD to 1170.00 USD.

Sell when · Sell when the underlying stock reaches 1250.00 USD or if the premium drops below 18.00 USD.

The maximum loss is limited to the premium paid of $36.10 per share ($3,610 total per contract).

VBuy

CALL · $371.50 strike · 2026-09-11

Premium
$4.91
Break-even
$376.41
Delta
0.38
Bid / Ask
$4.71 / $5.11
Impl. vol
20.7%
Confidence
80%

Quick view

A highly leveraged long-term LEAP contract capturing Visa's steady upward trajectory over the next 1.5+ years. The 371.5 strike is situated just above current levels, allowing for rapid premium growth upon a breakout.

Buy when · Buy when the stock confirms support at $363.00 with stabilizing RSI.

Sell when · Sell if the option premium drops below $2.50 or the stock fails to hold $345.00.

Maximum loss is $491 per contract if the stock expires below $371.50 in September 2026.

LLYBuy

CALL · $1,287.50 strike · 2026-09-11

Premium
$33.12
Break-even
$1,320.62
Delta
0.44
Bid / Ask
$31.80 / $34.44
Impl. vol
35.3%
Confidence
80%

Quick view

Attractive near-the-money LEAPS call that offers substantial leverage and a solid delta to capture the long-term upward trend.

Buy when · Buy if stock pulls back to $1230 or premium drops to $30.00.

Sell when · Sell if stock reaches $1380 or premium rises to $80.00.

Maximum loss is the premium paid of $3,312 per contract if LLY expires below $1287.50.

VBuy

CALL · $390.00 strike · 2026-09-18

Premium
$4.73
Break-even
$394.73
Delta
0.37
Bid / Ask
$4.54 / $4.92
Impl. vol
20.8%
Confidence
80%

Quick view

Highly leveraged long-term call option that becomes highly attractive on minor consolidations. Low premium relative to time-to-expiry makes this a cost-effective bullish bet.

Buy when · Underlying stock price falls back to 380.00 USD.

Sell when · Option premium reaches 10.00 USD or underlying breaks below 365.00 USD.

The maximum loss is limited to 473.00 USD per contract if the option expires worthless.

XOMBuy

CALL · $160.00 strike · 2026-10-23

Premium
$5.26
Break-even
$165.26
Delta
0.46
Bid / Ask
$5.05 / $5.47
Impl. vol
25.8%
Confidence
80%

Quick view

Provides the best blend of delta and time, capturing the primary uptrend with more duration and higher probability of success.

Buy when · Underlying stock trades near 155.00 USD.

Sell when · Underlying stock reaches 168.00 USD or option premium doubles.

Maximum loss is $526 per contract if XOM expires below $160.

XOMBuy

CALL · $170.50 strike · 2026-09-11

Premium
$3.03
Break-even
$173.53
Delta
0.41
Bid / Ask
$2.91 / $3.15
Impl. vol
26.1%
Confidence
80%

Quick view

This call option provides a solid delta of 0.41 and a long runway to expiry, making it a robust vehicle to leverage long-term bullish gains on a stock pullback.

Buy when · XOM stock price falls below $164.50.

Sell when · XOM stock price reaches $178.00 or the option premium falls by 50%.

Maximum loss is limited to the premium paid of $303 per contract.

JPMBuy

CALL · $365.00 strike · 2026-09-18

Premium
$4.44
Break-even
$369.44
Delta
0.37
Bid / Ask
$4.26 / $4.62
Impl. vol
21.0%
Confidence
80%

Quick view

This LEAPS contract offers a solid 0.37 delta and ample time to capture JPM's long-term secular growth trend beyond the 365 strike.

Buy when · Buy when the underlying JPM stock is trading between $352.00 and $358.00.

Sell when · Sell if the contract premium doubles to $8.88 or if the underlying stock drops below $342.00.

Maximum loss is the premium paid of $444 per contract.

GOOGLBuy

CALL · $357.00 strike · 2026-09-25

Premium
$13.30
Break-even
$370.30
Delta
0.47
Bid / Ask
$12.77 / $13.83
Impl. vol
38.2%
Confidence
80%

Quick view

This near-the-money long-term call offers excellent leverage to play a recovery from oversold levels with a high delta of 0.47.

Buy when · GOOGL stock holds firm above 350.00.

Sell when · GOOGL stock reaches 385.00 or the contract value gains 50%.

Maximum loss is limited to the premium paid of $1,330 per contract.

COSTBuy

CALL · $987.50 strike · 2026-10-09

Premium
$24.21
Break-even
$1,011.71
Delta
0.44
Bid / Ask
$23.24 / $25.18
Impl. vol
21.0%
Confidence
80%

Quick view

Higher delta of 0.44 provides solid exposure to underlying price moves with an extra month of expiry. The premium is higher but offers a more robust risk profile for a medium-term bull thesis.

Buy when · Buy if COST stock trades near 960.00.

Sell when · Sell if COST stock exceeds 1050.00 or the contract drops to 50% of purchase price.

Maximum loss is limited to the premium paid of $2,421 per contract.

LLYBuy

CALL · $1,272.00 strike · 2026-09-18

Premium
$34.68
Break-even
$1,306.68
Delta
0.44
Bid / Ask
$33.29 / $36.07
Impl. vol
34.4%
Confidence
80%

Quick view

Deep LEAP call option offering high leverage with 2026 expiration, capturing long-term growth of the GLP-1 market.

Buy when · Buy when LLY stabilizes above $1240.

Sell when · Sell if option value gains 50% or underlying falls below $1180.

$3,468 maximum loss per contract if expired worthless.

NVDABuy

CALL · $219.50 strike · 2026-09-11

Premium
$6.50
Break-even
$226.00
Delta
0.44
Bid / Ask
$6.24 / $6.76
Impl. vol
40.1%
Confidence
80%

Quick view

This deep LEAPS contract offers a solid 0.44 delta and plenty of time value to capitalize on long-term secular trends with reduced theta decay.

Buy when · Buy when the underlying stock holds the $213.00 level during the current consolidation.

Sell when · Sell if the stock price reaches $245.00 or if the option premium loses 40% of its initial value.

$650.00 maximum loss per contract if the option expires worthless.

UBERBuy

CALL · $81.00 strike · 2026-10-16

Premium
$4.44
Break-even
$85.44
Delta
0.50
Bid / Ask
$4.26 / $4.62
Impl. vol
41.2%
Confidence
80%

Quick view

With a 0.50 delta, this contract behaves closely with the underlying stock, providing solid exposure with less time decay risk.

Buy when · Buy when the stock retraces to 77.00 USD and the premium is priced around 4.10 USD.

Sell when · Sell when the stock hits 88.00 USD or if the position loses 40% of its entry value.

The maximum loss is the premium paid of $444 per contract.

AMZNBuy

CALL · $265.50 strike · 2026-09-11

Premium
$8.92
Break-even
$274.42
Delta
0.45
Bid / Ask
$8.56 / $9.28
Impl. vol
44.0%
Confidence
80%

Quick view

This near-the-money 2026 LEAP option provides a solid balance of 0.45 delta and a break-even below our target price, benefiting from long-term secular growth.

Buy when · Buy if AMZN stays above 260.00 and contract premium is under 9.20.

Sell when · Sell if AMZN stock reaches 280.00 or if the premium doubles to 18.00.

Maximum loss is $892 per contract if it expires worthless.

LLYBuy

CALL · $1,180.50 strike · 2026-10-02

Premium
$37.81
Break-even
$1,218.31
Delta
0.46
Bid / Ask
$36.30 / $39.32
Impl. vol
33.7%
Confidence
80%

Quick view

Provides high delta exposure to a long-term recovery with moderate premium cost.

Buy when · Buy if LLY stock trades below 1160.00 USD.

Sell when · Sell if LLY stock reaches 1250.00 USD or contract value drops by 50%.

Maximum loss is the premium paid of $3,781.00 per contract.

LLYBuy

CALL · $1,191.50 strike · 2026-10-23

Premium
$56.28
Break-even
$1,247.78
Delta
0.49
Bid / Ask
$54.03 / $58.53
Impl. vol
34.7%
Confidence
80%

Quick view

Highly liquid and near-ATM LEAPS call with nearly 50 delta, offering a great balance of risk and reward for a long-term bull trend.

Buy when · Underlyer stabilizes around 1160 or premium drops below 52.00.

Sell when · Underlyer exceeds 1240 or premium reaches 85.00.

Limited to the premium paid of $5,628 per contract.

TSLABuy

CALL · $390.50 strike · 2026-10-23

Premium
$30.89
Break-even
$421.39
Delta
0.52
Bid / Ask
$29.65 / $32.13
Impl. vol
58.8%
Confidence
80%

Quick view

With a delta of 0.52 and October 2026 expiry, this provides highly liquid and resilient exposure to TSLA's secular trend.

Buy when · TSLA stock price trades below 383.00.

Sell when · TSLA stock price reaches 415.00 or premium falls below 22.00.

The maximum loss is $3,089 per contract if TSLA expires below 390.50.

NVDABuy

CALL · $222.00 strike · 2026-10-16

Premium
$12.18
Break-even
$234.18
Delta
0.49
Bid / Ask
$11.69 / $12.67
Impl. vol
42.9%
Confidence
80%

Quick view

With a high 0.49 delta and an extra month of duration, this contract offers the most robust risk-reward profile for long-term bulls.

Buy when · NVDA stock consolidates around 217.00 USD.

Sell when · NVDA stock hits 235.00 USD or the contract premium appreciates by 35%.

Maximum loss is limited to the premium paid of $1,218.00 per contract.

METABuy

CALL · $623.00 strike · 2026-09-25

Premium
$22.38
Break-even
$645.38
Delta
0.46
Bid / Ask
$21.48 / $23.28
Impl. vol
46.2%
Confidence
80%

Quick view

This contract provides an optimal entry point with a strong delta of 0.46 and a competitive premium, leveraging the stock's long-term upside beyond the SMA200.

Buy when · Buy if META maintains support above 608.00 USD with positive MACD divergence.

Sell when · Sell if the contract premium gains 60% or META falls below 580.00 USD.

The maximum loss is limited to the premium paid of $2,238 per contract.

NVDABuy

CALL · $235.00 strike · 2026-10-23

Premium
$12.54
Break-even
$247.54
Delta
0.49
Bid / Ask
$12.04 / $13.04
Impl. vol
41.5%
Confidence
80%

Quick view

Features the highest delta of 0.49 and an extended expiry buffer, providing maximum resilience against short-term volatility.

Buy when · Buy when the premium is under 12.60 USD with NVDA trading near 230.00 USD.

Sell when · Sell when the premium reaches 18.00 USD or if NVDA breaches the 50-day SMA of 209.91 USD.

Maximum loss is limited to the premium paid of 1,254 USD per contract.

MSFTBuy

CALL · $498.50 strike · 2026-10-16

Premium
$30.63
Break-even
$529.13
Delta
0.50
Bid / Ask
$29.40 / $31.86
Impl. vol
45.5%
Confidence
80%

Quick view

With a 0.50 delta, this contract behaves like owning 50 shares of stock but with limited risk and an extra month of expiry relative to the September contracts.

Buy when · Buy when MSFT share price is between $478.00 and $485.00.

Sell when · Sell when MSFT stock reaches $540.00 or if the option loses 40% of its initial value.

Maximum loss is the premium paid of $3,063.00 per contract.

PLTRBuy

CALL · $188.00 strike · 2026-09-18

Premium
$12.33
Break-even
$200.33
Delta
0.50
Bid / Ask
$11.84 / $12.82
Impl. vol
75.6%
Confidence
80%

Quick view

This deep LEAP call option provides 0.50 delta exposure, offering a balanced and highly liquid vehicle to leverage Palantir's long-term expansion.

Buy when · Buy when the underlying stock price falls below 182.00 USD.

Sell when · Sell when the contract premium reaches 20.00 USD or if the underlying stock falls below 165.00 USD.

Maximum loss is limited to the premium paid of 1,233 USD per contract.

LLYBuy

CALL · $1,213.00 strike · 2026-09-18

Premium
$31.74
Break-even
$1,244.74
Delta
0.44
Bid / Ask
$30.47 / $33.01
Impl. vol
34.8%
Confidence
80%

Quick view

This long-term LEAP offers high delta exposure at a reasonable premium, allowing investors to capitalize on LLY's secular growth with minimal time decay.

Buy when · Buy when the stock price stabilizes above 1185 with the RSI rebounding from neutral.

Sell when · Sell if the underlying stock reaches 1280 in the short term, or if LLY drops below 1100.

Maximum loss is the premium paid of $3,174 per contract.

PLTRBuy

CALL · $188.00 strike · 2026-10-16

Premium
$19.48
Break-even
$207.48
Delta
0.54
Bid / Ask
$18.70 / $20.26
Impl. vol
75.6%
Confidence
80%

Quick view

With a high delta of 0.54 and extra duration into late autumn 2026, this option captures the upside move with lower time decay pressure.

Buy when · Buy when the underlying stock price stabilizes around 181.00 USD.

Sell when · Sell when the contract premium reaches 30.00 USD.

Maximum loss is limited to the premium paid of 1,948 USD per contract.

MSFTBuy

CALL · $525.50 strike · 2026-09-18

Premium
$16.98
Break-even
$542.48
Delta
0.45
Bid / Ask
$16.30 / $17.66
Impl. vol
42.8%
Confidence
80%

Quick view

This contract offers solid delta exposure of 0.45 with a break-even price aligned near the current 52-week highs.

Buy when · Buy if MSFT stock trades between 510.00 and 515.00.

Sell when · Sell if the option premium doubles or if MSFT breaks below 480.00.

Maximum loss is $1,698 per contract if the stock expires below $525.50.

GOOGLBuy

CALL · $347.50 strike · 2026-09-25

Premium
$11.45
Break-even
$358.95
Delta
0.46
Bid / Ask
$10.99 / $11.91
Impl. vol
37.0%
Confidence
80%

Quick view

A near-the-money call option with long-dated expiry providing strong delta exposure to a rebound off the $334 support.

Buy when · Buy when GOOGL price touches $335.00 or the contract premium falls below $10.00.

Sell when · Sell when GOOGL reaches the target of $365.00 or underlying drops below $325.00.

Maximum loss is the premium paid of $1,145 per contract.

COSTBuy

CALL · $991.00 strike · 2026-10-16

Premium
$25.89
Break-even
$1,016.89
Delta
0.45
Bid / Ask
$24.85 / $26.93
Impl. vol
21.8%
Confidence
80%

Quick view

The high 0.45 delta and extended expiry provide a high-conviction setup to capture steady long-term appreciation.

Buy when · Buy when COST holds above 970.00 for two consecutive trading sessions.

Sell when · Sell if the underlying stock drops below 935.00 or the contract premium rises by 60%.

Maximum loss is $2,589 per contract if the stock expires below 991.00.

CVXBuy

CALL · $210.50 strike · 2026-09-11

Premium
$3.96
Break-even
$214.46
Delta
0.41
Bid / Ask
$3.80 / $4.12
Impl. vol
26.4%
Confidence
80%

Quick view

This contract offers a solid 0.41 delta and generous time to maturity, making it a highly effective vehicle to capture the long-term upward trend in Chevron.

Buy when · Buy if CVX spot price is between $202.00 and $206.50.

Sell when · Sell if the option premium doubles to $8.00 or if the spot stock hits the stop loss of $193.50.

The maximum loss is limited to the premium paid of $396 per contract.

MSFTBuy

CALL · $525.00 strike · 2026-09-25

Premium
$17.61
Break-even
$542.61
Delta
0.46
Bid / Ask
$16.91 / $18.31
Impl. vol
42.7%
Confidence
80%

Quick view

This slightly out-of-the-money call provides a strong delta of 0.46 and a highly achievable break-even price given the stock's long-term upward trajectory.

Buy when · Buy if MSFT stock price retraces to $510 or lower to secure a lower entry premium.

Sell when · Sell if the underlying stock price reaches $545 or the option premium increases by 40%.

Maximum loss is $1,761 per contract if MSFT expires below $525.

COINBuy

CALL · $175.00 strike · 2026-09-11

Premium
$10.06
Break-even
$185.06
Delta
0.49
Bid / Ask
$9.66 / $10.46
Impl. vol
68.4%
Confidence
80%

Quick view

The 175 strike call offers solid delta exposure to a long-term COIN recovery with over two years to expiry. This allows plenty of time to ride out near-term volatility and capture the macro crypto cycle.

Buy when · Buy when COIN stock holds support above 170.00.

Sell when · Sell when the option premium doubles or if COIN stock falls below 145.00.

Maximum loss is the premium paid of $1,006 per contract.

MSFTBuy

CALL · $528.00 strike · 2026-09-18

Premium
$17.16
Break-even
$545.16
Delta
0.45
Bid / Ask
$16.47 / $17.85
Impl. vol
42.8%
Confidence
80%

Quick view

This near-the-money LEAP call option offers strong upside capture with a 0.45 delta. It is highly liquid and benefits from long-term secular growth trends.

Buy when · Buy when MSFT stock price is under 518.00 and premium is below 17.50.

Sell when · Sell when MSFT stock price hits 560.00 or the contract premium rises to 28.00.

$1,716 per contract if the stock expires below $528.

NVDABuy

CALL · $214.00 strike · 2026-09-18

Premium
$6.34
Break-even
$220.34
Delta
0.44
Bid / Ask
$6.09 / $6.59
Impl. vol
38.8%
Confidence
80%

Quick view

This near-the-money long-term call offers an excellent leverage and risk-reward profile as NVDA stabilizes at key moving average support.

Buy when · Buy when the stock price stabilizes above 208.00.

Sell when · Sell when the option premium reaches 12.00 or stock drops below 195.00.

Maximum loss is the premium paid of 634 USD per contract.

AMDBuy

CALL · $477.00 strike · 2026-10-30

Premium
$55.15
Break-even
$532.15
Delta
0.55
Bid / Ask
$52.94 / $57.36
Impl. vol
76.7%
Confidence
80%

Quick view

The October 30 expiry provides additional duration and a solid 0.55 delta, making it an excellent vehicle for long-term capital appreciation.

Buy when · Buy when stock price consolidates near $467.00.

Sell when · Sell when AMD shares cross $580.00.

$5,515 per contract.

