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PLTR

BuyBullish

Palantir Technologies Inc · NASDAQ NMS - GLOBAL MARKET

Price history

AI thesis

Palantir exhibits a strong long-term uptrend supported by SMA alignment, though recent MACD bearish crossover and decreasing volume suggest a minor consolidation phase. RSI at 56.61 indicates room for upward movement before becoming overbought. Entering on a minor pullback near the SMA20 support levels provides an attractive risk-reward setup towards new highs.

Entry zone

$175.00 – $182.50

Target

$215.00

Stop-loss

$165.00

Horizon

4-8 weeks

Buy when · Buy when the price pulls back to the SMA20 support level around 177.00 USD.

Sell when · Sell if the price achieves the target of 215.00 USD or falls below the support of 165.00 USD.

Risks

  • MACD bearish crossover signals short-term momentum loss
  • Decreasing volume suggests lack of immediate buying pressure
  • High annualized volatility of 76.24% could trigger stop losses early
Confidence
70%

Indicators

RSI (14)
56.6
SMA 20
$176.80
SMA 50
$148.55
SMA 200
$151.36
MACD
8.97 / 10.31
20d momentum
+17.07%
60d momentum
+38.21%
52w range
$107.27 – $207.18
Volatility (ann.)
+76.24%
Volume trend
-21.84%

Option ideas on PLTR

CALL $184.00 · 2026-09-11Buy

Premium $12.21 · Break-even $196.21 · Δ 0.50

This deep-in-time LEAP call offers a balanced 0.50 delta, making it an excellent vehicle to capture long-term upside with built-in leverage while mitigating short-term volatility.

Buy: Buy if PLTR stock pulls back below $176.00, reducing the premium entry cost.

Sell: Sell to close if the underlying stock reaches $215.00 or if the option premium drops below $6.00.

CALL $193.00 · 2026-09-11Buy

Premium $8.84 · Break-even $201.84 · Δ 0.40

A slightly out-of-the-money call option with a lower premium of 8.84, providing higher leverage but requiring a larger stock move to reach break-even.

Buy: Buy if the stock stabilizes around $172.00 during a market pullback.

Sell: Sell to close if the stock climbs past $210.00 or if the premium falls below $4.00.

CALL $178.50 · 2026-09-11Hold

Premium $12.19 · Break-even $190.69 · Δ 0.50

This LEAP call offers a balanced 0.50 delta, but buying at current overbought levels exposes the position to immediate drawdown on a pullback.

Buy: Buy if PLTR stock pulls back to 160.00 or lower.

Sell: Sell if the option premium drops below 8.50 or if PLTR stock crosses above 205.00.

CALL $177.00 · 2026-09-11Buy

Premium $12.57 · Break-even $189.57 · Δ 0.51

This deep-in-time call offers solid leverage with a 0.51 delta, capitalizing on Palantir's long-term growth despite short-term overbought signals.

Buy: Buy if the underlying stock pulls down to $160.00, which should reduce this option's premium to approximately $9.50.

Sell: Sell if the option premium doubles to $25.00 or if the underlying stock drops below the $135.00 stop-loss.

CALL $182.50 · 2026-09-11Buy

Premium $12.29 · Break-even $194.79 · Δ 0.50

This LEAP contract offers a highly leveraged way to play PLTR's long-term upside at a reasonable premium and delta of 0.5.

Buy: PLTR stock pulls back below 172.00 USD, lowering the option premium toward 10.00 USD.

Sell: The underlying stock reaches 220.00 USD or the option premium rises by 80%.

CALL $191.50 · 2026-09-11Buy

Premium $8.88 · Break-even $200.38 · Δ 0.40

An out-of-the-money contract with a 0.4 delta that offers lower capital outlay and strong leverage if the uptrend resumes post-pullback.

Buy: PLTR stock pulls back to 170.00 USD, bringing the entry premium closer to 7.00 USD.

Sell: The underlying stock price reaches 210.00 USD or the premium increases by 100%.

CALL $178.00 · 2026-09-11Hold

Premium $12.32 · Break-even $190.32 · Δ 0.51

This contract offers a near-the-money strike with a solid 0.51 delta, but the entry should be deferred until implied volatility and spot price cool down.

Buy: PLTR stock pulls back below $160.

Sell: PLTR stock reaches $210 or the option premium increases by 50%.

CALL $187.00 · 2026-09-11Hold

Premium $8.91 · Break-even $195.91 · Δ 0.41

An out-of-the-money option with a lower premium but higher breakeven, which will suffer from near-term time and volatility decay if the stock consolidates.

Buy: PLTR stock falls to the $155 level.

Sell: PLTR stock reaches $210 or the premium rises by 70%.

CALL $183.50 · 2026-09-11Hold

Premium $12.21 · Break-even $195.71 · Δ 0.50

This LEAP contract offers solid delta exposure for long-term upside but is currently expensive due to elevated stock RSI and high implied volatility. Waiting for a stock pullback will allow entry at a more favorable premium.

Buy: Buy when PLTR stock pulls back to 160.00 or the contract premium falls to 9.50 USD.

Sell: Sell when PLTR stock reaches the 210.00 USD target or if the contract premium drops below 6.00 USD.

CALL $192.50 · 2026-09-11Hold

Premium $8.82 · Break-even $201.32 · Δ 0.40

An out-of-the-money long-term call option that is highly sensitive to volatility changes. High annualised volatility of 79.36% inflates current pricing, suggesting a delayed entry is preferred.

Buy: Buy when PLTR stock falls to 160.00 or the contract premium cools to 6.50 USD.

Sell: Sell when PLTR stock hits 210.00 USD or if the contract premium falls below 4.00 USD.

CALL $179.50 · 2026-09-11Hold

Premium $12.66 · Break-even $192.16 · Δ 0.50

This ATM LEAP call offers good delta exposure but is currently expensive due to high stock RSI and 79.47% volatility. Holding is advised until a price pullback lowers the premium.

Buy: Buy if PLTR stock pulls down to 155.00 USD, lowering the contract premium.

Sell: Sell if the contract value gains 50% or if PLTR breaks below 145.00 USD.