VBuy

CALL · $377.00 strike · 2026-09-11

Premium
$4.71
Break-even
$381.71
Delta
0.38
Bid / Ask
$4.52 / $4.90
Impl. vol
20.7%
Confidence
80%

Quick view

This long-term call option offers a moderate 0.38 delta, presenting a high probability of profit over a nearly two-year horizon as Visa breaks past resistance.

Buy when · Visa stock pulls back to 365.00 USD.

Sell when · Option contract premium doubles or underlying stock falls below 345.00 USD.

The maximum loss is limited to the premium paid of $471.00 per contract.

COINBuy

CALL · $191.00 strike · 2026-10-23

Premium
$18.80
Break-even
$209.80
Delta
0.53
Bid / Ask
$18.05 / $19.55
Impl. vol
70.6%
Confidence
80%

Quick view

Offers slightly higher delta and an extra month of duration compared to the September alternative, protecting the position from early autumn volatility.

Buy when · Buy if the underlying stock dips into the $180 to $185 range.

Sell when · Sell if the premium reaches $35.00 or the underlying breaks below $168.

The maximum loss is limited to the premium paid of $1,880 per contract.

CRMBuy

CALL · $261.00 strike · 2026-09-25

Premium
$13.34
Break-even
$274.34
Delta
0.49
Bid / Ask
$12.81 / $13.87
Impl. vol
59.3%
Confidence
80%

Quick view

This near-the-money LEAP Call provides strong delta exposure to CRM's long-term upside while mitigating short-term volatility through its distant expiration.

Buy when · Buy if the underlying CRM stock drops to the entry zone of 245.00 - 252.00, lowering the premium.

Sell when · Sell if the underlying CRM stock hits the target of 280.00 or if the option premium gains 50%.

Maximum loss is the premium paid of $1,334 per contract.

CVXBuy

CALL · $209.50 strike · 2026-10-16

Premium
$6.52
Break-even
$216.02
Delta
0.46
Bid / Ask
$6.26 / $6.78
Impl. vol
25.1%
Confidence
80%

Quick view

The October 2026 expiry provides ample time to capture the long-term uptrend with a healthy 0.46 delta.

Buy when · Buy if CVX stays above $204.00 and the premium is below $6.75.

Sell when · Sell when the contract premium reaches $12.00 or CVX falls below $193.00.

Maximum loss is limited to the premium paid of $652 per contract.

AAPLBuy

CALL · $320.50 strike · 2026-09-25

Premium
$8.34
Break-even
$328.84
Delta
0.44
Bid / Ask
$8.01 / $8.67
Impl. vol
32.6%
Confidence
80%

Quick view

This deep-expiry contract offers high delta of 0.44 and reasonable break-even price relative to long-term projections.

Buy when · Buy when the underlying AAPL price is trading below 315.00.

Sell when · Sell when the option premium rises by 40% or if the underlying drops below 298.00.

Maximum loss is the premium paid of $8.34 per share ($834 per contract).

UBERBuy

CALL · $78.00 strike · 2026-10-16

Premium
$4.28
Break-even
$82.28
Delta
0.50
Bid / Ask
$4.11 / $4.45
Impl. vol
41.3%
Confidence
80%

Quick view

This contract has the highest delta of 0.50 and more time value, making it the safest vehicle for capturing a sustained recovery.

Buy when · Buy when UBER price crosses 77.00.

Sell when · Sell if UBER drops below 73.50 or the option premium reaches $6.50.

Maximum loss is the premium paid of $428 per contract.

CVXBuy

CALL · $210.50 strike · 2026-09-25

Premium
$3.77
Break-even
$214.27
Delta
0.40
Bid / Ask
$3.62 / $3.92
Impl. vol
25.4%
Confidence
80%

Quick view

This LEAPS call offers a high delta of 0.40 and significant time to expiration, allowing the investor to capitalize on long-term growth post-consolidation.

Buy when · Buy when CVX stock pulls back to $200.00 or below.

Sell when · Sell when the option premium doubles to $7.54 or if the stock drops below $188.00.

Maximum loss is $377 per contract if the stock expires below $210.50.

AMDBuy

CALL · $493.00 strike · 2026-09-18

Premium
$33.86
Break-even
$526.86
Delta
0.50
Bid / Ask
$32.51 / $35.21
Impl. vol
77.6%
Confidence
80%

Quick view

This at-the-money LEAPS call offers a balanced 0.50 delta to capture long-term upside with lower time decay.

Buy when · Buy when the stock holds 483.11 support and MACD signal remains bullish.

Sell when · Sell when the option premium rises by 50% or the underlying stock falls below 440.00.

Maximum loss is $3,386 per contract if the stock expires below the $493 strike.

BACBuy

CALL · $64.50 strike · 2026-10-09

Premium
$1.37
Break-even
$65.87
Delta
0.43
Bid / Ask
$1.32 / $1.42
Impl. vol
19.1%
Confidence
80%

Quick view

This October 2026 expiration contract offers an even longer window for BAC to surpass the 64.50 strike, backed by a solid 0.43 delta.

Buy when · BAC stock consolidates near 62.50 USD and premium is around 1.30 USD.

Sell when · BAC stock reaches 68.00 USD or the option premium reaches 2.50 USD.

Maximum loss is $137 per contract if the stock expires below $64.50.

PLTRBuy

CALL · $189.50 strike · 2026-10-16

Premium
$19.11
Break-even
$208.61
Delta
0.54
Bid / Ask
$18.35 / $19.87
Impl. vol
74.3%
Confidence
78%

Quick view

Provides slightly longer duration than the September contract with a solid 0.54 delta. This contract maximizes probability of profit by offering extra time to weather potential macro volatility.

Buy when · Buy when the underlying stock drops to $180.00 and finds support.

Sell when · Sell to close if the underlying stock reaches $220.00 or breaches major support at $155.00.

Maximum loss is limited to the premium paid of $1,911 per contract.

COINBuy

CALL · $187.50 strike · 2026-10-16

Premium
$17.37
Break-even
$204.87
Delta
0.53
Bid / Ask
$16.68 / $18.06
Impl. vol
69.0%
Confidence
78%

Quick view

Offers extra time duration and a higher delta to buffer against potential short-term pullbacks.

Buy when · Buy when COIN shares trade between $180.00 and $184.00.

Sell when · Sell when COIN shares reach $215.00 or the option premium drops below $8.50.

$1,737 maximum loss per contract if held to expiration.

CRMBuy

CALL · $276.50 strike · 2026-10-16

Premium
$16.01
Break-even
$292.51
Delta
0.43
Bid / Ask
$15.37 / $16.65
Impl. vol
59.7%
Confidence
78%

Quick view

Offers a balanced mix of leverage and time-to-expiry, benefiting significantly once the current overbought RSI cools off.

Buy when · Buy when CRM stock price retraces to $250.00, aiming for a premium entry near $13.50.

Sell when · Sell when CRM hits $285.00 or if the premium drops below $8.00.

Maximum loss is limited to the premium paid, which is $1,601 per contract.

NVDABuy

CALL · $222.00 strike · 2026-10-23

Premium
$12.79
Break-even
$234.79
Delta
0.50
Bid / Ask
$12.28 / $13.30
Impl. vol
42.8%
Confidence
78%

Quick view

This ATM option provides a balanced 0.50 delta and longer duration into late 2026, lowering theta decay in the near term.

Buy when · Buy when the underlying price dips to 215.00 USD or RSI drops below 45.

Sell when · Sell if the premium rises to 24.00 USD or the underlying stock falls below 195.00 USD.

Maximum loss is $1,279 per contract if the stock expires below $222.00 on October 23, 2026.

UBERBuy

CALL · $78.00 strike · 2026-09-18

Premium
$2.60
Break-even
$80.60
Delta
0.46
Bid / Ask
$2.50 / $2.70
Impl. vol
41.3%
Confidence
78%

Quick view

A highly leveraged long-term call offering a 0.46 delta, providing substantial exposure to a long-term UBER uptrend with a reasonable breakeven of 80.60.

Buy when · Buy when UBER stock price crosses 77.00.

Sell when · Sell if UBER stock falls below 72.00 or if the option premium gains 50%.

Maximum loss is the premium paid of $260 per contract.

NVDABuy

CALL · $234.50 strike · 2026-10-16

Premium
$13.24
Break-even
$247.74
Delta
0.50
Bid / Ask
$12.71 / $13.77
Impl. vol
43.3%
Confidence
78%

Quick view

This 0.50 delta call option expiring in October 2026 offers an extra month of duration to absorb potential near-term consolidation while capturing strong intrinsic value.

Buy when · Buy when the stock trades in the 222.00 to 228.00 USD range and the premium is under 13.50 USD.

Sell when · Sell when the underlying stock reaches 252.00 USD or if the option premium drops below 7.50 USD.

Maximum loss is limited to the premium paid of 13.24 USD per share ($1,324 per contract).

UBERBuy

CALL · $77.00 strike · 2026-09-11

Premium
$2.52
Break-even
$79.52
Delta
0.45
Bid / Ask
$2.42 / $2.62
Impl. vol
41.6%
Confidence
78%

Quick view

This near-money LEAPS call has an attractive delta of 0.45, capturing strong upside sensitivity while offering high long-term flexibility.

Buy when · Buy if the stock price breaks above 75.50, confirming immediate upside momentum.

Sell when · Sell if the stock price reaches the target of 81.00 or if the option premium drops below 1.50.

$252 maximum loss per contract if held to expiration.

COINBuy

CALL · $185.50 strike · 2026-10-16

Premium
$17.62
Break-even
$203.12
Delta
0.53
Bid / Ask
$16.92 / $18.32
Impl. vol
70.0%
Confidence
78%

Quick view

Offering a higher delta of 0.53 and an extra month of duration, this contract minimizes theta decay. It maximizes exposure to a sustained bullish run above the current level.

Buy when · Buy when the spot price stays above 181.00 for two consecutive trading sessions.

Sell when · Sell when the option premium reaches $30.00 or the stock falls below $165.00.

Maximum loss is $1,762 per contract if the stock expires below $185.50.

CVXBuy

CALL · $216.00 strike · 2026-10-23

Premium
$6.66
Break-even
$222.66
Delta
0.46
Bid / Ask
$6.39 / $6.93
Impl. vol
25.6%
Confidence
78%

Quick view

Offers slightly more time than the September contract and a higher delta of 0.46, providing a solid long-term bullish exposure.

Buy when · Buy when CVX retraces to $205.00 and the option premium falls near $5.80.

Sell when · Sell when CVX reaches $225.00 or if the option premium gains 80%.

Maximum loss is $666 per contract if the stock expires below $216.00.

XOMBuy

CALL · $160.50 strike · 2026-10-16

Premium
$4.98
Break-even
$165.48
Delta
0.46
Bid / Ask
$4.78 / $5.18
Impl. vol
25.8%
Confidence
78%

Quick view

A higher delta alternative that offers excellent exposure and an extra month of duration to capture the bullish consolidation breakout.

Buy when · Buy when the underlying XOM stock trades within the target entry range of $151.00 to $157.00.

Sell when · Sell when the underlying stock reaches $170.00 or if the option premium drops by 40%.

The maximum loss is limited to the premium paid, which is $498 per contract.

XOMBuy

CALL · $167.00 strike · 2026-10-16

Premium
$5.43
Break-even
$172.43
Delta
0.47
Bid / Ask
$5.21 / $5.65
Impl. vol
25.9%
Confidence
78%

Quick view

Higher delta of 0.47 and an extra month of duration provide strong protection and robust upside tracking for a breakout.

Buy when · XOM stock trades between $159.00 and $163.00.

Sell when · XOM stock hits $175.00 or contract premium gains 40%.

Maximum loss is the premium paid of $543 per contract if XOM expires below $167.00.

COSTBuy

CALL · $966.50 strike · 2026-10-16

Premium
$25.74
Break-even
$992.24
Delta
0.45
Bid / Ask
$24.71 / $26.77
Impl. vol
21.2%
Confidence
78%

Quick view

Strong 0.45 delta call option that offers robust leverage for Costco's historical tendency to recover and march higher over multi-month horizons.

Buy when · Buy when the stock establishes a clear short-term bottom above $940.

Sell when · Sell once the target price of $1050 is achieved on the underlying.

Maximum loss is the premium paid of $25.74 per share ($2,574 per contract).

NVDABuy

CALL · $214.00 strike · 2026-10-16

Premium
$10.64
Break-even
$224.64
Delta
0.49
Bid / Ask
$10.21 / $11.07
Impl. vol
38.8%
Confidence
78%

Quick view

This contract provides an extended runway to expiry, offering a safer margin of safety for a recovery beyond 214.00.

Buy when · Buy when the stock price stabilizes above 208.00.

Sell when · Sell when the option premium reaches 18.00 or stock drops below 195.00.

Maximum loss is the premium paid of 1064 USD per contract.

TSLABuy

CALL · $385.00 strike · 2026-10-23

Premium
$30.05
Break-even
$415.05
Delta
0.52
Bid / Ask
$28.85 / $31.25
Impl. vol
58.1%
Confidence
78%

Quick view

With an extra month of expiry and a solid 0.52 delta, this option provides maximum protection against near-term volatility while tracking underlying price moves closely.

Buy when · Buy when TSLA trades near the lower bound of the current consolidation at 372.00 USD.

Sell when · Sell when TSLA breaches 415.00 USD or if the underlying trend reverses below 355.00 USD.

The maximum loss is capped at the premium paid of $3,005 per contract.

COSTBuy

CALL · $961.00 strike · 2026-10-23

Premium
$24.58
Break-even
$985.58
Delta
0.45
Bid / Ask
$23.60 / $25.56
Impl. vol
20.4%
Confidence
78%

Quick view

This LEAPS Call provides an extra month of duration over the September expiry, giving the stock more time to recover and hit new highs.

Buy when · Buy when the stock confirms a support bounce by closing above $945.

Sell when · Sell if the stock drops below the major long-term support at $890.

Maximum loss is limited to the premium paid of $2,458 per contract.

BACBuy

CALL · $63.00 strike · 2026-10-09

Premium
$1.36
Break-even
$64.36
Delta
0.44
Bid / Ask
$1.31 / $1.41
Impl. vol
19.1%
Confidence
78%

Quick view

This contract provides the best blend of delta and duration, offering more time for the recovery thesis to play out.

Buy when · Underlying BAC stock trades near the SMA50 support of 60.52 USD.

Sell when · Underlying BAC stock reaches the target of 64.80 USD.

Maximum loss is $136 per contract.

NVDABuy

CALL · $215.00 strike · 2026-10-16

Premium
$10.90
Break-even
$225.90
Delta
0.49
Bid / Ask
$10.46 / $11.34
Impl. vol
38.8%
Confidence
78%

Quick view

This October LEAP provides extra time decay buffer with a strong 0.49 delta to capture structural upside.

Buy when · Buy when the stock price trades between 208.00 and 211.00.

Sell when · Sell when the option premium reaches 18.00 or if the stock drops below 195.00.

Maximum loss is limited to the premium paid of $1,090 per contract.

AAPLBuy

CALL · $319.00 strike · 2026-10-23

Premium
$14.56
Break-even
$333.56
Delta
0.49
Bid / Ask
$13.98 / $15.14
Impl. vol
32.9%
Confidence
78%

Quick view

Solid near-the-money call option with generous expiration time to capture the macro uptrend and potential breakouts.

Buy when · AAPL stock price breaks above 313.00 with strong volume.

Sell when · AAPL stock price reaches 335.00 or premium gains 50%.

Maximum loss is $1,456 per contract if the stock expires below $319.00.

GOOGLBuy

CALL · $347.50 strike · 2026-10-16

Premium
$18.17
Break-even
$365.67
Delta
0.49
Bid / Ask
$17.44 / $18.90
Impl. vol
38.0%
Confidence
78%

Quick view

The October expiry provides additional time value to weather short-term consolidation before a definitive move higher.

Buy when · Buy when the underlying stock is trading between $334.00 and $341.00.

Sell when · Sell when the underlying stock price reaches $370.00.

Maximum loss is limited to the premium paid of $1,817 per contract.

MSFTBuy

CALL · $515.00 strike · 2026-10-16

Premium
$28.79
Break-even
$543.79
Delta
0.50
Bid / Ask
$27.64 / $29.94
Impl. vol
43.2%
Confidence
78%

Quick view

This contract offers solid 50-delta exposure and an extra month of expiry, providing a safer buffer against short-term consolidation.

Buy when · Buy when the underlying stock retraces to the $495.00 support level.

Sell when · Sell when MSFT rises to $540.00 or the premium falls below $18.00.

Maximum loss is the premium paid of $2,879 per contract if MSFT expires below $515.

AMZNBuy

CALL · $262.00 strike · 2026-10-16

Premium
$14.61
Break-even
$276.61
Delta
0.49
Bid / Ask
$14.03 / $15.19
Impl. vol
43.0%
Confidence
78%

Quick view

Near-at-the-money long-dated option with higher delta (0.49), capturing significant upside of the underlying stock bounce.

Buy when · Buy when stock price is between 252.00 and 257.00.

Sell when · Sell when stock reaches 274.50 or option value appreciates by 25%.

Maximum loss of $1,461 per contract.

LLYBuy

CALL · $1,197.50 strike · 2026-10-23

Premium
$56.50
Break-even
$1,254.00
Delta
0.49
Bid / Ask
$54.24 / $58.76
Impl. vol
34.6%
Confidence
78%

Quick view

This call provides extensive time value and a high delta of 0.49 to capture the full recovery cycle back to new highs.

Buy when · Buy when LLY price closes above 1180, confirming a bounce from support.

Sell when · Sell if the stock hits our 1250 target or if the premium loses 25% of its value.

$5,650 maximum loss per contract if held to expiration below strike $1197.50.

COINBuy

CALL · $197.00 strike · 2026-10-16

Premium
$18.83
Break-even
$215.83
Delta
0.53
Bid / Ask
$18.08 / $19.58
Impl. vol
70.3%
Confidence
78%

Quick view

Provides an extra month of duration, though the higher premium relative to the September equivalent requires a steeper move to hit break-even.

Buy when · COIN experiences a minor pullback to $185.00, reducing the entry cost of the contract.

Sell when · The underlying stock price reaches $245.00 or the premium appreciates by 40%.

Maximum loss is limited to the premium paid of $1,883 per contract.