CALL $186.00 · 2026-09-11Buy

Premium $8.71 · Break-even $194.71 · Δ 0.41

A lower-cost call option with a 0.41 delta that will experience rapid delta expansion once the underlying PLTR stock resumes its upward momentum.

Buy: Buy when PLTR finds support near the $160.00 level and MACD signal line stabilizes.

Sell: Sell when the underlying PLTR stock reaches $195.00 or if the contract premium falls below $4.00.

CALL $188.00 · 2026-09-11Buy

Premium $9.28 · Break-even $197.28 · Δ 0.41

An OTM LEAPS contract offering higher leverage but lower probability of profit than the 179 strike. It is suitable for a highly bullish long-term outlook.

Buy: The stock price consolidates below 170.00 USD, lowering the option premium to around 8.00 USD.

Sell: The underlying stock reaches 200.00 USD, or the premium rises by 60%.

CALL $184.50 · 2026-09-11Hold

Premium $12.48 · Break-even $196.98 · Δ 0.50

This contract is currently expensive due to high stock momentum and annualized volatility of 79.46%. Waiting for a stock pullback will cheapen the premium and improve the risk-reward ratio.

Buy: Buy the call if PLTR stock retraces below 165.00 USD, reducing the contract premium below 10.00 USD.

Sell: Sell to close if the stock surpasses 210.00 USD or if the premium loses 40% of its value from entry.

CALL $194.00 · 2026-09-11Hold

Premium $8.90 · Break-even $202.90 · Δ 0.40

An out-of-the-money call with a delta of 0.4 that suffers from high implied volatility. A short-term pullback is expected to compress this premium significantly, offering a better entry.

Buy: Buy the call if PLTR stock retraces below 165.00 USD, targeting an entry premium of under 7.00 USD.

Sell: Sell to close if PLTR hits 210.00 USD or if the premium falls below 4.50 USD.

CALL $176.50 · 2026-09-11Buy

Premium $11.92 · Break-even $188.42 · Δ 0.50

This deep-in-time option offers a balanced 0.5 delta, allowing participation in PLTR's long-term growth with a relatively low break-even of 188.42.

Buy: Buy when PLTR shares dip to $165.00 or below to lower premium costs.

Sell: Sell to close when PLTR exceeds $200.00 or if the stock falls below $145.00.

CALL $187.50 · 2026-09-11Buy

Premium $9.09 · Break-even $196.59 · Δ 0.41

An out-of-the-money option that offers higher leverage but lower probability of profit due to the lower delta.

Buy: Buy when the stock price falls to $165.

Sell: Sell when premium reaches $18.00 or stock hits $148.

CALL $177.50 · 2026-09-11Buy

Premium $11.91 · Break-even $189.41 · Δ 0.50

This deep-in-the-money 2026 call LEAP offers a 0.50 delta, which is an ideal instrument to capture long-term upside while mitigating short-term premium decay.

Buy: Buy when the underlying stock price drops to $165.00 or the contract premium reaches $10.00.

Sell: Sell when the underlying stock rises to $200.00 or if the premium drops below $6.00.

CALL $185.50 · 2026-09-11Buy

Premium $8.53 · Break-even $194.03 · Δ 0.40

A cheaper alternative with a lower delta (0.4) that offers higher leverage if PLTR sustains its strong momentum past $185.50.

Buy: Buy if the stock stabilizes above $170.00 after a minor pullback.

Sell: Sell to close when PLTR reaches $210.00 or if premium decays past 50% of the entry price.

CALL $179.00 · 2026-09-11Buy

Premium $12.69 · Break-even $191.69 · Δ 0.51

This ITM/ATM LEAPS call provides excellent leverage for PLTR's long-term growth with a solid 0.51 delta. The high premium is offset by the generous time horizon of nearly two years.

Buy: The underlying stock drops below 172.00 USD, reducing the option premium.

Sell: The option premium increases by 50% or if the underlying stock breaches the 200.00 USD target.

CALL $180.50 · 2026-09-18Buy

Premium $12.95 · Break-even $193.45 · Δ 0.51

This near-ATM option offers a solid 0.51 delta, providing good exposure to PLTR's upside momentum with a lower premium entry than the October contracts.

Buy: PLTR stock holds above 172.00 on daily close.

Sell: PLTR price reaches 200.00 or option premium drops below 7.50.

CALL $189.50 · 2026-09-18Buy

Premium $11.88 · Break-even $201.38 · Δ 0.50

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: Buy if the contract premium falls below $11.00 during an equity pullback to $180.00.

Sell: Sell to close if the contract premium gains 80% or if the underlying stock breaks below $160.00.

CALL $185.00 · 2026-09-18Buy

Premium $8.59 · Break-even $193.59 · Δ 0.40

At a lower premium, this OTM LEAP option offers higher leverage for a sustained move past the 52-week highs. High implied volatility will also boost this option's premium if momentum accelerates.

Buy: Buy when PLTR share price is above $170.00 with accelerating daily volume.

Sell: Sell when contract value doubles or the underlying falls below $155.00.

CALL $183.50 · 2026-09-18Hold

Premium $13.62 · Break-even $197.12 · Δ 0.51

This deep LEAP call provides excellent long-term exposure but currently suffers from inflated premium pricing due to extreme short-term stock momentum. Waiting for a pullback will significantly improve the break-even profile.

Buy: Buy when PLTR stock pulls back to the $157.00 level, driving this premium below $10.50.

Sell: Sell if the premium appreciates to $22.00 or if the stock falls below its 50-day SMA at $138.93.

CALL $192.50 · 2026-09-18Hold

Premium $10.19 · Break-even $202.69 · Δ 0.42

This slightly out-of-the-money contract is highly sensitive to price pullbacks due to its lower delta of 0.42. Purchasing now risks immediate downside exposure if the stock undergoes a short-term correction.

Buy: Buy when PLTR stock retracts to the $157.00 support area and this premium drops near $7.50.

Sell: Sell if the premium rises to $16.00 or if the stock triggers our stop-loss level of $145.00.

CALL $178.50 · 2026-09-18Buy

Premium $12.01 · Break-even $190.51 · Δ 0.50

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: Underlying PLTR stock price falls to $168.00, or the premium drops to approximately $10.50.

Sell: Underlying PLTR stock hits the $205.00 target, or the premium increases by 50%.

CALL $185.50 · 2026-09-18Buy

Premium $8.87 · Break-even $194.37 · Δ 0.41

A cheaper out-of-the-money option that offers higher leverage if PLTR resumes its strong upward momentum and breaks 52-week highs.

Buy: Buy if PLTR holds the $170.00 support level.

Sell: Sell if the contract value doubles or the underlying stock falls below $155.00.

CALL $190.50 · 2026-09-18Buy

Premium $8.85 · Break-even $199.35 · Δ 0.40

An aggressive, lower-cost option choice that leverages PLTR's potential to break past the $190.5 strike by 2026 on sustained commercial expansion.

Buy: Underlying stock drops to near $172.00, keeping option entry premium under $8.50.

Sell: Stock rises to $205.00 or the contract premium increases to $17.00.

CALL $181.50 · 2026-09-18Buy

Premium $12.25 · Break-even $193.75 · Δ 0.50

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: PLTR stock enters the $170.00 - $175.00 range, allowing contract entry below a premium of $12.00.

Sell: PLTR stock price breaks above $207.00 or the contract premium reaches $24.00.

CALL $189.00 · 2026-09-18Buy

Premium $11.87 · Break-even $200.87 · Δ 0.50

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: Underlying stock stabilizes above 183.00 with premium near 11.50.

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

CALL $176.00 · 2026-09-18Buy

Premium $11.98 · Break-even $187.98 · Δ 0.51

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: Buy when PLTR shares trade between $165.00 and $173.00.

Sell: Sell when the contract value appreciates by 50% or the underlying breaks below $155.00.

CALL $181.00 · 2026-09-18Buy

Premium $11.95 · Break-even $192.95 · Δ 0.50

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: Buy if the contract premium falls to 10.50 USD or PLTR stock retraces to the 172.00 USD level.

Sell: Sell if the option premium doubles to 24.00 USD or if PLTR stock breaks support at 150.00 USD.

CALL $179.50 · 2026-09-18Buy

Premium $12.76 · Break-even $192.26 · Δ 0.51

This long-dated call option provides a solid delta of 0.51 to capture the long-term upward trajectory of PLTR with plenty of time to reach profitability.

Buy: PLTR stock trades above $176.00 with sustained daily volume.

Sell: PLTR stock hits $205.00 or the option premium drops below $7.50.

CALL $188.00 · 2026-09-18Buy

Premium $12.33 · Break-even $200.33 · Δ 0.50

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: Buy when the underlying stock price falls below 182.00 USD.

Sell: Sell when the contract premium reaches 20.00 USD or if the underlying stock falls below 165.00 USD.

CALL $201.00 · 2026-09-18Buy

Premium $8.34 · Break-even $209.34 · Δ 0.39

This contract offers a lower premium entry point of 8.34 with a delta of 0.39, offering high upside exposure if the stock breaks out above 200.

Buy: Buy if PLTR breaks above 190.00 with expanding daily volume.

Sell: Sell when PLTR reaches the target price of 215.00.

CALL $191.50 · 2026-09-18Buy

Premium $11.87 · Break-even $203.37 · Δ 0.50

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: Buy when PLTR share price pulls back to the 180.00-185.00 range.

Sell: Sell when PLTR underlying stock reaches 215.00 or option premium drops by 30%.

CALL $198.50 · 2026-09-18Buy

Premium $8.37 · Break-even $206.87 · Δ 0.39

A cheaper entry point than the 189.5 strike, though requiring a larger move past the 52-week high to reach break-even.

Buy: Buy when PLTR stock breaks out above $188.00.

Sell: Sell when PLTR reaches $215.00 or the contract loses 50% value.

CALL $190.00 · 2026-09-18Buy

Premium $11.74 · Break-even $201.74 · Δ 0.50

This near-the-money call provides a strong 0.50 delta to capture PLTR's upward momentum at a relatively efficient premium compared to October options.

Buy: Buy if PLTR stock price breaks above $187.00 while the contract premium is below $12.50.

Sell: Sell if the stock hits the $210.00 target or if the option premium falls below $8.00.

CALL $179.00 · 2026-09-18Buy

Premium $11.95 · Break-even $190.95 · Δ 0.50

This long-dated LEAPS Call offers solid delta exposure with a reasonable break-even, allowing plenty of time for PLTR's secular growth to play out.

Buy: Buy when the underlying stock stabilizes around $170.00 and the premium falls below $11.00.

Sell: Sell when the underlying stock hits $195.00 or the premium rises above $22.00.

CALL $187.50 · 2026-09-18Buy

Premium $8.63 · Break-even $196.13 · Δ 0.40

An out-of-the-money 2026 call offering a lower entry premium and higher leverage to capture the next leg of PLTR's long-term expansion.

Buy: Underlying PLTR stock price pulls back to $168.00, or the premium drops to approximately $7.20.

Sell: Underlying PLTR stock hits the $205.00 target, or the option premium doubles.

CALL $199.50 · 2026-09-18Buy

Premium $8.21 · Break-even $207.71 · Δ 0.39

A higher leverage play with an out-of-the-money strike that can yield high returns if PLTR makes a rapid move toward its 52-week high.

Buy: Buy if the stock maintains its current momentum above $186.29 and the premium is below $8.50.

Sell: Sell when the stock price reaches $205.00 or the premium drops below $5.50.

CALL $178.00 · 2026-09-18Buy

Premium $12.19 · Break-even $190.19 · Δ 0.50

This near-the-money LEAP provides balanced delta exposure and plenty of time to capture PLTR's long-term enterprise growth. The lower premium relative to October makes it a cost-efficient entry.

Buy: Buy when PLTR stock price drops to $172.00 or lower.

Sell: Sell when PLTR stock price rises to $205.00 or if the option premium drops below $7.00.