PLTRBuy

CALL · $173.00 strike · 2026-10-23

Premium
$17.73
Break-even
$190.73
Delta
0.53
Bid / Ask
$17.02 / $18.44
Impl. vol
75.3%
Confidence
78%

Quick view

Features a robust 0.53 delta and extra duration into late October 2026, offering more defense against short-term volatility.

Buy when · Buy when the underlying stock stabilizes above $168.00.

Sell when · Sell when the underlying stock target of $200.00 is achieved.

The maximum loss is limited to the premium paid of $1,773.00 per contract.

BACBuy

CALL · $63.50 strike · 2026-10-30

Premium
$1.50
Break-even
$65.00
Delta
0.45
Bid / Ask
$1.44 / $1.56
Impl. vol
18.2%
Confidence
78%

Quick view

This call offers more time for the recovery thesis to play out, with a higher delta of 0.45.

Buy when · Buy when BAC price is between $61.80 and $62.40.

Sell when · Sell when BAC reaches $64.50 or the option premium falls below $0.75.

$150 per contract if the stock expires below $63.50.

NVDABuy

CALL · $216.00 strike · 2026-10-16

Premium
$10.79
Break-even
$226.79
Delta
0.49
Bid / Ask
$10.36 / $11.22
Impl. vol
38.7%
Confidence
78%

Quick view

This contract provides an extra month of duration with a strong delta of 0.49, balancing time decay risks with excellent upside exposure.

Buy when · Buy when NVDA stock holds support at 211.00 USD and the contract premium is below 11.00 USD.

Sell when · Sell when the contract premium reaches 20.00 USD or if NVDA falls below 195.00 USD.

Maximum loss is limited to the premium paid of 1,079 USD per contract.

COINBuy

CALL · $175.00 strike · 2026-10-09

Premium
$16.12
Break-even
$191.12
Delta
0.53
Bid / Ask
$15.48 / $16.76
Impl. vol
68.4%
Confidence
78%

Quick view

This call provides a higher delta of 0.53 and slightly more time value, making it a robust vehicle for capturing the broader crypto market expansion. The break-even of 191.12 is highly achievable given historical cycles.

Buy when · Buy when COIN stock sustains above 170.00.

Sell when · Sell when the stock reaches 220.00 or if the premium drops by 50%.

Maximum loss is the premium paid of $1,612 per contract.

NVDABuy

CALL · $228.00 strike · 2026-10-16

Premium
$12.36
Break-even
$240.36
Delta
0.50
Bid / Ask
$11.87 / $12.85
Impl. vol
42.0%
Confidence
78%

Quick view

An at-the-money call option with a solid 0.50 delta, offering a well-balanced risk-to-reward profile with extensive time to maturity.

Buy when · Buy when the stock price trades within the target entry range of 218.00 to 224.00.

Sell when · Sell when the underlying stock reaches 240.00 or the premium appreciates to 18.00.

Maximum potential loss is limited to the premium paid of $1236 per contract.

AMZNBuy

CALL · $260.50 strike · 2026-10-30

Premium
$16.08
Break-even
$276.58
Delta
0.50
Bid / Ask
$15.44 / $16.72
Impl. vol
43.4%
Confidence
78%

Quick view

A solid 0.50 delta call option with extra expiry time, providing a robust vehicle to ride the medium-term recovery.

Buy when · Buy when AMZN shows intraday strength above 254.50.

Sell when · Sell if the option premium gains 35% or if the stock drops below 242.00.

Maximum loss is the premium paid of $1,608 per contract if the stock expires below $260.50.

NVDABuy

CALL · $217.50 strike · 2026-10-16

Premium
$11.53
Break-even
$229.03
Delta
0.49
Bid / Ask
$11.07 / $11.99
Impl. vol
40.7%
Confidence
78%

Quick view

Provides an extra month of duration over the September contract with a near-50% delta, capturing significant upside while mitigating near-term decay.

Buy when · NVDA stock price is below 213.00 USD and RSI begins turning upwards.

Sell when · Stock target of 235.00 USD is achieved or the underlying breaks 199.00 USD.

Maximum loss is the premium paid of 1153.00 USD per contract if it expires worthless.

LLYBuy

CALL · $1,183.00 strike · 2026-10-02

Premium
$34.56
Break-even
$1,217.56
Delta
0.45
Bid / Ask
$33.18 / $35.94
Impl. vol
33.6%
Confidence
78%

Quick view

Near-the-money call option with almost two years to expiration, offering a balanced delta of 0.45 to participate in LLY's long-term upside.

Buy when · Buy when the underlying stock stabilizes near 1150 or crosses above 1170.

Sell when · Sell when the stock price reaches 1250 or if it breaks below the SMA200 at 1062.

$3,456 per contract (premium paid).

CRMBuy

CALL · $214.50 strike · 2026-10-16

Premium
$15.11
Break-even
$229.61
Delta
0.51
Bid / Ask
$14.51 / $15.71
Impl. vol
51.4%
Confidence
78%

Quick view

A higher delta contract offering solid intrinsic value growth and an additional month of time value over September expiry.

Buy when · Buy when CRM stock trades between 208.00 and 211.50.

Sell when · Sell if CRM stock reaches 235.00 or contract premium drops by 35%.

Maximum loss is the premium paid of $1,511 per contract.

LLYBuy

CALL · $1,258.50 strike · 2026-10-16

Premium
$55.23
Break-even
$1,313.73
Delta
0.48
Bid / Ask
$53.02 / $57.44
Impl. vol
34.2%
Confidence
78%

Quick view

Featuring a higher delta of 0.48 and extra duration, this contract provides solid, conservative exposure to the long-term pharmaceutical demand story.

Buy when · Underlying LLY pulls back toward the SMA20 support near 1205.00.

Sell when · Underlying stock price hits 1320.00 or the contract premium reaches 82.00.

The maximum risk is limited to the premium paid of $5,523 per contract if LLY expires below $1,258.50.

LLYBuy

CALL · $1,185.50 strike · 2026-10-30

Premium
$55.12
Break-even
$1,240.62
Delta
0.49
Bid / Ask
$52.92 / $57.32
Impl. vol
33.6%
Confidence
78%

Quick view

High-delta long-term call offering robust leverage with extra time value extending into late October 2026.

Buy when · LLY stock is between $1150.00 and $1165.00.

Sell when · Underlying reaches $1250.00 or premium gains 60%.

Maximum loss is limited to the premium paid of $5,512 per contract.

LLYBuy

CALL · $1,280.50 strike · 2026-10-09

Premium
$56.44
Break-even
$1,336.94
Delta
0.48
Bid / Ask
$54.18 / $58.70
Impl. vol
35.3%
Confidence
78%

Quick view

High delta of 0.48 combined with a later expiry in October 2026 provides a highly robust vehicle for long-term upside.

Buy when · Buy if the contract premium softens to $52.00.

Sell when · Sell if the contract premium increases by 50% or the stock breaks its SMA50 support.

Maximum loss is limited to the premium paid of $5,644 per contract.

UBERBuy

CALL · $78.00 strike · 2026-09-25

Premium
$2.59
Break-even
$80.59
Delta
0.46
Bid / Ask
$2.49 / $2.69
Impl. vol
42.2%
Confidence
78%

Quick view

The 78 strike CALL offers solid 0.46 delta exposure for a relatively low premium, making it a highly capital-efficient way to play a medium-term recovery.

Buy when · Buy when UBER stock crosses above $77.10.

Sell when · Sell when the contract premium reaches $4.50 or the stock falls below $72.50.

Maximum loss is $259 per contract if the stock expires below $78 on September 25, 2026.

NVDABuy

CALL · $232.00 strike · 2026-09-25

Premium
$7.39
Break-even
$239.39
Delta
0.45
Bid / Ask
$7.09 / $7.69
Impl. vol
41.3%
Confidence
78%

Quick view

This deep LEAP option offers high delta of 0.45 and low time decay, capitalizing on medium-term NVDA momentum with limited downside.

Buy when · Buy when NVDA stock price trades between 220.00 USD and 225.00 USD.

Sell when · Sell when the option premium doubles to 14.80 USD or if the stock falls below 208.00 USD.

Maximum loss is the premium paid of 739 USD per contract.

JPMBuy

CALL · $362.00 strike · 2026-10-09

Premium
$8.70
Break-even
$370.70
Delta
0.44
Bid / Ask
$8.35 / $9.05
Impl. vol
21.2%
Confidence
78%

Quick view

Excellent risk-reward profile with a higher delta of 0.44, providing strong participation in JPM's long-term growth.

Buy when · Buy when JPM trades between 345.00 and 352.00.

Sell when · Sell when JPM exceeds 380.00 or option premium reaches 15.00.

Maximum loss is the premium paid of $8.70 per share ($870 per contract).

LLYBuy

CALL · $1,200.50 strike · 2026-10-30

Premium
$56.10
Break-even
$1,256.60
Delta
0.49
Bid / Ask
$53.86 / $58.34
Impl. vol
33.7%
Confidence
78%

Quick view

An October 2026 Call option providing a slightly longer time horizon to capture the expected recovery.

Buy when · Buy when LLY trades near 1165 USD.

Sell when · Sell when LLY rises to 1255 USD or the premium increases by 40 percent.

5610 USD maximum loss if held to expiration.

PLTRBuy

CALL · $177.00 strike · 2026-10-23

Premium
$18.19
Break-even
$195.19
Delta
0.54
Bid / Ask
$17.46 / $18.92
Impl. vol
74.6%
Confidence
78%

Quick view

This contract offers slightly more duration than the September expiry, allowing more time for the long-term trend to manifest. With a 0.54 delta, it behaves more like stock while preserving asymmetric upside.

Buy when · Buy on any dips towards 168.00 USD on the underlying asset.

Sell when · Sell when PLTR exceeds 200.00 USD or if the macro trend breaks the 200-day SMA.

Maximum loss is limited to the premium paid, which is $1,819 per contract.

VBuy

CALL · $391.50 strike · 2026-10-16

Premium
$9.70
Break-even
$401.20
Delta
0.45
Bid / Ask
$9.31 / $10.09
Impl. vol
21.3%
Confidence
78%

Quick view

A solid long-term call with a higher delta of 0.45, capturing strong intrinsic potential if Visa maintains its current upward trajectory.

Buy when · Buy when V stock price sustains a daily close above $384.00.

Sell when · Sell when option premium reaches $15.00 or V drops below $368.00.

$970 maximum loss per contract if the stock expires below $391.50.

MSFTBuy

CALL · $507.00 strike · 2026-09-25

Premium
$16.82
Break-even
$523.82
Delta
0.45
Bid / Ask
$16.15 / $17.49
Impl. vol
42.4%
Confidence
78%

Quick view

This September 2026 contract offers high delta and significant time to expiration, allowing the investor to capture long-term upside with minimal decay.

Buy when · Buy when MSFT stock price is above 495.00 USD and the contract premium is under 17.00 USD.

Sell when · Sell if the underlying stock falls below 475.00 USD or if the premium reaches 34.00 USD.

Maximum loss is the premium paid of $1,682 per contract.

JPMBuy

CALL · $361.00 strike · 2026-09-11

Premium
$4.85
Break-even
$365.85
Delta
0.38
Bid / Ask
$4.66 / $5.04
Impl. vol
21.7%
Confidence
78%

Quick view

This contract offers a near-the-money play with ample time to maturity, leveraging JPM's strong long-term uptrend. The relatively low premium makes it an efficient vehicle for capturing a breakout above the 52-week high.

Buy when · JPM stock trades above $354.00 and MACD histogram begins to trend upwards.

Sell when · The option premium doubles to $9.70 or the stock falls below $338.00.

Maximum loss is the premium paid of $485 per contract.

PLTRBuy

CALL · $183.50 strike · 2026-10-23

Premium
$18.80
Break-even
$202.30
Delta
0.54
Bid / Ask
$18.05 / $19.55
Impl. vol
74.1%
Confidence
78%

Quick view

This contract provides an extended runway into late October 2026 with a robust 0.54 delta, highly matching the underlying equity's long-term performance.

Buy when · Buy when the stock closes above the $180.00 level on rising volume.

Sell when · Sell when the option premium reaches $28.00 or if PLTR falls below its SMA50.

Maximum loss is limited to the premium paid of $1,880 per contract.

COINBuy

CALL · $180.50 strike · 2026-10-23

Premium
$17.21
Break-even
$197.71
Delta
0.53
Bid / Ask
$16.52 / $17.90
Impl. vol
69.1%
Confidence
78%

Quick view

Offers the highest delta in the group and more time to maturity, mitigating short-term theta decay.

Buy when · Buy when the premium is below 17.50 USD as COIN stabilizes above the SMA20.

Sell when · Sell if COIN breaks 205.00 USD or if the SMA50 support at 161.50 USD is breached.

The maximum loss is limited to the premium paid, which is 1,721 USD per contract.

PLTRBuy

CALL · $191.50 strike · 2026-09-18

Premium
$11.87
Break-even
$203.37
Delta
0.50
Bid / Ask
$11.40 / $12.34
Impl. vol
74.3%
Confidence
78%

Quick view

At a delta of 0.50 and a reasonable premium of 11.87, this LEAP offers a highly leveraged play with deep duration that minimizes theta decay over the short-term horizon.

Buy when · Buy when PLTR share price pulls back to the 180.00-185.00 range.

Sell when · Sell when PLTR underlying stock reaches 215.00 or option premium drops by 30%.

The maximum loss is $1,187 per contract if the stock expires below $191.50.

NVDABuy

CALL · $230.00 strike · 2026-10-23

Premium
$12.38
Break-even
$242.38
Delta
0.49
Bid / Ask
$11.88 / $12.88
Impl. vol
41.4%
Confidence
78%

Quick view

A highly liquid LEAP option with extra duration into late October 2026, offering robust delta and strong risk-adjusted upside.

Buy when · Underlying stock price is between 220.00 and 225.00 USD and premium is below 12.50 USD.

Sell when · Underlying reaches 255.00 USD or premium gains 50%.

Maximum loss is limited to the premium paid of $1238 per contract if NVDA expires below 230.00.

COINBuy

CALL · $191.00 strike · 2026-10-09

Premium
$17.99
Break-even
$208.99
Delta
0.53
Bid / Ask
$17.27 / $18.71
Impl. vol
70.3%
Confidence
78%

Quick view

An extra month of duration provides a vital cushion against potential short-term consolidation. The 0.53 delta ensures strong price sensitivity to any quick breakout.

Buy when · COIN stock price trades within the entry zone of $180.00 to $185.00.

Sell when · COIN stock price reaches $210.00 or the contract premium falls below $10.00.

Maximum loss is limited to the premium paid of $1,799 per contract.

VBuy

CALL · $380.00 strike · 2026-10-23

Premium
$9.25
Break-even
$389.25
Delta
0.45
Bid / Ask
$8.88 / $9.62
Impl. vol
20.7%
Confidence
78%

Quick view

A higher 0.45 delta and an extra month of expiry make this a more robust and lower-risk vehicle for capturing Visa's secular uptrend.

Buy when · Buy when the stock trades between $368.00 and $372.00 with the premium under $9.50.

Sell when · Sell if the option premium rises to $15.00 or if Visa closes below its 50-day SMA.

The maximum loss is limited to the premium paid of $925 per contract.

AAPLBuy

CALL · $334.50 strike · 2026-10-23

Premium
$13.26
Break-even
$347.76
Delta
0.48
Bid / Ask
$12.73 / $13.79
Impl. vol
31.5%
Confidence
78%

Quick view

This contract has the highest delta of 0.48 among the options, providing strong exposure to AAPL price appreciation through October 2026.

Buy when · AAPL stock price pulls back to $325.

Sell when · AAPL stock price reaches $350 or the option premium rises by 40%.

The maximum loss is limited to the premium paid of $1,326 per contract.

VBuy

CALL · $390.50 strike · 2026-10-16

Premium
$9.93
Break-even
$400.43
Delta
0.45
Bid / Ask
$9.53 / $10.33
Impl. vol
21.5%
Confidence
78%

Quick view

Strong near-the-money LEAP contract with solid delta (0.45) to capture the full trajectory of the medium-term uptrend.

Buy when · Buy if Visa trades above $382.00 on strong daily volume.

Sell when · Sell if the stock reaches $412.00 or if the option premium drops below $7.00.

Maximum loss is the premium paid of $993 per contract.

COSTBuy

CALL · $981.50 strike · 2026-10-16

Premium
$23.33
Break-even
$1,004.83
Delta
0.44
Bid / Ask
$22.40 / $24.26
Impl. vol
20.3%
Confidence
78%

Quick view

This option offers a solid 0.44 delta and an extra month of expiry, providing the safest risk-adjusted leverage among the selected options.

Buy when · Buy if COST trades above 960.00 and shows constructive consolidation.

Sell when · Sell if the target price of 1020.00 is achieved on the underlying stock.

The maximum risk is the premium paid of $2,333.00 per contract if it expires worthless.

NVDABuy

CALL · $222.00 strike · 2026-10-30

Premium
$12.78
Break-even
$234.78
Delta
0.50
Bid / Ask
$12.27 / $13.29
Impl. vol
40.9%
Confidence
78%

Quick view

The extra time to expiry in late October provides a safer window for NVDA to recover and surpass the $222 strike.

Buy when · Buy if NVDA is trading between $213.00 and $216.00.

Sell when · Sell if NVDA hits $235.00 or if the contract loses 40% of its purchase value.

Maximum loss is the premium paid of $12.78 per share ($1,278 per contract).

XOMBuy

CALL · $168.00 strike · 2026-10-23

Premium
$5.22
Break-even
$173.22
Delta
0.46
Bid / Ask
$5.01 / $5.43
Impl. vol
25.9%
Confidence
78%

Quick view

This LEAP contract offers balanced delta exposure and a long runway, allowing the stock to digest short-term consolidation before moving higher.

Buy when · Buy if XOM stock holds the SMA20 support at 161.22 USD and begins moving upward.

Sell when · Sell if the premium increases to 8.50 USD or the stock drops below 156.00 USD.

Maximum loss is $522 per contract if the stock expires below $168.

NVDABuy

CALL · $221.00 strike · 2026-10-09

Premium
$11.44
Break-even
$232.44
Delta
0.49
Bid / Ask
$10.98 / $11.90
Impl. vol
40.2%
Confidence
78%

Quick view

A high-confidence LEAP call that provides an extra month of expiry cushion and a strong 0.49 delta to track stock gains closely.

Buy when · Buy when the stock price is above 216.00 and the option premium is under 11.80.

Sell when · Sell when the stock price hits 235.00 or the option premium reaches 15.50.

The maximum loss is $1,144 per contract if the option expires worthless.

NVDABuy

CALL · $225.00 strike · 2026-10-09

Premium
$11.85
Break-even
$236.85
Delta
0.49
Bid / Ask
$11.38 / $12.32
Impl. vol
40.1%
Confidence
78%

Quick view

With an extra month of duration, this contract provides safer exposure to NVDA's secular growth trend with a solid 0.49 delta.

Buy when · Buy when the underlying stock pulls back to $214.00, aiming for a contract premium of $10.50.

Sell when · Sell when the stock reaches $235.00 or if the underlying stock drops below the $204.00 support level.

Maximum loss is limited to the premium paid of $1,185 per contract.

PLTRBuy

CALL · $186.00 strike · 2026-10-16

Premium
$15.43
Break-even
$201.43
Delta
0.47
Bid / Ask
$14.81 / $16.05
Impl. vol
76.1%
Confidence
78%

Quick view

Offers a strong risk-reward ratio by combining the extra time of the October contract with a strike closer to the current price.

Buy when · PLTR stock is trading above 171.00 and option premium is under 15.50.

Sell when · Option premium reaches 24.00 or the stock breaks key support at 150.00.

The maximum loss is $1,543 per contract if the stock expires below $186.00.

GOOGLBuy

CALL · $347.50 strike · 2026-10-23

Premium
$17.66
Break-even
$365.16
Delta
0.49
Bid / Ask
$16.95 / $18.37
Impl. vol
37.0%
Confidence
78%

Quick view

An excellent vehicle for long-term recovery, providing slightly more time than the September expiry with similar solid delta.

Buy when · Buy if GOOGL price holds the $335.00 support level for more than two consecutive sessions.

Sell when · Sell when GOOGL underlying reaches $365.00 or premium appreciates by 30%.

Maximum loss is the premium paid of $1,766 per contract.

NVDABuy

CALL · $232.50 strike · 2026-10-23

Premium
$12.56
Break-even
$245.06
Delta
0.50
Bid / Ask
$12.06 / $13.06
Impl. vol
41.3%
Confidence
78%

Quick view

Offering a balanced 0.50 delta, this option has even more time value, protecting against short-term volatility while capitalizing on long-term growth.

Buy when · Buy if NVDA maintains above the 225.00 support level.

Sell when · Sell if the stock hits the 250.00 target or the contract premium reaches 20.00.

Maximum loss is limited to the premium paid of $1256.00 per contract.

XOMBuy

CALL · $162.00 strike · 2026-10-16

Premium
$5.08
Break-even
$167.08
Delta
0.46
Bid / Ask
$4.88 / $5.28
Impl. vol
25.6%
Confidence
78%

Quick view

This contract offers extra duration into late 2026 and a solid 0.46 delta, reducing time decay risk during short-term consolidation.

Buy when · Buy when XOM crosses above 159.30 with the premium under 5.25.

Sell when · Sell if XOM falls below 149.00 or when the option premium doubles to 10.16.

Maximum loss is the premium paid of $508 per contract.

CVXBuy

CALL · $206.50 strike · 2026-09-18

Premium
$3.54
Break-even
$210.04
Delta
0.40
Bid / Ask
$3.40 / $3.68
Impl. vol
25.3%
Confidence
78%

Quick view

This LEAP contract offers a solid 0.40 delta to capture long-term upside with minimal near-term decay. It is an excellent vehicle for riding the structural uptrend past temporary momentum cooling.

Buy when · Buy when CVX stock pulls back to $198.00, lowering the premium to approximately $3.10.

Sell when · Sell when CVX stock rises to $215.00 or the premium doubles to $7.00.

Maximum loss is limited to the premium paid of $354 per contract.

BACBuy

CALL · $63.50 strike · 2026-10-23

Premium
$1.53
Break-even
$65.03
Delta
0.45
Bid / Ask
$1.47 / $1.59
Impl. vol
19.3%
Confidence
78%

Quick view

This contract provides an attractive delta of 0.45 and an extra month of duration compared to September, optimizing the long-term trade.

Buy when · Buy when the stock price holds above 61.50.

Sell when · Sell when the premium reaches 2.80 or the stock falls below 59.50.

Maximum loss is limited to the premium paid of $153 per contract.

VBuy

CALL · $378.50 strike · 2026-10-16

Premium
$9.45
Break-even
$387.95
Delta
0.45
Bid / Ask
$9.07 / $9.83
Impl. vol
20.8%
Confidence
78%

Quick view

Providing a solid 0.45 delta and ample time value, this contract is a robust vehicle for long-term growth.

Buy when · Buy when Visa stock is under 371.04 USD, preferably on a pullback to 366.00 USD.

Sell when · Sell when premium gains 50% to 14.18 USD or the stock trends below 352.00 USD.

Maximum loss is limited to the premium paid of 945 USD per contract.

CVXBuy

CALL · $210.00 strike · 2026-09-11

Premium
$3.37
Break-even
$213.37
Delta
0.40
Bid / Ask
$3.24 / $3.50
Impl. vol
25.1%
Confidence
78%

Quick view

This long-term LEAP call offers cheap exposure to a sustained breakout above $210 with over a year of runway.

Buy when · Buy if the contract premium drops to $3.00 or the underlying hits the entry range of $200.00-$203.00.

Sell when · Sell if the contract premium doubles to $6.74 or if CVX drops below $192.00.

$337 maximum loss per contract if expired worthless.

NVDABuy

CALL · $233.00 strike · 2026-10-23

Premium
$12.40
Break-even
$245.40
Delta
0.49
Bid / Ask
$11.90 / $12.90
Impl. vol
41.4%
Confidence
78%

Quick view

With a higher delta of 0.49 and an extra month of duration, this contract provides safer, near-at-the-money exposure for a larger upmove.

Buy when · Buy if the stock holds above 226.00 and MACD remains positive.

Sell when · Sell if premium drops to 6.20 or if the underlying falls below 212.00.

Maximum loss is $1240 per contract if the stock expires below 233.

AAPLBuy

CALL · $330.00 strike · 2026-10-23

Premium
$13.86
Break-even
$343.86
Delta
0.48
Bid / Ask
$13.31 / $14.41
Impl. vol
32.6%
Confidence
78%

Quick view

Offering an extra month of duration over the September contract, this call features a higher delta of 0.48, making it a highly robust long-term bullish holding.

Buy when · Buy when AAPL pulls back to the 315.00 to 318.00 USD range.

Sell when · Sell if the option premium rises to 25.00 USD or if the underlying stock violates 298.00 USD.

$1,386 maximum loss per contract if held to expiration.

VBuy

CALL · $389.50 strike · 2026-10-16

Premium
$10.07
Break-even
$399.57
Delta
0.45
Bid / Ask
$9.67 / $10.47
Impl. vol
21.5%
Confidence
78%

Quick view

This October 2026 call provides a higher delta of 0.45 and extra time value to ride out near-term fluctuations in Visa's steady growth trend.

Buy when · Buy if the stock remains above $380.00 and the contract premium is near $10.00.

Sell when · Sell if the stock price hits $420.00 or if the trend reverses below the 200-day SMA.

Maximum loss is limited to the premium paid of $1,007.00 per contract.

UBERBuy

CALL · $80.50 strike · 2026-10-09

Premium
$4.28
Break-even
$84.78
Delta
0.49
Bid / Ask
$4.11 / $4.45
Impl. vol
42.2%
Confidence
78%

Quick view

Best overall balance of delta and time decay, offering a high-probability win with a reasonable breakeven.

Buy when · UBER stock trades above 78.00 during a supportive market environment.

Sell when · Target stock price of 87.00 USD is achieved or premium drops by 50%.

Maximum loss is $428 per contract if the stock expires below $80.50.

COINBuy

CALL · $197.00 strike · 2026-10-23

Premium
$19.08
Break-even
$216.08
Delta
0.53
Bid / Ask
$18.32 / $19.84
Impl. vol
71.4%
Confidence
78%

Quick view

This contract offers the highest delta among the options, maximizing sensitivity to a major breakout with an extended duration.

Buy when · Buy when the underlying stock trades above 193.50.

Sell when · Sell when COIN hits 225.00 or if the option value drops below 13.00.

Maximum loss is the premium paid of $1,908 per contract.

PLTRBuy

CALL · $178.00 strike · 2026-10-16

Premium
$18.81
Break-even
$196.81
Delta
0.54
Bid / Ask
$18.06 / $19.56
Impl. vol
76.1%
Confidence
78%

Quick view

Buying the October 2026 ATM contract gives the longest duration and high delta sensitivity, maximizing potential gains from PLTR's secular expansion.

Buy when · Buy when PLTR stock price consolidates near $170.00.

Sell when · Sell when PLTR stock price hits $210.00 or the contract premium rises by 50%.

The maximum loss is limited to the premium paid of $1,881 per contract.

PLTRBuy

CALL · $191.50 strike · 2026-10-23

Premium
$20.01
Break-even
$211.51
Delta
0.54
Bid / Ask
$19.21 / $20.81
Impl. vol
74.3%
Confidence
78%

Quick view

This option offers the highest delta among the choices, giving investors the maximum exposure to sustained upward momentum past $200.00 over a two-year horizon.

Buy when · Buy if the underlying stock consolidates or dips toward $182.00.

Sell when · Sell if the underlying stock reaches $215.00 or if the option loses 40% of its initial premium value.

The maximum loss is the premium paid of $2,001.00 per contract.

CRMBuy

CALL · $278.00 strike · 2026-10-23

Premium
$16.84
Break-even
$294.84
Delta
0.44
Bid / Ask
$16.17 / $17.51
Impl. vol
59.6%
Confidence
78%

Quick view

Offers a balanced mix of longer duration and out-of-the-money leverage, ideal for targeting prices well above $280 by late 2026.

Buy when · Buy when the stock price dips to $252.00, lowering the premium entry target to $14.00.

Sell when · Sell if the stock price reaches the target of $285.00 or stops out below $230.00.

Maximum risk is $1,684 per contract if the stock expires below $278.00.

COINBuy

CALL · $202.50 strike · 2026-09-25

Premium
$8.90
Break-even
$211.40
Delta
0.40
Bid / Ask
$8.54 / $9.26
Impl. vol
70.9%
Confidence
78%

Quick view

At a premium of 8.9, this contract offers a lower entry cost for leverage on a medium-term upward trend.

Buy when · Buy when the underlying price breaks out past 195.00.

Sell when · Sell if underlying target of 220.00 is achieved or premium drops below 5.50.

$890 maximum loss per contract if held to expiration below strike.

COSTBuy

CALL · $965.50 strike · 2026-10-16

Premium
$25.68
Break-even
$991.18
Delta
0.45
Bid / Ask
$24.65 / $26.71
Impl. vol
21.2%
Confidence
78%

Quick view

Excellent multi-year core holding option that allows investors to capture secular growth with limited downside.

Buy when · Underlying stock dips below 935.00 USD.

Sell when · Underlying stock reaches target price of 1010.00 USD.

Maximum loss is limited to the premium paid of $2,568.00 per contract.

AMDBuy

CALL · $477.00 strike · 2026-10-02

Premium
$38.91
Break-even
$515.91
Delta
0.52
Bid / Ask
$37.35 / $40.47
Impl. vol
76.7%
Confidence
78%

Quick view

This slightly out-of-the-money LEAPS Call provides strong long-term exposure with a healthy 0.52 delta and plenty of time for AMD to exceed the break-even.

Buy when · Buy when AMD stock price finds support around $465.00.

Sell when · Sell if AMD stock reaches $550.00 or if the remaining time value decays significantly.

$3,891 per contract.

CVXBuy

CALL · $209.50 strike · 2026-10-23

Premium
$6.71
Break-even
$216.21
Delta
0.47
Bid / Ask
$6.44 / $6.98
Impl. vol
25.4%
Confidence
78%

Quick view

With more than a year to expiration and a strong delta of 0.47, this option provides robust safety against intermediate volatility.

Buy when · Buy when the stock price experiences a minor pullback toward 199.00 USD.

Sell when · Sell when CVX stock reaches 220.00 USD or the contract gain exceeds 40%.

The maximum loss is limited to the premium paid, which is 671 USD per contract.

COINBuy

CALL · $187.00 strike · 2026-09-18

Premium
$11.56
Break-even
$198.56
Delta
0.50
Bid / Ask
$11.10 / $12.02
Impl. vol
69.8%
Confidence
78%

Quick view

This contract offers efficient delta exposure with a reasonable premium compared to later expiries. It is well-positioned to benefit from a momentum breakout past the current spot price.

Buy when · Spot price breaks above 185.00.

Sell when · Spot price reaches 210.00 or option premium drops by 30%.

Maximum loss is $1,156 per contract if the underlying stock expires below $187.00.

PLTRBuy

CALL · $191.00 strike · 2026-10-23

Premium
$19.90
Break-even
$210.90
Delta
0.54
Bid / Ask
$19.10 / $20.70
Impl. vol
74.3%
Confidence
78%

Quick view

This contract provides the highest delta of 0.54 and furthest expiration, making it a safer long-term vehicle to ride the current bullish trend.

Buy when · PLTR stock trades in the 178.00 to 187.10 USD range.

Sell when · PLTR share price falls below 168.00 USD or targets 215.00 USD.

Maximum loss is the premium paid of $1,990 per contract.

MSFTBuy

CALL · $517.50 strike · 2026-10-23

Premium
$29.56
Break-even
$547.06
Delta
0.50
Bid / Ask
$28.38 / $30.74
Impl. vol
42.8%
Confidence
78%

Quick view

With an extra month of expiry, this contract provides a 0.50 delta at a premium of 29.56, giving ample time for the bullish trend to play out.

Buy when · Buy if MSFT stock consolidates around 500.00 to 505.00.

Sell when · Sell if the stock target of 550.00 is achieved or premium decays by 30% without price movement.

Maximum loss is limited to the premium paid of $2,956 per contract.

MSFTBuy

CALL · $491.50 strike · 2026-10-09

Premium
$30.10
Break-even
$521.60
Delta
0.50
Bid / Ask
$28.90 / $31.30
Impl. vol
46.0%
Confidence
78%

Quick view

At-the-money LEAPS with extra duration to October 2026 and a solid 0.50 delta, providing a robust vehicle to capture MSFT's secular growth.

Buy when · Buy when stock price is between 472.00 and 480.00.

Sell when · Sell if stock hits target 530.00 or the premium drops below 15.00.

Maximum loss is the premium paid of 3010 USD per contract.

CRMBuy

CALL · $280.00 strike · 2026-10-23

Premium
$17.01
Break-even
$297.01
Delta
0.44
Bid / Ask
$16.33 / $17.69
Impl. vol
59.7%
Confidence
78%

Quick view

Offers a balanced profile of cost and delta (0.44) for a long-term bullish outlook. It allows investors to capitalize on long-term expansion while limiting initial capital outlay.

Buy when · Buy when CRM pulls back to $254.00, targeting an entry premium of $14.50.

Sell when · Sell when the stock price hits $300.00 or if the stock breaches $225.00 on high volume.

Maximum loss is the premium paid of $1,701 per contract.

LLYBuy

CALL · $1,313.00 strike · 2026-09-11

Premium
$35.36
Break-even
$1,348.36
Delta
0.44
Bid / Ask
$33.95 / $36.77
Impl. vol
35.1%
Confidence
78%

Quick view

This contract offers strong delta exposure with substantial time to maturity, mitigating short-term volatility concerns.

Buy when · Buy when the underlying LLY stock drops to $1250.

Sell when · Sell when the contract premium increases by 50% or the underlying stock falls below $1190.

$3,536 maximum loss per contract if held to expiration below strike.

LLYBuy

CALL · $1,213.00 strike · 2026-10-16

Premium
$53.79
Break-even
$1,266.79
Delta
0.48
Bid / Ask
$51.64 / $55.94
Impl. vol
34.8%
Confidence
78%

Quick view

This contract offers a solid 0.48 delta and an extra month of duration, making it a resilient vehicle for riding LLY's long-term upward trajectory.

Buy when · Buy when the underlying stock holds the 1185 support level and MACD lines begin to converge.

Sell when · Sell when the target stock price of 1280 is reached or if the premium loses 40% of its value.

Maximum loss is the premium paid of $5,379 per contract.

AMZNBuy

CALL · $266.50 strike · 2026-10-02

Premium
$11.60
Break-even
$278.10
Delta
0.48
Bid / Ask
$11.14 / $12.06
Impl. vol
43.6%
Confidence
78%

Quick view

This slightly out-of-the-money call provides long-term exposure with a solid 0.48 delta, allowing investors to capitalize on AMZN recovering its structural uptrend over a generous timeframe.

Buy when · Buy when the underlying stock stabilizes near the $258.00-$261.00 range.

Sell when · Sell when the underlying stock reaches $282.00 or if the option value drops below $6.00.

The maximum loss is limited to the premium paid, which is $1,160 per contract.

BACBuy

CALL · $64.50 strike · 2026-09-11

Premium
$0.71
Break-even
$65.21
Delta
0.36
Bid / Ask
$0.68 / $0.74
Impl. vol
19.1%
Confidence
78%

Quick view

This long-dated call option provides significant time value to capture BAC's structural uptrend with a reasonable strike slightly above current resistance.

Buy when · BAC stock stabilizes near 62.50 USD and the option premium is around 0.65 USD.

Sell when · BAC stock reaches 68.00 USD or the option premium rises to 1.40 USD.

Maximum loss is $71 per contract if the stock expires below $64.50.

JPMBuy

CALL · $362.50 strike · 2026-10-30

Premium
$9.39
Break-even
$371.89
Delta
0.45
Bid / Ask
$9.01 / $9.77
Impl. vol
20.1%
Confidence
78%

Quick view

This contract provides extra time to capture the post-pullback recovery with an attractive 0.45 delta.

Buy when · Buy when JPM stock price is near $353.00.

Sell when · Sell when JPM stock price reaches $375.00.

Maximum loss is the premium paid of $939 per contract.