CALL $186.50 · 2026-09-18Buy

Premium $8.60 · Break-even $195.10 · Δ 0.40

A slightly OTM call offering high leverage for a resumption of the primary bullish trend.

Buy: Buy when the underlying stock pulls back to 166.00 USD to secure a cheaper premium entry.

Sell: Sell if the underlying stock reaches 195.00 USD or the option premium drops below 5.50 USD.

CALL $197.50 · 2026-09-18Buy

Premium $8.76 · Break-even $206.26 · Δ 0.40

A cheaper out-of-the-money contract that offers greater leverage for aggressive accounts aiming for high percentage returns.

Buy: Buy when the underlying stock price dips below 180.00 USD.

Sell: Sell when the contract premium doubles to 17.50 USD or the stock drops below 165.00 USD.

CALL $199.00 · 2026-09-18Buy

Premium $8.32 · Break-even $207.32 · Δ 0.39

An affordable out-of-the-money LEAP contract that offers exceptional leverage as delta expands upon a breakout. The lower upfront capital outlay makes it an attractive risk-defined vehicle.

Buy: Buy when PLTR stabilizes around $182.00 on the daily chart.

Sell: Sell if PLTR stock hits $215.00 or if the option premium loses 50% of its initial value.

CALL $177.50 · 2026-09-18Buy

Premium $11.99 · Break-even $189.49 · Δ 0.50

This ATM call option offers an excellent delta to capture long-term upside while mitigating short-term theta decay.

Buy: Buy when the underlying stock pulls back to 166.00 USD.

Sell: Sell if the underlying stock reaches 195.00 USD or the option premium drops below 8.00 USD.

CALL $186.00 · 2026-09-18Buy

Premium $8.92 · Break-even $194.92 · Δ 0.41

A cheaper alternative for leveraging PLTR's long-term growth with a respectable 0.41 delta, though requiring a larger move to break even.

Buy: Stock price is near 170.00 and the option premium drops below 8.50.

Sell: Option premium reaches 15.00 or the stock falls below 155.00.

CALL $177.00 · 2026-09-18Buy

Premium $12.07 · Break-even $189.07 · Δ 0.50

This LEAP call option has a balanced 0.50 delta, making it a highly effective vehicle for leveraging PLTR's long-term upside with defined risk.

Buy: Buy when the underlying stock stabilizes around $168.00.

Sell: Sell if the option premium gains 50% or the stock breaks below $150.00.

CALL $197.00 · 2026-09-25Buy

Premium $8.86 · Break-even $205.86 · Δ 0.40

An out-of-the-money LEAP offering higher leverage for a lower premium outlay, ideal for capturing the long-term uptrend.

Buy: Buy when the stock price trades near $180.00 or the premium falls below $7.50.

Sell: Sell when the stock price exceeds $215.00 or the contract premium reaches $18.00.

CALL $201.00 · 2026-09-25Buy

Premium $9.54 · Break-even $210.54 · Δ 0.41

A lower-premium alternative that leverages a move above $200.00, providing an excellent risk-to-reward ratio for a long-term position.

Buy: Buy if the underlying stock breaks out above $190.00 on increasing daily volume.

Sell: Sell if the underlying stock falls below $170.00 or if the option premium increases by 60%.

CALL $191.50 · 2026-09-25Buy

Premium $13.12 · Break-even $204.62 · Δ 0.50

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: Buy if the underlying stock remains above $185.00.

Sell: Sell if the underlying stock reaches the target of $215.00 or if the option premium gains 50%.

CALL $200.00 · 2026-09-25Buy

Premium $9.63 · Break-even $209.63 · Δ 0.41

This out-of-the-money 200 strike call offers higher leverage but is more speculative, relying on a rapid break past the 52-week high.

Buy: PLTR stock breaks out above 188.50 USD on rising volume.

Sell: PLTR stock falls below 174.00 USD or target of 215.00 USD is achieved.

CALL $191.00 · 2026-09-25Buy

Premium $13.03 · Break-even $204.03 · Δ 0.50

The 191 strike call offers a balanced 0.50 delta to capture immediate upside with lower relative time decay.

Buy: PLTR share price trades between 180.00 and 187.10 USD.

Sell: PLTR share price drops below 168.00 USD or targets 215.00 USD.

CALL $189.50 · 2026-09-25Buy

Premium $13.11 · Break-even $202.61 · Δ 0.51

This long-term call offers a solid delta of 0.51 to capture PLTR's secular growth with a reasonable break-even of 202.61.

Buy: Buy when PLTR shares trade between $180.00 and $186.00.

Sell: Sell if PLTR breaks below $160.00 or the contract value gains 50%.

CALL $199.00 · 2026-09-25Buy

Premium $9.51 · Break-even $208.51 · Δ 0.41

An out-of-the-money call option for September 2026 that provides higher leverage but requires a break-even of 208.51.

Buy: Buy if PLTR drops closer to $180.00 to cheapen the entry premium.

Sell: Sell if PLTR fails to hold the $165.00 support level or if the target premium of $15.00 is achieved.

CALL $186.50 · 2026-09-25Buy

Premium $12.30 · Break-even $198.80 · Δ 0.50

This LEAP call option provides robust delta exposure of 0.50 and lower time decay, ideal for capitalizing on a medium-term recovery back above 200.

Buy: Buy when the stock price crosses above 183.50.

Sell: Sell when the contract premium reaches 20.00 or if the underlying stock falls below 170.00.

CALL $199.50 · 2026-09-25Buy

Premium $9.10 · Break-even $208.60 · Δ 0.40

An out-of-the-money 2026 call that provides higher leverage at a lower premium entry point.

Buy: Underlying stock clears the $188.00 resistance level on strong daily volume.

Sell: Underlying PLTR stock price hits the target of $215.00 or contract premium drops by 40%.

CALL $181.00 · 2026-09-25Buy

Premium $8.26 · Break-even $189.26 · Δ 0.40

A lower-cost alternative to get long exposure, capturing a 0.4 delta with a lower capital outlay for a recovery play.

Buy: Buy when PLTR breaks back above the 20-day SMA of $175.46.

Sell: Sell when the underlying stock reaches $195.00 or if PLTR falls below $147.00.

CALL $172.50 · 2026-09-25Buy

Premium $11.47 · Break-even $183.97 · Δ 0.50

This ATM LEAP call offers an excellent 0.5 delta, giving high sensitivity to PLTR's eventual recovery with plenty of time to ride out near-term volatility.

Buy: Buy if the underlying PLTR price remains above $165.00 and the option premium is below $12.00.

Sell: Sell if the underlying PLTR price reaches $195.00 or if the option premium drops below $6.00.

CALL $178.50 · 2026-09-25Buy

Premium $8.32 · Break-even $186.82 · Δ 0.40

A lower-cost alternative that offers higher leverage on a sharp recovery back above the 20-day SMA.

Buy: Buy when PLTR holds support at 165.00.

Sell: Sell when the option premium gains 60% or if the underlying stock falls below 145.00.

CALL $170.50 · 2026-09-25Buy

Premium $11.33 · Break-even $181.83 · Δ 0.50

This near-at-the-money contract has a solid 0.50 delta and offers balanced leverage to capture PLTR's recovery over the longer term.

Buy: Buy when the underlying asset trades between 160.00 and 167.00.

Sell: Sell when the contract premium increases by 50% or if PLTR breaks below 145.00.

CALL $181.50 · 2026-09-25Buy

Premium $8.01 · Break-even $189.51 · Δ 0.40

A lower-premium LEAP option with 0.40 delta, providing higher leverage for a strong upward continuation above the $181.5 strike.

Buy: Buy when the underlying stock is between $165.00 and $169.00.

Sell: Sell when the underlying stock reaches $195.00 or the premium rises by 60%.

CALL $173.00 · 2026-09-25Buy

Premium $11.19 · Break-even $184.19 · Δ 0.50

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: Buy when the underlying stock price trades below $170.00.

Sell: Sell when the underlying stock reaches $195.00 or the option premium gains 50%.

CALL $177.00 · 2026-09-25Strong Buy

Premium $11.64 · Break-even $188.64 · Δ 0.50

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

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

CALL $190.00 · 2026-09-25Buy

Premium $12.67 · Break-even $202.67 · Δ 0.50

This deep LEAP call offers 0.50 delta to capture long-term equity growth while mitigating short-term theta decay.

Buy: Underlying PLTR stock pulls back toward the support level of $180.00.

Sell: The contract premium doubles to $25.34 or the underlying stock falls below $169.00.

CALL $192.50 · 2026-09-25Buy

Premium $8.67 · Break-even $201.17 · Δ 0.40

A lower-premium alternative that provides high leverage to play PLTR's long-term enterprise software expansion at a cheaper entry cost.

Buy: Buy if the stock pulls back to $175.00, reducing the premium closer to $8.00.

Sell: Sell when the premium doubles to $17.34 or if the stock breaks below $150.00.

CALL $183.50 · 2026-09-25Buy

Premium $12.06 · Break-even $195.56 · Δ 0.50

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: Buy when PLTR stock trades between $175.00 and $180.00.

Sell: Sell when the contract premium gains 50% or if the underlying stock drops below $146.11.

CALL $195.50 · 2026-09-25Buy

Premium $8.51 · Break-even $204.01 · Δ 0.39

Out-of-the-money long-term call offering cheaper premium at 8.51 USD for high leverage, suitable for a highly bullish long-term stance.

Buy: Buy when the stock breaks above the 185.00 USD resistance on increasing volume.

Sell: Sell if the contract premium reaches 17.00 USD or if the underlying stock drops below 165.00 USD.

CALL $189.00 · 2026-09-25Buy

Premium $12.58 · Break-even $201.58 · Δ 0.50

This long-dated option offers a balanced 0.50 delta to capture PLTR's upside momentum with a lower premium entry compared to the October series.

Buy: The stock price stabilizes above 180.00 on the daily chart.

Sell: The premium reaches 22.00 or the stock falls below 170.00.

CALL $198.50 · 2026-09-25Buy

Premium $9.01 · Break-even $207.51 · Δ 0.40

This cheaper contract offers higher leverage, though its break-even requires a solid breakout above current levels.

Buy: The stock breaks above 188.00 with increasing buying volume.

Sell: The premium reaches 16.00 or the stock falls below 170.00.

CALL $194.50 · 2026-09-25Buy

Premium $8.93 · Break-even $203.43 · Δ 0.40

A higher strike call option providing cheaper entry premium and higher leverage for a more aggressive bullish target.

Buy: Buy when the stock price tests support near 176.00 USD.

Sell: Sell when the stock price reaches 205.00 USD.

CALL $185.50 · 2026-09-25Buy

Premium $8.44 · Break-even $193.94 · Δ 0.40

A slightly out-of-the-money alternative that lowers capital outlay while maintaining exposure to PLTR's long-term growth through late 2026. The 0.40 delta provides a solid balance of risk and reward.

Buy: Buy when PLTR stock tests support near 170.00 USD and exhibits stabilizing volume.

Sell: Sell when PLTR reaches the 200.00 USD target or if the option loses 50% of its initial value.

CALL $195.00 · 2026-09-25Buy

Premium $8.86 · Break-even $203.86 · Δ 0.40

The 195 strike is slightly out-of-the-money but highly leveraged, making it an efficient bet on PLTR's long-term upward trajectory past $200.

Buy: Buy when the stock establishes support above 180.00.

Sell: Sell if the stock falls below 165.00 or when the option premium doubles.

CALL $186.00 · 2026-09-25Buy

Premium $12.07 · Break-even $198.07 · Δ 0.50

This deep LEAP call option offers an ATM strike with 0.5 delta, capturing significant upside potential as Palantir scales, while minimizing time decay over the short term.

Buy: Buy when PLTR shares touch 180.00 USD and volume begins to stabilize.

Sell: Sell if the contract premium doubles to 24.14 USD or if the underlying stock drops below 165.00 USD.