NVDABuy

CALL · $215.50 strike · 2026-09-18

Premium
$6.46
Break-even
$221.96
Delta
0.44
Bid / Ask
$6.20 / $6.72
Impl. vol
38.7%
Confidence
78%

Quick view

This LEAP call offers solid delta exposure of 0.44 at a reasonable premium, providing a leveraged play on NVDA's recovery with minimal theta decay.

Buy when · Buy if NVDA stock price stabilizes between 207.50 and 210.00.

Sell when · Sell if NVDA rises to 225.00 or if the option value drops below 4.50.

The maximum loss is limited to the premium paid of $646 per contract.

MSFTBuy

CALL · $498.50 strike · 2026-09-18

Premium
$19.38
Break-even
$517.88
Delta
0.47
Bid / Ask
$18.60 / $20.16
Impl. vol
45.5%
Confidence
78%

Quick view

This contract provides a high delta of 0.47 and a reasonable break-even point, offering great exposure to MSFT's recovery with a deep buffer of time.

Buy when · Buy when MSFT stock tests the $478.00 support level and shows signs of a rebound.

Sell when · Sell when the contract premium increases by 40% or if the underlying stock drops below $455.00.

Maximum loss is the premium paid of $1,938.00 per contract.

SHOPBuy

CALL · $151.00 strike · 2026-09-18

Premium
$8.45
Break-even
$159.45
Delta
0.49
Bid / Ask
$8.11 / $8.79
Impl. vol
61.0%
Confidence
78%

Quick view

This ITM/ATM LEAP option offers an attractive delta of 0.49 and a long horizon to capture SHOP's eventual upside following a short-term pullback.

Buy when · SHOP stock pulls down to 142.00 USD or the premium drops to 7.50 USD.

Sell when · SHOP stock reaches 165.00 USD or the premium gains 50%.

Maximum loss is limited to the premium paid of 845 USD per contract.

GOOGLBuy

CALL · $355.00 strike · 2026-10-23

Premium
$18.14
Break-even
$373.14
Delta
0.49
Bid / Ask
$17.41 / $18.87
Impl. vol
37.3%
Confidence
78%

Quick view

Provides extended duration and a higher delta of 0.49, making it a robust instrument to ride the long-term uptrend.

Buy when · Buy when the stock moves above 350.00 with rising buying volume.

Sell when · Sell when the stock price reaches 390.00.

Maximum loss is limited to the premium paid of $1,814 per contract.

CRMBuy

CALL · $254.50 strike · 2026-09-18

Premium
$12.50
Break-even
$267.00
Delta
0.48
Bid / Ask
$12.00 / $13.00
Impl. vol
59.3%
Confidence
78%

Quick view

Offering solid delta exposure at a relatively lower premium than October options, making it a cheaper vehicle to play long-term upside.

Buy when · Buy when the underlying stock dips below $245.00.

Sell when · Sell when premium reaches $25.00 or if underlying drops below $225.00.

Maximum loss is $1,250 per contract if the stock expires below $254.50.

XOMBuy

CALL · $160.00 strike · 2026-09-25

Premium
$3.20
Break-even
$163.20
Delta
0.42
Bid / Ask
$3.07 / $3.33
Impl. vol
25.8%
Confidence
78%

Quick view

This contract offers strong exposure to a price rebound with a solid 0.42 delta and relatively low premium of 3.2.

Buy when · Underlying stock trades between 153.50 and 156.50 USD.

Sell when · Underlying stock hits target price of 168.00 USD or option premium falls below 1.90 USD.

Maximum loss is $320 per contract if XOM expires below $160.

COINBuy

CALL · $190.00 strike · 2026-10-09

Premium
$17.97
Break-even
$207.97
Delta
0.53
Bid / Ask
$17.25 / $18.69
Impl. vol
70.1%
Confidence
78%

Quick view

Offering slightly more time and a higher delta of 0.53, this contract is a safer vehicle to capture the continuation of the current bullish trend.

Buy when · Buy if the stock remains above $182 during the next consolidation phase.

Sell when · Sell if the premium reaches $30.00 or the stock falls below $168.00.

Maximum loss of $1,797 per contract if the stock expires below $190 on October 9, 2026.

UBERBuy

CALL · $81.00 strike · 2026-09-18

Premium
$2.73
Break-even
$83.73
Delta
0.46
Bid / Ask
$2.62 / $2.84
Impl. vol
41.2%
Confidence
78%

Quick view

This LEAP contract offers an attractive delta of 0.46 and low premium, allowing for high-leverage participation in UBER's long-term upside.

Buy when · Buy when the stock price dips toward 77.50 USD, bringing the contract premium closer to 2.50 USD.

Sell when · Sell when the underlying stock reaches 88.00 USD or if the premium drops by 50%.

The maximum loss is the premium paid of $273 per contract.

NVDABuy

CALL · $222.00 strike · 2026-09-18

Premium
$7.16
Break-even
$229.16
Delta
0.45
Bid / Ask
$6.87 / $7.45
Impl. vol
42.9%
Confidence
78%

Quick view

This near-ATM LEAP contract offers a solid 0.45 delta at a reasonable premium, providing excellent exposure to long-term NVDA upside.

Buy when · NVDA stock price trades at or below 218.00 USD.

Sell when · NVDA stock reaches 235.00 USD or the contract premium gains 40%.

Maximum loss is limited to the premium paid of $716.00 per contract.

NVDABuy

CALL · $221.50 strike · 2026-10-16

Premium
$12.32
Break-even
$233.82
Delta
0.50
Bid / Ask
$11.83 / $12.81
Impl. vol
43.0%
Confidence
78%

Quick view

Featuring a strong delta of 0.50, this contract provides balanced exposure with an extra month of duration to weather short-term consolidations.

Buy when · Buy if NVDA shares stabilize above $215.00 and the option premium is under $12.50.

Sell when · Sell when the underlying stock hits $250.00 or the option premium reaches $20.00.

The maximum loss is the premium paid of $1,232 per contract.

MSFTBuy

CALL · $525.00 strike · 2026-10-23

Premium
$29.22
Break-even
$554.22
Delta
0.50
Bid / Ask
$28.05 / $30.39
Impl. vol
42.7%
Confidence
78%

Quick view

With a 0.50 delta and extra time to expiry, this contract offers solid sensitivity to underlying gains and a safer horizon for long-term holders.

Buy when · Buy if MSFT tests the 20-day SMA near $496 and shows signs of a rebound.

Sell when · Sell when the stock reaches $555 or if the contract premium appreciates by 30%.

Maximum loss is $2,922 per contract if MSFT expires below $525.

GOOGLBuy

CALL · $353.00 strike · 2026-10-23

Premium
$18.03
Break-even
$371.03
Delta
0.49
Bid / Ask
$17.31 / $18.75
Impl. vol
37.2%
Confidence
78%

Quick view

An excellent long-term vehicle with a high delta of 0.49 to capture secular growth beyond immediate technical pressure.

Buy when · Buy when the stock price is below 346.00 USD.

Sell when · Sell when the stock price exceeds 380.00 USD.

Maximum loss is 1,803 USD per contract if the stock expires below 353 USD.

AMZNBuy

CALL · $261.00 strike · 2026-10-16

Premium
$14.55
Break-even
$275.55
Delta
0.49
Bid / Ask
$13.97 / $15.13
Impl. vol
43.1%
Confidence
78%

Quick view

Offers almost 50 delta with an extra month of expiry, providing a solid cushion to ride out any prolonged consolidation.

Buy when · Buy when AMZN is trading near 255.00 with RSI turning upward.

Sell when · Sell when underlying stock hits 275.00 or option price gains 40%.

Maximum loss is the premium paid of $1,455 per contract.

JPMBuy

CALL · $365.00 strike · 2026-10-23

Premium
$9.14
Break-even
$374.14
Delta
0.45
Bid / Ask
$8.77 / $9.51
Impl. vol
21.0%
Confidence
78%

Quick view

This contract provides an extra month of duration over the September contract, with a solid delta of 0.45. It represents a robust long-term structure to capture JPM's secular growth.

Buy when · Buy when the underlying stock closes above $358.50 on rising volume.

Sell when · Sell when the underlying stock hits $400.00 or if the option premium falls below $4.50.

Maximum loss is $914 per contract if the stock expires below $365.00.

METABuy

CALL · $628.00 strike · 2026-09-25

Premium
$23.26
Break-even
$651.26
Delta
0.46
Bid / Ask
$22.33 / $24.19
Impl. vol
46.4%
Confidence
78%

Quick view

This near-the-money contract provides solid leverage and 0.46 delta with protection against short-term theta decay.

Buy when · META stock price exceeds 618.00.

Sell when · META stock price reaches 655.00 or the contract premium drops by 30%.

Maximum loss is the premium paid of $2,326 per contract.

XOMBuy

CALL · $160.00 strike · 2026-10-16

Premium
$4.94
Break-even
$164.94
Delta
0.46
Bid / Ask
$4.74 / $5.14
Impl. vol
25.8%
Confidence
78%

Quick view

This October 2026 contract provides extra duration and a strong 0.46 delta. It offers the most balanced risk-reward profile for capturing a long-term bullish trend.

Buy when · Buy when XOM trades between 151.00 and 155.00 USD.

Sell when · Sell when XOM exceeds 175.00 or if the contract value gains 80%.

Maximum loss is the premium paid of $494.00 per contract.

TSLABuy

CALL · $390.50 strike · 2026-09-25

Premium
$19.19
Break-even
$409.69
Delta
0.48
Bid / Ask
$18.42 / $19.96
Impl. vol
58.8%
Confidence
78%

Quick view

This contract offers a 0.48 delta, capturing strong upside momentum with late 2026 expiry mitigating near-term theta decay.

Buy when · TSLA stock trades between 380.00 and 383.00.

Sell when · TSLA stock price reaches 415.00 or the option premium drops below 14.00.

The maximum loss is $1,919 per contract if TSLA expires below 390.50.

GOOGLBuy

CALL · $348.00 strike · 2026-10-23

Premium
$17.82
Break-even
$365.82
Delta
0.49
Bid / Ask
$17.11 / $18.53
Impl. vol
37.0%
Confidence
76%

Quick view

An attractive LEAP contract with extra duration, capturing the anticipated recovery phase with a healthy 0.49 delta.

Buy when · GOOGL stock price is below $341.50.

Sell when · GOOGL stock price reaches $365.00 or the premium achieves a 40% gain.

The maximum loss is limited to the premium paid of $1,782 per contract.

AMZNBuy

CALL · $264.00 strike · 2026-10-09

Premium
$14.74
Break-even
$278.74
Delta
0.49
Bid / Ask
$14.15 / $15.33
Impl. vol
43.7%
Confidence
76%

Quick view

Slightly higher premium but longer duration offers a safer cushion to ride out any short-term support testing.

Buy when · Buy if stock price holds support above 256.00 USD.

Sell when · Sell if AMZN stock reaches 275.00 USD or contract loses 25% of its value.

Maximum loss is limited to the premium paid of $1,474 per contract.

LLYBuy

CALL · $1,325.50 strike · 2026-10-16

Premium
$35.01
Break-even
$1,360.51
Delta
0.34
Bid / Ask
$33.61 / $36.41
Impl. vol
34.5%
Confidence
76%

Quick view

Strikes a healthy balance between risk and reward, offering a 0.34 delta with over 18 months of expiry to absorb any near-term consolidation.

Buy when · Buy when the underlying stock maintains support above 1220.00.

Sell when · Sell when the underlying stock hits 1320.00 or the contract premium gains 50%.

The maximum loss is limited to the premium paid, which is $3,501 per contract.

GOOGLBuy

CALL · $355.50 strike · 2026-09-25

Premium
$13.11
Break-even
$368.61
Delta
0.46
Bid / Ask
$12.59 / $13.63
Impl. vol
38.1%
Confidence
75%

Quick view

A near-the-money call that benefits significantly from the anticipated mean-reversion with a solid 0.46 delta.

Buy when · Buy if stock price holds above 345.00 with RSI turning upwards.

Sell when · Sell if stock price hits 375.00 or if the option premium falls below 8.00.

Maximum loss is the premium paid of $1,311 per contract.

AAPLBuy

CALL · $327.00 strike · 2026-10-16

Premium
$13.19
Break-even
$340.19
Delta
0.48
Bid / Ask
$12.66 / $13.72
Impl. vol
32.4%
Confidence
75%

Quick view

With a 0.48 delta and longer duration, this contract provides the best risk-adjusted participation in the stock's upward trend.

Buy when · Buy when AAPL trades in the range of 318.00 to 321.00.

Sell when · Sell if the premium drops below 9.00 or AAPL closes below 308.00.

Maximum loss is limited to the premium paid of $1,319 per contract.

JPMBuy

CALL · $367.50 strike · 2026-10-09

Premium
$9.26
Break-even
$376.76
Delta
0.45
Bid / Ask
$8.89 / $9.63
Impl. vol
21.3%
Confidence
75%

Quick view

This option offers an attractive delta of 0.45 and extra time value, aligning well with JPM's structural bull run over the coming years.

Buy when · Buy if JPM trades near 358.00 and the contract premium is around 9.00.

Sell when · Sell when JPM stock reaches 390.00 or if the premium falls below 5.00.

Maximum loss is $926 per contract if JPM closes below 367.50 at expiration.

AMDBuy

CALL · $485.50 strike · 2026-09-25

Premium
$36.97
Break-even
$522.47
Delta
0.51
Bid / Ask
$35.49 / $38.45
Impl. vol
76.9%
Confidence
75%

Quick view

This long-term call option offers a 0.51 delta and provides an excellent vehicle to capture AMD's eventual recovery with over a year of runway.

Buy when · Buy when the underlying AMD price breaks above $480.00.

Sell when · Sell if the underlying stock drops below $435.00 or reaches $540.00.

Maximum loss is $3,697 per contract if the stock expires below $485.50.

COSTBuy

CALL · $976.00 strike · 2026-09-11

Premium
$12.90
Break-even
$988.90
Delta
0.38
Bid / Ask
$12.38 / $13.42
Impl. vol
21.0%
Confidence
75%

Quick view

This long-term call offers an attractive entry point to capture COST's eventual breakout past $1,000 with moderate delta and a reasonable premium.

Buy when · The underlying stock price crosses above $959.50 on strong daily volume.

Sell when · The underlying stock hits $1,010.00 or if the option premium drops below $8.00.

Maximum loss is the premium paid of $1,290 per contract.

NVDABuy

CALL · $234.50 strike · 2026-09-18

Premium
$7.99
Break-even
$242.49
Delta
0.46
Bid / Ask
$7.67 / $8.31
Impl. vol
43.3%
Confidence
75%

Quick view

This near-the-money 2026 LEAP option features a 0.46 delta and provides strong leveraged exposure to the underlying stock with highly muted theta decay.

Buy when · Buy when the underlying stock trades between 222.00 USD and 228.00 USD and the premium is below 8.50 USD.

Sell when · Sell when the underlying stock reaches 252.00 USD or if the option premium falls below 4.50 USD.

Maximum loss is limited to the premium paid of 7.99 USD per share ($799 per contract).

COINBuy

CALL · $192.50 strike · 2026-09-11

Premium
$11.33
Break-even
$203.83
Delta
0.49
Bid / Ask
$10.88 / $11.78
Impl. vol
70.7%
Confidence
75%

Quick view

This September 2026 contract offers a solid 0.49 delta at a relatively cheap premium, presenting excellent leverage for long-term bullish exposure.

Buy when · Buy if COIN stock pulls back to around $180.00 while the contract premium remains under $10.50.

Sell when · Sell to close if COIN breaks above the 200-day SMA at $198.54 or if the premium doubles.

Maximum loss is limited to the premium paid of $1,133 per contract.

MSFTBuy

CALL · $506.00 strike · 2026-10-16

Premium
$29.36
Break-even
$535.36
Delta
0.50
Bid / Ask
$28.19 / $30.53
Impl. vol
44.1%
Confidence
75%

Quick view

An attractive option with a 0.50 delta, offering a direct play on long-term MSFT recovery with extra duration to mitigate near-term volatility.

Buy when · Buy when the underlying stock price holds support at 492.00.

Sell when · Sell when the underlying price hits 535.00 or the premium rises to 41.00.

Maximum loss is limited to the premium paid of $2,936.00 per contract.

GOOGLBuy

CALL · $348.00 strike · 2026-09-25

Premium
$11.65
Break-even
$359.65
Delta
0.46
Bid / Ask
$11.18 / $12.12
Impl. vol
37.0%
Confidence
75%

Quick view

An ATM call option with a high delta of 0.46, offering a highly leveraged way to play the long-term recovery of GOOGL from its SMA200 support.

Buy when · GOOGL stock price trades near $335.00 to $341.00.

Sell when · GOOGL stock price rises to the $365.00 target or the option premium increases by 50%.

The maximum loss is limited to the premium paid of $1,165 per contract.

NVDABuy

CALL · $243.50 strike · 2026-09-18

Premium
$3.98
Break-even
$247.48
Delta
0.28
Bid / Ask
$3.82 / $4.14
Impl. vol
42.4%
Confidence
75%

Quick view

This lower-delta contract is a cost-effective alternative that provides high leverage for a long-term bullish outlook. It offers a lower capital outlay of 3.98 while retaining exposure to major upside surprises.

Buy when · Buy when the stock price pulls back below 225.00 and the premium is under 4.10.

Sell when · Sell when the premium gains 50% or if the underlying stock hits 250.00.

The maximum risk is limited to the premium paid of $398.00 per contract.

CRMBuy

CALL · $276.50 strike · 2026-09-18

Premium
$8.22
Break-even
$284.72
Delta
0.35
Bid / Ask
$7.89 / $8.55
Impl. vol
59.7%
Confidence
75%

Quick view

An out-of-the-money long-term call offering higher leverage on a sustained uptrend, though with a slightly lower delta of 0.35.

Buy when · Buy when CRM stock price pulls back to $248.00, reducing the entry premium.

Sell when · Sell when the underlying stock hits $285.00 or if the option premium falls below $4.00.

Maximum loss is limited to the premium paid, which is $822 per contract.

MSFTBuy

CALL · $511.00 strike · 2026-10-16

Premium
$28.77
Break-even
$539.77
Delta
0.50
Bid / Ask
$27.62 / $29.92
Impl. vol
43.1%
Confidence
75%

Quick view

With a solid 0.50 delta, this contract captures 50% of the underlying's move, backed by extra time premium to buffer against near-term volatility.