CALL $196.50 · 2026-09-25Buy

Premium $9.11 · Break-even $205.61 · Δ 0.40

A cheaper, slightly out-of-the-money alternative with a 0.40 delta that offers higher leverage if PLTR breaks to new highs.

Buy: Buy when PLTR trades near $176.00 and this option premium falls to around $8.20.

Sell: Sell when PLTR stock reaches $210.00 or the premium appreciates by 55%.

CALL $187.50 · 2026-09-25Buy

Premium $12.44 · Break-even $199.94 · Δ 0.50

This at-the-money LEAP call offers balanced exposure with a 0.5 delta, benefiting from PLTR's long-term momentum with low decay.

Buy: Buy when the underlying stock drops to $178.00 or the premium falls below $10.50.

Sell: Sell when the contract premium doubles to $25.00 or if the stock falls below $168.00.

CALL $183.50 · 2026-10-09Hold

Premium $19.67 · Break-even $203.17 · Δ 0.54

This October 2026 call has higher premium and slightly more delta, making it a robust long-term holding once the short-term overbought condition cools down.

Buy: Buy when PLTR stock retraces to 160.00 or the contract premium drops to 15.50 USD.

Sell: Sell when PLTR stock touches 215.00 USD or if the contract premium falls below 11.00 USD.

CALL $179.50 · 2026-10-09Hold

Premium $19.71 · Break-even $199.21 · Δ 0.54

With an expiry further out, this ATM option has a solid 0.54 delta but carries a steep premium of 19.71 USD. Hold off buying until volatility cools down.

Buy: Buy if stock pulls back to 152.00 USD, bringing the premium down significantly.

Sell: Sell if the contract premium rises to 30.00 USD or if the stock trend reverses below SMA200.

CALL $188.00 · 2026-10-09Hold

Premium $16.25 · Break-even $204.25 · Δ 0.48

Similar to the 179 strike October contract, the premium of 16.25 is relatively steep for an OTM option. It is safer to wait for a volatility contraction before entry.

Buy: The premium falls below 13.00 USD on a market pullback.

Sell: The underlying stock hits 200.00 USD or the contract's value increases by 40%.

CALL $178.50 · 2026-10-09Hold

Premium $19.31 · Break-even $197.81 · Δ 0.54

The October 2026 expiry provides ample time for PLTR to digest its overbought status and continue its long-term uptrend.

Buy: Buy if the stock price drops to 160.00 and the premium falls near 15.00.

Sell: Sell if the premium drops below 13.50 or if PLTR hits 210.00.

CALL $187.50 · 2026-10-09Buy

Premium $16.09 · Break-even $203.59 · Δ 0.48

Slightly cheaper premium than the 178.5 strike for the same expiry, presenting a decent risk-reward ratio.

Buy: Buy if stock price pulls back to $165.

Sell: Sell when premium reaches $28.00 or stock falls below $148.

CALL $177.00 · 2026-10-09Hold

Premium $19.54 · Break-even $196.54 · Δ 0.54

This option provides an extra month of duration compared to the September contract, but the higher premium reduces the immediate risk-reward ratio.

Buy: Buy if the premium falls below $15.50 during a market dip.

Sell: Sell if the premium reaches $35.00 or if the underlying stock breaches $135.00.

CALL $179.00 · 2026-10-09Hold

Premium $19.76 · Break-even $198.76 · Δ 0.54

This contract offers slightly more time and a higher delta of 0.54, but the premium of 19.76 is disproportionately expensive compared to the September contract. We recommend holding off to see if implied volatility cools down.

Buy: The option premium falls below 16.50 USD due to volatility crush or stock pullback.

Sell: The stock price hits the target of 200.00 USD or the option loses 30% of its value.

CALL $176.50 · 2026-10-09Hold

Premium $19.04 · Break-even $195.54 · Δ 0.54

Offers slightly higher delta and an extra month of duration, but the significantly higher premium of $19.04 increases the break-even hurdle.

Buy: Buy only if premium falls below $16.00 during a sharp market pullback.

Sell: Sell when PLTR rises above $205.00 or if the stock drops below $140.00.

CALL $185.50 · 2026-10-09Hold

Premium $15.54 · Break-even $201.04 · Δ 0.47

An out-of-the-money long-dated option with high premium relative to its delta, requiring a substantial move past $200.00 to become highly profitable.

Buy: Buy if PLTR drops to $160.00, reducing the premium cost.

Sell: Sell when PLTR exceeds $215.00 or if the stock falls below $145.00.

CALL $178.00 · 2026-10-09Hold

Premium $19.44 · Break-even $197.44 · Δ 0.54

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: PLTR stock stabilizes near the $158 support zone.

Sell: PLTR stock hits $210 or the option premium gains 45%.

CALL $187.00 · 2026-10-09Hold

Premium $15.94 · Break-even $202.94 · Δ 0.47

Provides longer duration than the September strike but carries a higher breakeven of 202.94, which requires a substantial long-term trend continuation.

Buy: PLTR stock pulls back to $155.

Sell: PLTR stock reaches $210 or the premium appreciates by 60%.

CALL $177.50 · 2026-10-09Buy

Premium $19.09 · Break-even $196.59 · Δ 0.54

This October 2026 contract provides an extra month of duration to weather any extended consolidation phase and boasts a solid 0.54 delta.

Buy: Buy when the underlying stock drops below $165.00 and the daily RSI drops below 55.

Sell: Sell when the underlying stock reaches $200.00 or on a violation of the $145.00 support level.

CALL $186.00 · 2026-10-09Buy

Premium $15.79 · Break-even $201.79 · Δ 0.47

Offers a highly balanced risk-reward profile for October 2026, positioning buyers to benefit from long-term enterprise AI adoption.

Buy: Buy when the underlying stock enters the target pullback range of $155.00 to $165.00.

Sell: Sell when the underlying stock hits $195.00 or if the contract premium falls below $8.00.

CALL $184.50 · 2026-10-09Hold

Premium $19.97 · Break-even $204.47 · Δ 0.54

This longer-dated call has solid delta but carries a heavy premium of 19.97 USD. Entering now exposes the buyer to both stock pullback and volatility crush risks.