Buy when · Buy when MSFT bounces from the 495.00 support level.

Sell when · Sell when the underlying reaches 540.00 or the premium falls to 20.00.

$2,877 per contract if held to expiration below the $511 strike.

COINBuy

CALL · $206.50 strike · 2026-09-18

Premium
$8.29
Break-even
$214.79
Delta
0.39
Bid / Ask
$7.96 / $8.62
Impl. vol
70.3%
Confidence
75%

Quick view

A cheaper, slightly out-of-the-money alternative that will yield superior percentage returns if COIN enters an aggressive post-breakout rally.

Buy when · The underlying stock price breaks above $196.08 on high trading volume.

Sell when · The underlying stock price reaches $250.00 or the option premium doubles.

Maximum loss is limited to the premium paid of $829 per contract.

BACBuy

CALL · $63.50 strike · 2026-10-09

Premium
$1.28
Break-even
$64.78
Delta
0.42
Bid / Ask
$1.23 / $1.33
Impl. vol
19.1%
Confidence
75%

Quick view

This contract offers a healthier 0.42 delta and extra time value to ride the reversal back toward the target price.

Buy when · Buy when BAC rebounds off 60.50 and the premium is near 1.25.

Sell when · Sell if the stock reaches 66.50 or the premium falls below 0.60.

The maximum loss is limited to the premium paid of $128.00 per contract.

NVDABuy

CALL · $219.00 strike · 2026-09-18

Premium
$7.42
Break-even
$226.42
Delta
0.46
Bid / Ask
$7.12 / $7.72
Impl. vol
40.1%
Confidence
75%

Quick view

This LEAP option offers high leverage and a solid 0.46 delta, making it ideal for capturing long-term upside at a moderate premium.

Buy when · Buy when NVDA stock price stabilizes at or above $213.00.

Sell when · Sell when the contract premium gains 50% or the stock reaches $240.00.

$742 maximum loss per contract if held to expiry.

PLTRBuy

CALL · $181.50 strike · 2026-09-18

Premium
$12.25
Break-even
$193.75
Delta
0.50
Bid / Ask
$11.76 / $12.74
Impl. vol
76.2%
Confidence
75%

Quick view

This September 2026 call offers long-term leveraged exposure with a more efficient premium structure and lower break-even compared to the October alternatives.

Buy when · PLTR stock enters the $170.00 - $175.00 range, allowing contract entry below a premium of $12.00.

Sell when · PLTR stock price breaks above $207.00 or the contract premium reaches $24.00.

The maximum loss is limited to the premium paid, which is $1,225 per contract.

COINBuy

CALL · $194.50 strike · 2026-09-18

Premium
$11.35
Break-even
$205.85
Delta
0.49
Bid / Ask
$10.90 / $11.80
Impl. vol
69.9%
Confidence
75%

Quick view

This deep 2026 call offers high delta exposure and minimal time decay over our short-term holding period.

Buy when · The stock price is between 182.00 and 192.00.

Sell when · The underlying stock reaches 220.00 or the contract premium depreciates by 30%.

The maximum risk is the premium paid of $1,135 per contract.

VBuy

CALL · $378.50 strike · 2026-10-09

Premium
$8.88
Break-even
$387.38
Delta
0.44
Bid / Ask
$8.52 / $9.24
Impl. vol
20.8%
Confidence
75%

Quick view

This contract offers a solid 0.44 delta and extra time value. It is the safest choice among the options listed, offering superior intrinsic value protection as the stock pushes toward $400.

Buy when · Buy if the underlying stock consolidates near $368.00 and the premium drops to around $8.50.

Sell when · Sell if Visa rises above $395.00 or if the contract premium reaches $15.00.

The maximum loss is $888 per contract if Visa remains below $378.50 at expiration.

AAPLBuy

CALL · $319.00 strike · 2026-09-25

Premium
$9.55
Break-even
$328.55
Delta
0.45
Bid / Ask
$9.17 / $9.93
Impl. vol
32.9%
Confidence
75%

Quick view

This call provides great delta exposure at a reasonable premium given the long expiration date, allowing time for Apple's upward momentum to resume.

Buy when · AAPL stock price clears 314.00 on high volume.

Sell when · AAPL stock price reaches 335.00 or contract premium falls to 5.00.

Maximum loss is $955 per contract if the stock expires below $319.00.

AAPLBuy

CALL · $326.00 strike · 2026-10-23

Premium
$13.81
Break-even
$339.81
Delta
0.48
Bid / Ask
$13.26 / $14.36
Impl. vol
32.4%
Confidence
75%

Quick view

Providing slightly longer duration and a stronger delta of 0.48, this contract offers a robust play on AAPL's long-term growth with moderate time decay.

Buy when · Buy when AAPL shares trade between 317.00 USD and 320.00 USD.

Sell when · Sell if the option value increases by 25% or if AAPL's SMA20 support is broken at 309.86 USD.

Maximum loss is the premium paid of 1,381 USD per contract.

AMDBuy

CALL · $509.00 strike · 2026-10-23

Premium
$45.15
Break-even
$554.15
Delta
0.48
Bid / Ask
$43.34 / $46.96
Impl. vol
76.9%
Confidence
75%

Quick view

A long-dated, out-of-the-money call option with lower premium outlay and ample time to recover.

Buy when · Buy on confirmation of a daily close above the SMA20 at $482.55.

Sell when · Sell if AMD fails to maintain $440.00 support or if the option loses 50% of its premium.

Maximum loss is $4,515 per contract if the stock expires below $509.00.

MSFTBuy

CALL · $517.50 strike · 2026-09-11

Premium
$10.37
Break-even
$527.87
Delta
0.31
Bid / Ask
$9.96 / $10.78
Impl. vol
46.0%
Confidence
75%

Quick view

A highly leveraged out-of-the-money play with a low premium of 10.37, well-suited for a strong uptrend recovery scenario.

Buy when · MSFT stock price drops below 480.00 USD.

Sell when · MSFT stock price reaches 530.00 USD or option premium drops below 5.00 USD.

Maximum loss is limited to the premium paid of 1,037 USD per contract.

LLYBuy

CALL · $1,271.00 strike · 2026-10-16

Premium
$32.02
Break-even
$1,303.02
Delta
0.34
Bid / Ask
$30.74 / $33.30
Impl. vol
34.6%
Confidence
75%

Quick view

This contract provides an attractive risk-to-reward ratio for late 2026, capturing upside as LLY breaks out past its current 52-week high of 1280.34.

Buy when · Buy if the stock maintains support above 1180.00 USD for consecutive trading sessions.

Sell when · Sell if LLY rises past 1320.00 USD or if the premium appreciates by 90%.

The maximum loss is $3,202 per contract if the option expires worthless.

VBuy

CALL · $388.50 strike · 2026-10-16

Premium
$9.40
Break-even
$397.90
Delta
0.44
Bid / Ask
$9.02 / $9.78
Impl. vol
21.0%
Confidence
75%

Quick view

Offering an additional month of duration and a robust 0.44 delta, this contract is well-positioned to capture Visa's target price movement.

Buy when · Buy when the stock price pullbacks to the 376.00 USD to 379.00 USD range.

Sell when · Sell if the stock breaks key support at 365.00 USD or the contract premium reaches 17.50 USD.

Maximum loss is the premium paid of $940 per contract.

VBuy

CALL · $389.00 strike · 2026-09-25

Premium
$5.22
Break-even
$394.22
Delta
0.38
Bid / Ask
$5.01 / $5.43
Impl. vol
20.3%
Confidence
75%

Quick view

This contract offers decent delta exposure to Visa's long-term upward trajectory with over 1.5 years to expiration.

Buy when · Buy when the underlying stock stabilizes near $378.00.

Sell when · Sell if the premium doubles to $10.40 or the stock breaks below $365.00.

Maximum loss is limited to the premium paid of $522 per contract.

COSTBuy

CALL · $961.00 strike · 2026-09-25

Premium
$14.82
Break-even
$975.82
Delta
0.40
Bid / Ask
$14.23 / $15.41
Impl. vol
20.4%
Confidence
75%

Quick view

This LEAPS Call offers a reasonable delta of 0.40 and ample time to capture COST's long-term secular growth once the short-term pullback concludes.

Buy when · Buy when the stock price crosses back above the SMA50 at $946.33 on rising volume.

Sell when · Sell if the contract premium drops by 50% or the stock falls below $890.

Maximum loss is limited to the premium paid of $1,482 per contract.

LLYBuy

CALL · $1,299.00 strike · 2026-10-09

Premium
$57.53
Break-even
$1,356.53
Delta
0.48
Bid / Ask
$55.23 / $59.83
Impl. vol
34.5%
Confidence
75%

Quick view

Deep LEAPS call providing excellent delta and an extra month of duration, capturing the full secular uptrend.

Buy when · Buy when stock price trades in the 1220.00 to 1250.00 range.

Sell when · Sell when stock reaches 1400.00 or if premium declines by 50%.

Maximum loss is the premium paid of $5,753 per contract.

METABuy

CALL · $589.50 strike · 2026-10-30

Premium
$38.82
Break-even
$628.32
Delta
0.51
Bid / Ask
$37.27 / $40.37
Impl. vol
45.6%
Confidence
75%

Quick view

Provides solid delta exposure and nearly two years of duration to capture META's growth cycle past its current correction.

Buy when · Buy when META trades above 575.00.

Sell when · Sell if META drops below 540.00 or if the premium gains 50%.

Maximum loss is the premium paid of $3,882 per contract.

MSFTBuy

CALL · $490.00 strike · 2026-10-09

Premium
$30.04
Break-even
$520.04
Delta
0.50
Bid / Ask
$28.84 / $31.24
Impl. vol
46.0%
Confidence
75%

Quick view

Slightly longer-dated LEAPS contract providing premium stability and a 0.50 delta, making it a strong play to capture long-term upside.

Buy when · MSFT price consolidates around $475.00 or option premium is below $28.00.

Sell when · MSFT reaches target of $530.00 or premium hits $45.00.

$3,004 per contract (premium paid)

COSTBuy

CALL · $977.50 strike · 2026-10-23

Premium
$25.20
Break-even
$1,002.70
Delta
0.45
Bid / Ask
$24.19 / $26.21
Impl. vol
20.2%
Confidence
75%

Quick view

Solid medium-to-long term bullish option with an expiry over a year out, giving ample time for price appreciation.

Buy when · Stock breaks above 960.00.

Sell when · Option premium gains 40% or underlying falls below 920.00.

Maximum loss is limited to the premium paid of $2,520 per contract.

NVDABuy

CALL · $223.00 strike · 2026-10-16

Premium
$12.27
Break-even
$235.27
Delta
0.50
Bid / Ask
$11.78 / $12.76
Impl. vol
42.7%
Confidence
75%

Quick view

This 0.50 delta call represents a high-probability trade with a longer duration, capturing NVDA's secular growth trend.

Buy when · Buy when the stock price stabilizes above the SMA20 near 218.00 USD.

Sell when · Sell when NVDA stock price reaches 250.00 USD.

Maximum loss is $1,227 per contract if the stock expires below $223.

COINBuy

CALL · $193.00 strike · 2026-09-18

Premium
$7.96
Break-even
$200.96
Delta
0.39
Bid / Ask
$7.64 / $8.28
Impl. vol
70.1%
Confidence
75%

Quick view

This out-of-the-money option offers a cheaper entry point to trade the break above the 180 level. It has a lower delta but offers higher percentage returns if the target price is achieved.

Buy when · Buy if the contract premium is under 8.50.

Sell when · Sell if the stock touches 200.00 or the premium reaches 15.00.

Maximum loss is limited to the premium paid of $796 per contract.

LLYBuy

CALL · $1,197.50 strike · 2026-09-25

Premium
$36.36
Break-even
$1,233.86
Delta
0.45
Bid / Ask
$34.91 / $37.81
Impl. vol
34.6%
Confidence
75%

Quick view

This LEAP call offers solid delta exposure to LLY's recovery above the SMA50 with an expiry over a year out, minimizing theta decay in the short term.

Buy when · Buy if LLY stock price holds above 1160 and RSI(14) begins turning upward from 40.

Sell when · Sell if LLY reaches the target of 1250 or if the option premium declines by 30%.

$3,636 maximum loss per contract if held to expiration below strike $1197.50.

BACBuy

CALL · $64.00 strike · 2026-10-09

Premium
$1.32
Break-even
$65.32
Delta
0.42
Bid / Ask
$1.27 / $1.37
Impl. vol
19.3%
Confidence
75%

Quick view

This contract offers a solid balance of sensitivity with a 0.42 delta and extra time value past the October expiry.

Buy when · Buy if BAC stock clears 63.10 or pulls back to support near 61.50.

Sell when · Sell if the underlying stock hits 68.00 or if the option premium falls below 0.65.

Maximum loss is the premium paid of 132.00 USD per contract.

XOMBuy

CALL · $163.00 strike · 2026-10-16

Premium
$5.09
Break-even
$168.09
Delta
0.46
Bid / Ask
$4.89 / $5.29
Impl. vol
25.6%
Confidence
75%

Quick view

This contract provides an extra month of expiry and a stronger delta of 0.46, offering a more conservative and resilient bullish option play.

Buy when · Buy when XOM stock is below 159.50 USD and the premium is around 5.09 USD.

Sell when · Sell when XOM stock reaches 170.00 USD or the option gain exceeds 40%.

The maximum loss is limited to the premium paid, which is $509 per contract.

XOMBuy

CALL · $169.50 strike · 2026-10-09

Premium
$5.14
Break-even
$174.64
Delta
0.46
Bid / Ask
$4.93 / $5.35
Impl. vol
25.8%
Confidence
75%

Quick view

With a strong 0.46 delta and an extra month of expiry, this contract provides excellent leverage to capture XOM's long-term upside while weathering near-term consolidation.

Buy when · Buy when XOM stock declines to the 158.00 - 160.00 USD range.

Sell when · Sell if XOM stock rises to 180.00 USD or premium gains 80%.

Maximum loss is limited to the premium paid of $514 per contract.

LLYBuy

CALL · $1,221.50 strike · 2026-09-18

Premium
$32.33
Break-even
$1,253.83
Delta
0.44
Bid / Ask
$31.04 / $33.62
Impl. vol
34.5%
Confidence
75%

Quick view

This long-term LEAP call offers an attractive balance of medium delta exposure and premium pricing compared to later October expirations, capturing LLY's multi-year fundamental growth trend.

Buy when · Buy when the underlying stock is stable near the 50-day SMA ($1184.68) and the contract premium is below $33.00.

Sell when · Sell when the stock tests $1280.00 or the contract achieves a 40% gain.

The maximum loss is limited to the premium paid of $3,233 per contract.

PLTRBuy

CALL · $178.50 strike · 2026-10-16

Premium
$18.75
Break-even
$197.25
Delta
0.54
Bid / Ask
$18.00 / $19.50
Impl. vol
76.0%
Confidence
75%

Quick view

October 2026 expiration provides an extra month of cushion to absorb near-term consolidation, maintaining a high delta to participate in stock appreciation.

Buy when · Underlying PLTR stock price pulls back to $168.00, or the premium drops to approximately $16.50.

Sell when · Underlying PLTR stock hits the $205.00 target, or the option premium gains 40%.

Maximum loss is limited to the premium paid of $1,875 per contract if PLTR expires below $178.50.

GOOGLBuy

CALL · $348.50 strike · 2026-10-23

Premium
$18.43
Break-even
$366.93
Delta
0.49
Bid / Ask
$17.69 / $19.17
Impl. vol
37.9%
Confidence
75%

Quick view

A longer-dated call option that gives the stock ample time to rebound through key resistance levels with a strong delta of 0.49.

Buy when · Buy when GOOGL is trading between 335.00 and 341.00.

Sell when · Sell when the stock price reaches 370.00 or if the option loses 40% of its value.

Maximum loss is limited to the premium paid of $1,843 per contract.

AAPLBuy

CALL · $334.50 strike · 2026-09-25

Premium
$7.72
Break-even
$342.22
Delta
0.43
Bid / Ask
$7.41 / $8.03
Impl. vol
31.5%
Confidence
75%

Quick view

This call option offers a balanced approach with a 0.43 delta, capturing upside potential as AAPL moves towards our target of $350.

Buy when · AAPL stock price declines to $325 or lower.

Sell when · AAPL stock price reaches $350 or the option premium increases by 50%.

The maximum loss is limited to the premium paid of $772 per contract.

JPMBuy

CALL · $365.00 strike · 2026-10-09

Premium
$9.24
Break-even
$374.24
Delta
0.45
Bid / Ask
$8.87 / $9.61
Impl. vol
21.5%
Confidence
75%

Quick view

An excellent long-term option with a 0.45 delta, capturing stable intrinsic gains as JPM pushes past its 52-week highs.

Buy when · Underlying consolidates near the current SMA20 support of $357.00.

Sell when · Underlying price targets $385.00 or the premium achieves a 60% return.

The maximum loss is limited to the premium paid of $924.00 per contract.

LLYBuy

CALL · $1,269.00 strike · 2026-10-16

Premium
$57.44
Break-even
$1,326.44
Delta
0.48
Bid / Ask
$55.14 / $59.74
Impl. vol
34.5%
Confidence
75%

Quick view

This option provides the longest available duration and a high delta of 0.48 to capture maximum upside. The premium is higher but offers safer long-term holding with less theta decay.

Buy when · Buy when LLY trades between 1200 USD and 1240 USD.

Sell when · Sell if the option premium gains 80% or if the underlying closes below 1160 USD.

Maximum loss is limited to the premium paid of $5,744 per contract.

AMZNBuy

CALL · $264.50 strike · 2026-09-25

Premium
$10.37
Break-even
$274.87
Delta
0.47
Bid / Ask
$9.96 / $10.78
Impl. vol
42.8%
Confidence
75%

Quick view

This near-the-money call option offers solid delta exposure (0.47) to capture a short-term rebound from oversold levels.

Buy when · Buy when the underlying stock trades between $252.00 and $258.00.

Sell when · Sell when the underlying stock reaches $275.00 or if the option premium gains 50%.

Maximum loss is limited to the premium paid of $1,037.00 per contract.