Buy: Buy the call if the stock pulls back to 160.00 USD, looking for a premium entry near 15.50 USD.

Sell: Sell to close if PLTR stock reaches 215.00 USD or if the premium falls below 10.00 USD.

CALL $194.00 · 2026-10-09Hold

Premium $16.27 · Break-even $210.27 · Δ 0.47

A slightly lower delta call that remains expensive in the short term due to elevated stock price and volatility. Retracement in the underlying is necessary to buy at a reasonable valuation.

Buy: Buy the call if PLTR stock drops to 160.00 USD, aiming for an entry premium under 12.00 USD.

Sell: Sell to close if the stock target of 215.00 USD is achieved or if the premium falls below 8.00 USD.

CALL $184.00 · 2026-10-09Buy

Premium $19.65 · Break-even $203.65 · Δ 0.54

This October 2026 contract offers an extra month of duration and a higher delta of 0.54, providing solid exposure to Palantir's long-term growth trajectory.

Buy: Buy if the stock price drops to near $175.00 to capture a lower premium entry.

Sell: Sell to close if the underlying reaches $220.00 or if the contract value depreciates by 50%.

CALL $193.00 · 2026-10-09Buy

Premium $16.17 · Break-even $209.17 · Δ 0.47

An October 2026 call with a 193 strike that benefits from extended time to expiration, though the break-even is higher at $209.17.

Buy: Buy if the stock declines to $170.00 and finds support at the SMA20.

Sell: Sell to close when PLTR hits $215.00 or if premium depreciates below $8.00.

CALL $182.50 · 2026-10-09Hold

Premium $19.69 · Break-even $202.19 · Δ 0.54

The premium of 19.69 is relatively expensive compared to the September contract, offering lower implied leverage for the extra month.

Buy: The option premium falls below 15.00 USD during a broader market correction.

Sell: The underlying stock drops below the 50-day SMA of 138.92 USD.

CALL $191.50 · 2026-10-09Hold

Premium $16.18 · Break-even $207.68 · Δ 0.47

This contract carries high implied volatility pricing, making the risk-reward ratio less optimal compared to shorter-dated options.

Buy: The premium drops below 12.00 USD as volatility cools down.

Sell: The underlying stock breaks below the 50-day SMA of 138.92 USD.

CALL $192.50 · 2026-10-09Hold

Premium $16.17 · Break-even $208.67 · Δ 0.47

Slightly cheaper OTM option for late 2026, offering decent leverage but currently carrying inflated premium due to the stock's recent vertical momentum.

Buy: Buy when PLTR stock pulls back to 160.00 or the contract premium falls to 12.50 USD.

Sell: Sell when PLTR stock reaches 215.00 USD or if the contract premium falls below 9.00 USD.

CALL $185.00 · 2026-10-16Buy

Premium $15.13 · Break-even $200.13 · Δ 0.47

This OTM LEAP balances a lower premium entry with an extra month of expiry cushion over the September strike. It is highly suited for traders expecting PLTR to break its 52-week highs by late next year.

Buy: Buy if the stock holds above $170.00 during the next weekly close.

Sell: Sell when the contract premium appreciates by 60% or if the underlying drops below $155.00.

CALL $198.50 · 2026-10-16Hold

Premium $15.44 · Break-even $213.94 · Δ 0.47

High premium for an out-of-the-money strike makes this contract less attractive compared to near-term or lower-strike options.

Buy: Buy if PLTR pulls back to $171.00.

Sell: Sell when PLTR reaches $220.00 or premium drops to $8.00.

CALL $189.50 · 2026-10-16Buy

Premium $19.11 · Break-even $208.61 · Δ 0.54

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: Buy when the underlying stock drops to $180.00 and finds support.

Sell: Sell to close if the underlying stock reaches $220.00 or breaches major support at $155.00.

CALL $199.50 · 2026-10-16Hold

Premium $15.31 · Break-even $214.81 · Δ 0.46

This contract has an elevated break-even of $214.81, requiring a very significant breakout to become profitable within our short-term horizon.

Buy: Buy if the contract premium drops below $12.00 during a market-wide consolidation.

Sell: Sell if the stock falls below $170.00 or the premium appreciates to $19.00.

CALL $189.00 · 2026-10-16Hold

Premium $19.05 · Break-even $208.05 · Δ 0.53

While offering slightly higher delta and an extra month of duration, the premium of 19.05 is significantly higher than the September equivalent, reducing relative value.

Buy: Option premium retraces to under 16.00 on a market-wide dip.

Sell: Underlying stock reaches target of 210.00 or option premium appreciates to 28.00.

CALL $191.50 · 2026-10-16Hold

Premium $19.15 · Break-even $210.65 · Δ 0.53

While offering longer duration, the significantly higher premium of 19.15 compared to the September contract diminishes the short-term risk-reward ratio.

Buy: Buy only if premium declines below 15.00 on a market-wide correction.

Sell: Sell if the premium appreciates to 25.00 or if the underlying drops below 171.00.

CALL $201.00 · 2026-10-16Hold

Premium $15.47 · Break-even $216.47 · Δ 0.46

A premium of 15.47 is relatively high for an out-of-the-money call, making this less attractive than the September 201 strike alternative.

Buy: Buy if the contract premium falls below 12.00 during a minor pullback.

Sell: Sell if PLTR breaks below 171.00 or if the contract reaches 22.00.

CALL $178.50 · 2026-10-16Buy

Premium $18.75 · Break-even $197.25 · Δ 0.54

October 2026 expiration provides an extra month of cushion to absorb near-term consolidation, maintaining a high delta to participate in stock appreciation.

Buy: Underlying PLTR stock price pulls back to $168.00, or the premium drops to approximately $16.50.

Sell: Underlying PLTR stock hits the $205.00 target, or the option premium gains 40%.

CALL $197.50 · 2026-10-16Buy

Premium $15.79 · Break-even $213.29 · Δ 0.47

An attractive compromise offering decent delta sensitivity (0.47) and extra horizon protection to withstand near-term volatility.

Buy: Buy when the underlying stock price enters the 178.00 - 182.00 USD range.