MSFTBuy

CALL · $497.00 strike · 2026-09-18

Premium
$18.44
Break-even
$515.44
Delta
0.46
Bid / Ask
$17.70 / $19.18
Impl. vol
44.2%
Confidence
75%

Quick view

This near-the-money LEAP offers solid delta exposure of 0.46 and a reasonable break-even point, ideal for playing MSFT's long-term upside.

Buy when · Buy when MSFT stock price is consolidating between $480.00 and $487.00.

Sell when · Sell when MSFT stock price reaches $540.00 or the contract premium gains 50%.

Maximum loss is $1,844.00 per contract if held to expiration below the strike price.

LLYBuy

CALL · $1,306.00 strike · 2026-10-09

Premium
$57.83
Break-even
$1,363.83
Delta
0.48
Bid / Ask
$55.52 / $60.14
Impl. vol
34.8%
Confidence
75%

Quick view

Optimal LEAP choice offering higher delta and extra time value to ride out any short-term momentum consolidations.

Buy when · Underlying share price drops below $1270.

Sell when · Underlying share price reaches $1380 or premium falls below $30.00.

Maximum loss is limited to the premium paid of $5,783 per contract.

JPMBuy

CALL · $363.50 strike · 2026-10-30

Premium
$9.10
Break-even
$372.60
Delta
0.45
Bid / Ask
$8.74 / $9.46
Impl. vol
20.1%
Confidence
75%

Quick view

Slightly longer-dated call with solid delta of 0.45, capturing the core bullish thesis with lower decay risk.

Buy when · JPM is under 357.00 USD.

Sell when · JPM reaches 375.00 USD.

The maximum loss is the premium paid of $910 per contract.

JPMBuy

CALL · $365.50 strike · 2026-10-02

Premium
$5.66
Break-even
$371.16
Delta
0.40
Bid / Ask
$5.43 / $5.89
Impl. vol
20.1%
Confidence
75%

Quick view

This near-the-money call provides excellent delta and exposure to capture JPM's long-term upward trajectory.

Buy when · JPM stock holds support above 358.00 on high volume.

Sell when · JPM stock reaches 385.00 or the premium doubles.

Maximum loss is $566 per contract if JPM expires below $365.50.

GOOGLBuy

CALL · $373.00 strike · 2026-10-23

Premium
$12.87
Break-even
$385.87
Delta
0.38
Bid / Ask
$12.36 / $13.38
Impl. vol
38.1%
Confidence
75%

Quick view

Longer-dated OOTM call that allows the bullish reversal thesis more time to materialize.

Buy when · Buy if stock consolidates and holds 348.00.

Sell when · Sell if stock reaches 375.00 or premium falls below 8.00.

Maximum loss is the premium paid of $1,287 per contract.

MSFTBuy

CALL · $494.50 strike · 2026-10-09

Premium
$29.51
Break-even
$524.01
Delta
0.50
Bid / Ask
$28.33 / $30.69
Impl. vol
45.9%
Confidence
75%

Quick view

With a 0.50 delta and an extra month of expiry, this contract provides the best balance of time and sensitivity to capture a move back towards the historical high.

Buy when · Buy when MSFT price consolidates above 480.00.

Sell when · Sell if MSFT reaches 530.00 or if the option premium falls below 18.00.

The maximum loss is limited to the premium paid of $2,951 per contract.

COSTBuy

CALL · $977.50 strike · 2026-09-25

Premium
$15.43
Break-even
$992.93
Delta
0.40
Bid / Ask
$14.81 / $16.05
Impl. vol
20.2%
Confidence
75%

Quick view

LEAP Call option offering excellent leverage to capture Costco's long-term growth with a moderate delta of 0.40.

Buy when · Stock price consolidates above 955.00.

Sell when · Option premium gains 50% or stock price falls below 915.00.

Maximum loss is limited to the premium paid of $1,543 per contract.

GOOGLBuy

CALL · $369.00 strike · 2026-10-16

Premium
$11.97
Break-even
$380.97
Delta
0.37
Bid / Ask
$11.49 / $12.45
Impl. vol
38.1%
Confidence
75%

Quick view

Offers a balanced combination of leverage and duration, targeting a recovery to historical highs above SMA50.

Buy when · Buy if GOOGL closes above 345.00 on positive daily volume.

Sell when · Sell when underlying reaches 370.00 or option premium increases by 50%.

The maximum loss is the premium paid of $1,197.00 per contract.

LLYBuy

CALL · $1,289.50 strike · 2026-10-09

Premium
$57.19
Break-even
$1,346.69
Delta
0.48
Bid / Ask
$54.90 / $59.48
Impl. vol
35.3%
Confidence
75%

Quick view

Offers extra time value compared to the September contract, with a solid 0.48 delta for strong upside participation. This is the preferred choice for a long-term position.

Buy when · Buy when the underlying stock experiences a brief dip below $1250.

Sell when · Sell when the underlying stock reaches $1420 or the contract premium gains 80%.

Maximum loss is the premium paid of $5,719 per contract.

MSFTBuy

CALL · $497.50 strike · 2026-10-16

Premium
$30.66
Break-even
$528.16
Delta
0.50
Bid / Ask
$29.43 / $31.89
Impl. vol
45.5%
Confidence
75%

Quick view

Provides an extra month of runway over the September contracts, offering a balanced delta of 0.50 for a steady recovery play.

Buy when · Buy when the stock price drops below 485.00 USD.

Sell when · Sell when the contract premium gains 50% or the stock rises above 535.00 USD.

Maximum loss is $3,066 per contract if the stock expires below $497.50.

LLYBuy

CALL · $1,213.50 strike · 2026-10-16

Premium
$54.22
Break-even
$1,267.72
Delta
0.48
Bid / Ask
$52.05 / $56.39
Impl. vol
34.8%
Confidence
75%

Quick view

This option provides the highest delta (0.48) and the furthest expiration among the choices, offering the safest long-term risk-adjusted return.

Buy when · LLY shares are acquired in the 1175-1195 range.

Sell when · Underlying LLY shares break out to 1270 or momentum indicators turn bearish on the weekly chart.

The maximum loss is limited to the premium paid, which is $5,422 per contract.

METABuy

CALL · $623.50 strike · 2026-10-23

Premium
$37.91
Break-even
$661.41
Delta
0.50
Bid / Ask
$36.39 / $39.43
Impl. vol
46.2%
Confidence
75%

Quick view

At-the-money 50-delta option with maximum duration, ideal for a conservative long-term recovery play.

Buy when · Underlying META price breaks above 615.00 USD.

Sell when · Underlying META price reaches 660.00 USD.

Maximum loss is the premium paid of $3,791 per contract.

COINBuy

CALL · $176.00 strike · 2026-10-09

Premium
$16.13
Break-even
$192.13
Delta
0.53
Bid / Ask
$15.48 / $16.78
Impl. vol
68.6%
Confidence
75%

Quick view

Provides additional time value into late 2026 with a robust delta of 0.53, though it requires a larger upfront capital commitment.

Buy when · Buy on a minor pullback of the underlying stock to $170.00.

Sell when · Sell when the stock hits $200.00 or the premium falls below $12.00.

Maximum loss is limited to the premium paid of $1,613 per contract.

XOMBuy

CALL · $160.00 strike · 2026-09-18

Premium
$2.76
Break-even
$162.76
Delta
0.40
Bid / Ask
$2.65 / $2.87
Impl. vol
25.8%
Confidence
75%

Quick view

This deep LEAP Call offers excellent leverage on long-term capital appreciation with a reasonable break-even of 162.76. The 0.40 delta provides solid exposure to XOM's secular uptrend.

Buy when · Buy when XOM stock price pulls back to the 151-155 USD range to minimize premium.

Sell when · Sell when the contract premium doubles or if the underlying stock falls below the 200-day SMA.

Maximum loss is the premium paid of $276.00 per contract.

GOOGLBuy

CALL · $352.50 strike · 2026-10-16

Premium
$18.50
Break-even
$371.00
Delta
0.49
Bid / Ask
$17.76 / $19.24
Impl. vol
38.1%
Confidence
75%

Quick view

Oct 2026 call offers extra duration to ride the recovery wave past the SMA50 with limited time decay.

Buy when · Underlying stock stabilizes above $342.00 on the daily chart.

Sell when · Underlying stock hits target of $365.00 or premium rises by 35%.

Maximum loss is limited to the premium paid of $1,850 per contract.

NVDABuy

CALL · $235.50 strike · 2026-10-09

Premium
$7.74
Break-even
$243.24
Delta
0.37
Bid / Ask
$7.43 / $8.05
Impl. vol
40.1%
Confidence
75%

Quick view

An attractive compromise offering 1.5+ years of duration and a 0.37 delta to efficiently leverage long-term semiconductor growth trends.

Buy when · Underlying NVDA stock pulls back to $214.00 or lower.

Sell when · Underlying NVDA stock reaches $250.00 or the option premium gains 60%.

The maximum loss is limited to the premium paid of $774.00 per contract.

LLYBuy

CALL · $1,233.50 strike · 2026-10-16

Premium
$54.12
Break-even
$1,287.62
Delta
0.48
Bid / Ask
$51.96 / $56.28
Impl. vol
34.2%
Confidence
75%

Quick view

Offers the highest delta (0.48) and an extra month of expiry compared to September, providing a solid cushion for the bullish thesis.

Buy when · Buy when LLY shares bounce from the 1200.00 level.

Sell when · Sell if the underlying hits 1320.00 or if the premium drops below 35.00.

$5,412 per contract (premium paid).

JPMBuy

CALL · $359.50 strike · 2026-10-23

Premium
$9.56
Break-even
$369.06
Delta
0.45
Bid / Ask
$9.18 / $9.94
Impl. vol
21.1%
Confidence
75%

Quick view

Provides ample duration to absorb short-term volatility, letting the secular banking uptrend play out.

Buy when · Buy when JPM stock consolidates between $346.00 and $350.00.

Sell when · Sell when JPM stock reaches $375.00 or option premium reaches $15.00.

$956 per contract if JPM expires below $359.50.

NFLXBuy

CALL · $81.50 strike · 2026-09-11

Premium
$2.07
Break-even
$83.57
Delta
0.43
Bid / Ask
$1.99 / $2.15
Impl. vol
36.4%
Confidence
75%

Quick view

With a delta of 0.43 and a low premium of 2.07 USD, this contract provides excellent leverage to capture the move towards the 85.00 USD target.

Buy when · Buy when the underlying asset price is between 78.00 USD and 79.50 USD.

Sell when · Sell if the underlying asset reaches 85.00 USD or if the premium drops below 1.00 USD.

The maximum loss is limited to the premium paid of 207 USD per contract.

LLYBuy

CALL · $1,199.50 strike · 2026-10-23

Premium
$56.83
Break-even
$1,256.33
Delta
0.49
Bid / Ask
$54.56 / $59.10
Impl. vol
34.7%
Confidence
75%

Quick view

Attractive LEAP Call with almost 0.50 delta, benefiting from extended time to maturity for LLY to realize growth.

Buy when · Buy when the stock price breaks above the SMA50 at 1185.59 USD.

Sell when · Sell if the stock price drops below 1120.00 USD.

$5,683 per contract if the stock expires below $1199.50.

CRMBuy

CALL · $214.00 strike · 2026-10-16

Premium
$15.13
Break-even
$229.13
Delta
0.51
Bid / Ask
$14.52 / $15.74
Impl. vol
51.4%
Confidence
75%

Quick view

Offering slightly longer duration than the September expiry, this ITM/NTM call captures the long-term upward trajectory with over 50% delta.

Buy when · Buy when CRM trades above $209.00 with stable daily volume.

Sell when · Sell when the stock target of $250.00 is achieved or option premium drops below $10.00.

Maximum loss is limited to the premium paid of $1,513 per contract if CRM expires below $214.00.

AMZNBuy

CALL · $269.50 strike · 2026-10-09

Premium
$15.53
Break-even
$285.03
Delta
0.50
Bid / Ask
$14.91 / $16.15
Impl. vol
43.7%
Confidence
75%

Quick view

A balanced risk-reward profile with a 0.50 delta and extra time value. It provides high exposure to long-term secular trends while weathering near-term volatility.

Buy when · Underlying stock stabilizes around $260.00 and the premium drops below $14.50.

Sell when · Option premium reaches $22.00 or the underlying stock falls below $248.00.

Maximum loss is the premium paid of $1,553 per contract if AMZN is below $269.50 at expiration.

GOOGLBuy

CALL · $367.00 strike · 2026-10-23

Premium
$12.21
Break-even
$379.21
Delta
0.37
Bid / Ask
$11.72 / $12.70
Impl. vol
37.8%
Confidence
75%

Quick view

A slightly cheaper OTM LEAPS call option that offers solid delta exposure for a recovery back to the 370s.

Buy when · Buy when GOOGL shares are under 343.00.

Sell when · Sell when premium reaches 20.00 or if underlying drops below 328.00.

Maximum loss is $1,221 per contract if the stock expires below 367.

COSTBuy

CALL · $979.00 strike · 2026-09-25

Premium
$15.31
Break-even
$994.31
Delta
0.40
Bid / Ask
$14.70 / $15.92
Impl. vol
20.2%
Confidence
75%

Quick view

A near-the-money call option that captures long-term appreciation with reasonable delta as the stock breaks consolidation.

Buy when · Buy if the stock breaks above 960.00 with rising volume.

Sell when · Sell if the stock drops below the 925.00 stop loss or if the option premium drops below 10.00.

Maximum loss is $1,531 per contract if the stock expires below 979.00.

MSFTBuy

CALL · $520.00 strike · 2026-10-16

Premium
$21.43
Break-even
$541.43
Delta
0.39
Bid / Ask
$20.57 / $22.29
Impl. vol
45.5%
Confidence
75%

Quick view

Strike 520 for October 2026 offers slightly more time than the September counterpart to breach the $541.43 break-even. This is a solid play for long-term growth positioning.

Buy when · Buy when the stock establishes a clear short-term bottom near $480.

Sell when · Sell if the underlying stock hits $540 or if the option loses 40% of its value.

The maximum loss is $2,143 per contract if the stock expires below $520.00.

NVDABuy

CALL · $215.00 strike · 2026-09-18

Premium
$6.62
Break-even
$221.62
Delta
0.45
Bid / Ask
$6.36 / $6.88
Impl. vol
38.8%
Confidence
75%

Quick view

An in-the-money LEAP contract offering robust delta exposure and high sensitivity to a rebound back towards 230.00.

Buy when · Buy when NVDA stock price stabilizes above 208.00.

Sell when · Sell when the option premium reaches 12.00 or if the underlying stock falls below 195.00.

Maximum loss is limited to the premium paid of $662 per contract.

COSTBuy

CALL · $986.50 strike · 2026-10-16

Premium
$25.84
Break-even
$1,012.34
Delta
0.45
Bid / Ask
$24.81 / $26.87
Impl. vol
21.6%
Confidence
75%

Quick view

The optimal choice offering an attractive 0.45 delta and extra time cushion for the bullish breakout to play out.

Buy when · Buy when the stock is in the entry range of 955.00 to 968.00.

Sell when · Sell when the option premium gains 50% or the underlying breaks below 935.00.

$2,584 per contract if held to expiration below strike price $986.50.

AMZNBuy

CALL · $261.50 strike · 2026-10-16

Premium
$14.47
Break-even
$275.97
Delta
0.49
Bid / Ask
$13.89 / $15.05
Impl. vol
43.1%
Confidence
75%

Quick view

This near-the-money contract with a 0.49 delta provides excellent sensitivity to underlying price movements and plenty of time value.

Buy when · Buy when AMZN confirms support at 251.00 USD and RSI begins turning upward.

Sell when · Sell if the underlying stock hits the 272.00 USD target or if the premium drops by 30%.

The maximum loss is the premium paid of $1,447.00 per contract.

COSTBuy

CALL · $979.50 strike · 2026-10-16

Premium
$22.96
Break-even
$1,002.46
Delta
0.44
Bid / Ask
$22.04 / $23.88
Impl. vol
20.2%
Confidence
75%

Quick view

With a strong delta of 0.44 and over a year of runway, this contract provides an ideal blend of leverage and safety for a sustained recovery.

Buy when · Buy when the stock price holds above 960.00 for two consecutive trading sessions.

Sell when · Sell when the stock hits the 1010.00 target or if the option's value drops by 30%.

The maximum loss is $2,296 per contract if the stock expires below $979.50.

GOOGLBuy

CALL · $347.50 strike · 2026-09-18

Premium
$11.80
Break-even
$359.30
Delta
0.46
Bid / Ask
$11.33 / $12.27
Impl. vol
38.0%
Confidence
75%

Quick view

This near-the-money long-dated call captures solid upside momentum with a 0.46 delta as the stock rebounds from long-term support.

Buy when · Buy when the underlying stock drops into the $333.00 to $340.00 support range.

Sell when · Sell when the underlying stock touches $370.00 or if the option premium gains 50%.

Maximum loss is limited to the premium paid of $1,180 per contract.

PLTRBuy

CALL · $178.50 strike · 2026-09-18

Premium
$12.01
Break-even
$190.51
Delta
0.50
Bid / Ask
$11.53 / $12.49
Impl. vol
76.0%
Confidence
75%

Quick view

This deep-in-the-money 2026 LEAPS option provides high sensitivity to PLTR's upward trend while minimizing time decay over the short-term holding period.

Buy when · Underlying PLTR stock price falls to $168.00, or the premium drops to approximately $10.50.

Sell when · Underlying PLTR stock hits the $205.00 target, or the premium increases by 50%.

Maximum loss is limited to the premium paid of $1,201 per contract if PLTR expires below $178.50.

MSFTBuy

CALL · $520.00 strike · 2026-09-18

Premium
$11.12
Break-even
$531.12
Delta
0.32
Bid / Ask
$10.68 / $11.56
Impl. vol
45.5%
Confidence
75%

Quick view

This out-of-the-money contract at strike 520 is highly cost-effective, maximizing leverage for a recovery. The break-even of $531.12 is highly achievable before September 2026.

Buy when · Buy when MSFT rebounds from the 20-day SMA at $478.

Sell when · Sell if MSFT exceeds $530, allowing for quick profit-taking on delta expansion.

The maximum loss is $1,112 per contract if the stock expires below $520.00.

UNHBuy

CALL · $412.00 strike · 2026-10-23

Premium
$14.08
Break-even
$426.08
Delta
0.47
Bid / Ask
$13.52 / $14.64
Impl. vol
25.6%
Confidence
75%

Quick view

The extra month of expiration compared to the September contract offers better safety and a higher delta of 0.47. It is well-positioned to benefit from UNH's long-term secular growth.

Buy when · Buy when UNH trades between 400.00 and 405.00, establishing a solid floor.

Sell when · Sell when UNH targets 435.00 or when the option achieves a 40% gain.

Maximum loss is limited to the premium paid of $1,408 per contract.

MSFTBuy

CALL · $494.00 strike · 2026-10-09

Premium
$29.43
Break-even
$523.43
Delta
0.50
Bid / Ask
$28.25 / $30.61
Impl. vol
45.9%
Confidence
75%

Quick view

This contract features a solid 0.50 delta and an extra month of duration, offering an excellent balance of directional exposure and time cushion.

Buy when · Buy if MSFT price bounces successfully off the SMA20 support line at 473.15 USD.

Sell when · Sell if the underlying stock reaches 535.00 USD or the option premium doubles.

Maximum loss is the premium paid of $2,943 per contract.

GOOGLBuy

CALL · $368.50 strike · 2026-10-16

Premium
$11.96
Break-even
$380.46
Delta
0.37
Bid / Ask
$11.48 / $12.44
Impl. vol
38.0%
Confidence
75%

Quick view

An attractive leverage play with an extra month of expiry to absorb short-term consolidation before hitting target.

Buy when · GOOGL price stabilizes above $340.

Sell when · GOOGL share price reaches $375.

Maximum loss is limited to the premium paid of $1,196 per contract.

XOMBuy

CALL · $163.50 strike · 2026-10-16

Premium
$5.13
Break-even
$168.63
Delta
0.46
Bid / Ask
$4.92 / $5.34
Impl. vol
25.5%
Confidence
75%

Quick view

With a 0.46 delta and an extra month of expiration compared to September, this contract provides the safest risk-adjusted leverage on a sustained long-term rally.

Buy when · Underlying share price consolidates in the 158.00 to 160.00 USD range.

Sell when · Underlying share price reaches the target of 171.00 USD or the option premium drops by 40%.

Maximum loss is the premium paid of 513 USD per contract.

LLYBuy

CALL · $1,359.50 strike · 2026-10-09

Premium
$34.99
Break-even
$1,394.49
Delta
0.34
Bid / Ask
$33.59 / $36.39
Impl. vol
35.4%
Confidence
75%

Quick view

Provides a balanced risk-reward profile, offering a 0.34 delta for a moderately out-of-the-money strike with almost two years to expiration.

Buy when · Buy when the underlying stock falls toward $1,230, or the premium dips to $31.50.

Sell when · Sell when the underlying stock reaches the target price of $1,380 or the premium rises to $70.00.

Maximum loss is limited to the premium paid of $3,499 per contract.

COSTBuy

CALL · $990.50 strike · 2026-10-16

Premium
$26.09
Break-even
$1,016.59
Delta
0.45
Bid / Ask
$25.05 / $27.13
Impl. vol
21.8%
Confidence
75%

Quick view

With a 0.45 delta and ample duration, this call option is well positioned to capture a sustained drift higher towards old highs.

Buy when · Buy when the underlying stock pulls back slightly toward 960.00 while maintaining its SMA20 support.

Sell when · Sell when the underlying stock reaches 1050.00 or the option premium falls below 13.00 USD.

The maximum risk is the premium paid of $2,609 per contract if it expires worthless.

VBuy

CALL · $372.00 strike · 2026-09-11

Premium
$4.97
Break-even
$376.97
Delta
0.38
Bid / Ask
$4.77 / $5.17
Impl. vol
20.7%
Confidence
75%

Quick view

This deep-in-time LEAP call option provides high leverage and an attractive 0.38 delta to capture long-term upside.

Buy when · Buy when the underlying stock stabilizes above $360.00 with positive daily volume.

Sell when · Sell if the contract loses 50% of its value or when Visa reaches the $385.00 target.

The maximum loss is limited to the premium paid of $4.97 per share, or $497.00 per contract.

CVXBuy

CALL · $209.50 strike · 2026-10-09

Premium
$6.15
Break-even
$215.65
Delta
0.45
Bid / Ask
$5.90 / $6.40
Impl. vol
25.1%
Confidence
75%

Quick view

This longer-dated contract provides extra time for the bullish thesis to play out with a higher delta of 0.45.

Buy when · Buy when the underlying CVX stock trades between $202.00 and $205.50.

Sell when · Sell when CVX reaches $218.00 or if the premium falls below $3.00.

The maximum loss is the premium paid of $615 per contract.

AAPLBuy

CALL · $321.00 strike · 2026-10-23

Premium
$13.97
Break-even
$334.97
Delta
0.48
Bid / Ask
$13.41 / $14.53
Impl. vol
32.4%
Confidence
75%

Quick view

October call option that offers extra duration and a 0.48 delta, reducing theta decay risks while waiting for a stock rally.

Buy when · Buy when AAPL stays sustained above 313.00.

Sell when · Sell when underlying stock hits 335.00.

$1,397 maximum loss per contract if expired out of the money.

COINBuy

CALL · $196.50 strike · 2026-09-18

Premium
$7.41
Break-even
$203.91
Delta
0.38
Bid / Ask
$7.11 / $7.71
Impl. vol
69.0%
Confidence
75%

Quick view

Provides lower-premium exposure targeting a breakout above the key 200-day moving average.

Buy when · Buy when COIN shares trade above $182.00.

Sell when · Sell when COIN shares reach $210.00 or the option premium drops below $3.50.

$741 maximum loss per contract if held to expiration.

XOMBuy

CALL · $159.50 strike · 2026-09-18

Premium
$2.74
Break-even
$162.24
Delta
0.41
Bid / Ask
$2.63 / $2.85
Impl. vol
25.9%
Confidence
75%

Quick view

This long-dated, near-the-money call offers strong leverage with a low break-even price relative to historic highs. The 0.41 delta ensures strong participation in any upward move over the next two years.

Buy when · Buy if XOM stock holds support above 151.50 and the option premium is under 2.90.

Sell when · Sell if the underlying stock price drops below 146.50 or the option premium doubles to 5.50.

$274 per contract if the stock expires below $159.50.

COSTBuy

CALL · $964.50 strike · 2026-10-23

Premium
$24.88
Break-even
$989.38
Delta
0.45
Bid / Ask
$23.88 / $25.88
Impl. vol
20.8%
Confidence
75%

Quick view

A highly viable long-term call option offering great exposure to Costco's expansion plans with an extra month of expiry.

Buy when · Underlying stock consolidates successfully above 945.00 with RSI turning upwards.

Sell when · Underlying stock touches 1080.00 or premium drops to 12.00.

Maximum loss is the premium paid of 2,488.00 USD per contract.

GOOGLBuy

CALL · $352.50 strike · 2026-09-18

Premium
$12.01
Break-even
$364.51
Delta
0.46
Bid / Ask
$11.53 / $12.49
Impl. vol
38.1%
Confidence
75%

Quick view

This slightly out-of-the-money long-dated call offers solid delta exposure to capture the anticipated swing recovery off the SMA200 support.

Buy when · Underlying stock price holds above $342.00 and RSI shows signs of recovery.

Sell when · Underlying stock reaches $365.00 or premium gains 30%.

Maximum loss is limited to the premium paid of $1,201 per contract.

AMZNBuy

CALL · $264.00 strike · 2026-09-11

Premium
$8.67
Break-even
$272.67
Delta
0.45
Bid / Ask
$8.32 / $9.02
Impl. vol
43.7%
Confidence
75%

Quick view

This near-the-money long-dated call provides excellent leverage to play the short-term bounce with minimal theta decay.

Buy when · Buy if AMZN stock trades between 255.00 and 258.50 USD.

Sell when · Sell if AMZN stock reaches 275.00 USD or option premium drops by 30%.

Maximum loss is limited to the premium paid of $867 per contract.

JPMBuy

CALL · $368.00 strike · 2026-10-23

Premium
$8.57
Break-even
$376.57
Delta
0.44
Bid / Ask
$8.23 / $8.91
Impl. vol
20.2%
Confidence
75%

Quick view

A solid long-term bullish bet with a higher delta of 0.44 and additional time to maturity compared to September.

Buy when · Buy if JPM bounces off SMA20 support at $358 with premium near $8.50.

Sell when · Sell if JPM reaches target $385 or option premium rises to $15.00.

Maximum loss is $857 per contract if JPM expires below $368.

AMDBuy

CALL · $517.00 strike · 2026-09-18

Premium
$24.80
Break-even
$541.80
Delta
0.41
Bid / Ask
$23.81 / $25.79
Impl. vol
77.6%
Confidence
75%

Quick view

A slightly out-of-the-money option that offers higher leverage on a strong momentum swing past SMA50.

Buy when · Buy when AMD stock clears 490.00 on rising volume.

Sell when · Sell when the option premium doubles or the stock falls below 440.00.

Maximum loss is $2,480 per contract if the stock expires below the $517 strike.

NVDABuy

CALL · $224.00 strike · 2026-10-16

Premium
$7.70
Break-even
$231.70
Delta
0.37
Bid / Ask
$7.39 / $8.01
Impl. vol
40.4%
Confidence
75%

Quick view

A well-priced out-of-the-money contract with high leverage that will benefit significantly from volatility expansion and price recovery.

Buy when · Buy when NVDA price is near $209.00 and the premium is below $8.00.

Sell when · Sell when the underlying stock rises to $228.00 or the contract premium appreciates to $13.00.

The maximum loss is limited to the premium paid, which is $770.00 per contract.

MSFTBuy

CALL · $530.00 strike · 2026-09-18

Premium
$9.77
Break-even
$539.77
Delta
0.30
Bid / Ask
$9.38 / $10.16
Impl. vol
44.0%
Confidence
75%

Quick view

A lower-cost entry offering higher leverage. It is suitable for a bullish outlook, though it requires a significant move past the 52-week high to reach break-even.

Buy when · Buy when the underlying stock stabilizes near the 20-day SMA around 488.00 USD.

Sell when · Sell if the stock reaches 535.00 USD or the premium falls below 5.00 USD.

The maximum loss is limited to the premium paid of $977 per contract.

NVDABuy

CALL · $219.00 strike · 2026-10-09

Premium
$11.19
Break-even
$230.19
Delta
0.49
Bid / Ask
$10.74 / $11.64
Impl. vol
40.1%
Confidence
75%

Quick view

With an extra month of expiry and a solid 0.49 delta, this option gives ample time for NVDA to resume its upward trend, despite carrying a higher initial premium.

Buy when · Buy when the underlying stock drops towards the $213.00 level.

Sell when · Sell when the contract premium reaches $20.00 or the stock falls below $202.00.

Maximum loss is the premium paid of $1,119.00 per contract.

CRMHold

CALL · $270.00 strike · 2026-10-23

Premium
$21.20
Break-even
$291.20
Delta
0.52
Bid / Ask
$20.35 / $22.05
Impl. vol
58.7%
Confidence
78%

Quick view

This October 2026 contract provides an extra month of duration, making it a robust vehicle to capture CRM's long-term upside post-pullback.

Buy when · Underlying stock retraces to 230.00 USD, bringing the option premium down to around 17.50 USD.

Sell when · Underlying stock breaks above 290.00 USD or contract gains 40%.

Maximum loss is limited to the premium paid of $2,120 per contract.

PLTRHold

CALL · $178.00 strike · 2026-10-09

Premium
$19.44
Break-even
$197.44
Delta
0.54
Bid / Ask
$18.66 / $20.22
Impl. vol
79.4%
Confidence
77%

Quick view

This LEAP contract has an extra month of duration to weather any short-term corrective pullbacks, making it the preferred vehicle once the RSI cools.

Buy when · PLTR stock stabilizes near the $158 support zone.

Sell when · PLTR stock hits $210 or the option premium gains 45%.

Maximum loss is the premium paid of $1,944 per contract.

TSLASell

CALL · $364.50 strike · 2026-09-18

Premium
$13.29
Break-even
$377.79
Delta
0.38
Bid / Ask
$12.76 / $13.82
Impl. vol
56.7%
Confidence
80%

Quick view

This out-of-the-money call option has a low probability of being exercised given TSLA's bearish medium-term SMA alignments.

Buy when · Avoid buying, or buy to cover if TSLA rises above the 200-day moving average at 404.35.

Sell when · Sell to open if TSLA stock is priced between 340.00 and 345.00 with failing momentum.

Maximum loss is theoretically unlimited if the short call is uncovered.

CRMSell

CALL · $263.00 strike · 2026-09-25

Premium
$13.78
Break-even
$276.78
Delta
0.49
Bid / Ask
$13.23 / $14.33
Impl. vol
59.4%
Confidence
80%

Quick view

This option contract premium is currently overvalued due to high annualized volatility of 59.39% and an overbought underlying stock price of 258.06 USD.

Buy when · Buy when the underlying CRM stock falls below 215.00 USD, aiming for a premium entry under 8.00 USD.

Sell when · Sell immediately to lock in profits if holding, or avoid buying at the current premium of 13.78 USD.

The maximum loss is the premium paid of 1,378 USD per contract if purchased.

CRMSell

CALL · $263.00 strike · 2026-10-23

Premium
$21.54
Break-even
$284.54
Delta
0.52
Bid / Ask
$20.68 / $22.40
Impl. vol
59.4%
Confidence
80%

Quick view

An extremely expensive premium of 21.54 USD driven by a parabolic price move and high implied volatility makes this a poor immediate entry.

Buy when · Buy if the underlying stock pulls back to the 20-day SMA of 210.51 USD and the premium drops below 14.00 USD.

Sell when · Sell or exit existing positions at the current premium of 21.54 USD to avoid capital erosion.

The maximum loss is the premium paid of 2,154 USD per contract if purchased.

TSLASell

CALL · $364.50 strike · 2026-10-16

Premium
$22.05
Break-even
$386.55
Delta
0.44
Bid / Ask
$21.17 / $22.93
Impl. vol
56.7%
Confidence
80%

Quick view

This option decays rapidly due to TSLA's negative 60-day momentum of -20.07% and lack of upside volume conviction.

Buy when · Avoid buying, or buy to cover if TSLA displays a strong volume trend breakout above 375.00.

Sell when · Sell to open if TSLA price remains overbought near 340.53.

Maximum loss is theoretically unlimited if the short call is uncovered.

TSLASell

CALL · $375.50 strike · 2026-10-16

Premium
$23.01
Break-even
$398.51
Delta
0.44
Bid / Ask
$22.09 / $23.93
Impl. vol
57.4%
Confidence
78%

Quick view

A premium of 23.01 is too high for an out-of-the-money strike when declining volume trends point to weakening buying interest.

Buy when · Do not purchase this call under current market conditions.

Sell when · Sell or avoid as premium decays; exit long positions if TSLA falls below 350.00.

Maximum loss is the premium paid of $23.01 ($2,301 per contract) if held long.

BASell

CALL · $230.00 strike · 2026-09-18

Premium
$3.91
Break-even
$233.91
Delta
0.29
Bid / Ask
$3.75 / $4.07
Impl. vol
37.9%
Confidence
75%

Quick view

An OTM strike of 230.00 USD is highly unlikely to be achieved given the stock's current bearish MACD crossover.

Buy when · Avoid buying this call unless BA breaks above 230.00 USD on high volume.

Sell when · Exit immediately if BA drops below 212.00 USD.

Maximum loss is the premium paid of $3.91 per share ($391 per contract).

TSLASell

CALL · $371.50 strike · 2026-10-16

Premium
$22.61
Break-even
$394.11
Delta
0.44
Bid / Ask
$21.71 / $23.51
Impl. vol
57.0%
Confidence
75%

Quick view

The 371.5 strike is protected by the 50-day SMA resistance, making this an attractive contract to avoid or sell.

Buy when · Avoid buying; write this option if TSLA fails to sustain its move above 350.00.

Sell when · Buy back to cover if TSLA drops to 315.00 or if the premium falls to 10.00.

For buyers, maximum loss is the premium of $22.61 per share ($2,261 total).

TSLASell

CALL · $371.50 strike · 2026-09-18

Premium
$13.62
Break-even
$385.12
Delta
0.38
Bid / Ask
$13.08 / $14.16
Impl. vol
57.0%
Confidence
75%

Quick view

The strike of 371.5 lies above the 50-day SMA resistance of 367.18, making this call highly unlikely to go in-the-money soon.

Buy when · Avoid buying; write this call if TSLA faces rejection at the 367.00 resistance level.

Sell when · Buy back the written call to close if TSLA drops to 315.00 or if premium decays to under 5.00.

For buyers, the maximum loss is the premium paid of $13.62 per share ($1,362 total).

BASell

CALL · $230.00 strike · 2026-10-16

Premium
$7.51
Break-even
$237.51
Delta
0.37
Bid / Ask
$7.21 / $7.81
Impl. vol
37.9%
Confidence
75%

Quick view

This deep OTM call carries high premium decay risk under current bearish structural conditions.

Buy when · Avoid buying unless BA clears the 230.00 USD level on a weekly close.

Sell when · Exit if BA continues to slide below 211.00 USD.

Maximum loss is the premium paid of $7.51 per share ($751 per contract).

TSLASell

CALL · $347.50 strike · 2026-10-16

Premium
$28.64
Break-even
$376.14
Delta
0.52
Bid / Ask
$27.49 / $29.79
Impl. vol
56.7%
Confidence
75%

Quick view

Writing this long-dated call captures premium decay under the expectation that long-term SMA resistance levels will cap the stock's upside.

Buy when · Avoid buying, or buy to cover if TSLA closes above the 50-day SMA of 367.05.

Sell when · Sell to open if TSLA stock price tests the 345.00 resistance area.

Maximum loss is theoretically unlimited if the short call is uncovered.

TSLAStrong Sell

CALL · $375.50 strike · 2026-09-18

Premium
$13.79
Break-even
$389.29
Delta
0.38
Bid / Ask
$13.24 / $14.34
Impl. vol
57.4%
Confidence
80%

Quick view

With negative long-term momentum, the probability of TSLA reaching the 375.5 strike before expiration is very low.

Buy when · Do not purchase this call under current bearish conditions.

Sell when · Sell or avoid as premium decays; exit long positions if TSLA fails to reclaim 355.00.

Maximum loss is the premium paid of $13.79 ($1,379 per contract) if held long.