Sell: Sell when the contract premium appreciates to 24.00 USD.

CALL $199.00 · 2026-10-16Buy

Premium $15.40 · Break-even $214.40 · Δ 0.46

This contract offers a balance of extended time value and leverage at the $199 strike. However, the higher premium relative to the September equivalent reduces absolute capital efficiency.

Buy: Buy when PLTR stock hits $181.00 and shows signs of intraday reversal.

Sell: Sell to close if the premium doubles or if the stock falls below $165.00.

CALL $176.00 · 2026-10-16Buy

Premium $18.63 · Break-even $194.63 · Δ 0.54

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: Buy when the underlying price stabilizes near $168.00.

Sell: Sell when the underlying stock reaches $195.00 or if the option loses 40% of its initial premium value.

CALL $185.50 · 2026-10-16Buy

Premium $15.36 · Break-even $200.86 · Δ 0.47

A solid compromise offering longer duration to weather short-term volatility with a respectable 0.47 delta.

Buy: Buy if PLTR shares remain above the 20-day SMA of $161.98.

Sell: Sell if the premium reaches $25.00 or the underlying falls below $150.00.

CALL $177.00 · 2026-10-16Hold

Premium $18.66 · Break-even $195.66 · Δ 0.54

Provides slightly more time than the September contract but features a significantly higher premium, reducing capital efficiency.

Buy: Buy if the contract premium falls below $16.50 during a market pullback.

Sell: Sell if the contract premium gains 40% or if PLTR trends below the 200-day SMA.

CALL $186.00 · 2026-10-16Buy

Premium $15.43 · Break-even $201.43 · Δ 0.47

Offers a strong risk-reward ratio by combining the extra time of the October contract with a strike closer to the current price.

Buy: PLTR stock is trading above 171.00 and option premium is under 15.50.

Sell: Option premium reaches 24.00 or the stock breaks key support at 150.00.

CALL $177.50 · 2026-10-16Buy

Premium $18.68 · Break-even $196.18 · Δ 0.54

Provides slightly longer expiration with 0.54 delta, offering robust recovery potential post-consolidation.

Buy: Buy when the underlying stock pulls back to 166.00 USD.

Sell: Sell if the underlying stock reaches 195.00 USD or the option premium drops below 13.00 USD.

CALL $187.50 · 2026-10-16Buy

Premium $15.25 · Break-even $202.75 · Δ 0.47

Slightly out-of-the-money October 2026 call contract that balances lower upfront capital cost with ample time for the underlying bullish thesis to play out.

Buy: Underlying PLTR stock price pulls back to $168.00, or the premium drops to approximately $13.00.

Sell: Underlying PLTR stock hits the $205.00 target, or the premium increases by 60%.

CALL $179.00 · 2026-10-16Hold

Premium $18.69 · Break-even $197.69 · Δ 0.54

High premium due to October 2026 expiry, offering robust delta and theta protection but requiring a larger capital outlay.

Buy: Buy if the premium dips below $16.50 during a market-wide correction.

Sell: Sell if the option premium rises to $28.00 or the underlying stock falls below $150.00.

CALL $181.00 · 2026-10-16Buy

Premium $18.88 · Break-even $199.88 · Δ 0.54

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

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

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

CALL $186.50 · 2026-10-16Buy

Premium $15.18 · Break-even $201.68 · Δ 0.47

An attractive balance of leveraged positioning and extended timeframe for the stock to surpass old highs.

Buy: Buy when the underlying stock pulls back to 166.00 USD.

Sell: Sell if the underlying stock reaches 195.00 USD or the option premium drops below 10.50 USD.

CALL $178.00 · 2026-10-16Buy

Premium $18.81 · Break-even $196.81 · Δ 0.54

Buying the October 2026 ATM contract gives the longest duration and high delta sensitivity, maximizing potential gains from PLTR's secular expansion.

Buy: Buy when PLTR stock price consolidates near $170.00.

Sell: Sell when PLTR stock price hits $210.00 or the contract premium rises by 50%.

CALL $190.00 · 2026-10-16Hold

Premium $19.00 · Break-even $209.00 · Δ 0.53

While offering extra time, the high premium of $19.00 inflates the break-even to $209.00, reducing profitability for short-term targets.

Buy: Buy on a deeper stock pullback to $175.00, reducing the premium below $15.00.

Sell: Sell if the stock falls below $170.00 or if the premium reaches $24.00.

CALL $188.00 · 2026-10-16Buy

Premium $19.48 · Break-even $207.48 · Δ 0.54

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: Buy when the underlying stock price stabilizes around 181.00 USD.

Sell: Sell when the contract premium reaches 30.00 USD.

CALL $179.50 · 2026-10-16Buy

Premium $19.58 · Break-even $199.08 · Δ 0.54

Offering the highest delta of 0.54 and an extra month of duration, this contract maximizes potential upside exposure while mitigating theta decay.

Buy: Stock trades above $175.00 and MACD remains bullish.

Sell: Stock trades above $205.00 or option premium drops below $11.50.

CALL $180.50 · 2026-10-16Hold

Premium $19.74 · Break-even $200.24 · Δ 0.54

While delta of 0.54 is attractive, the high premium of 19.74 pushes the break-even to 200.24, limiting short-term profit potential.

Buy: PLTR stock pulls back to 165.00 to reduce premium cost.

Sell: PLTR stock breaks below 158.00 or reaches 200.00.

CALL $181.50 · 2026-10-16Hold

Premium $19.13 · Break-even $200.63 · Δ 0.54

The October contract carries a disproportionately high premium compared to the September contract, lowering the overall risk-adjusted return profile.

Buy: The premium cools down to under $16.50 during a market-wide volatility squeeze.

Sell: The stock price hits the target of $210.00 or the premium exceeds $30.00.

CALL $192.50 · 2026-10-16Hold

Premium $17.13 · Break-even $209.63 · Δ 0.48

This contract is susceptible to implied volatility crush if PLTR enters a consolidation phase. Staying on the sidelines to let the overbought indicators settle is the most prudent path.

Buy: Buy when the stock price cools down to $157.00, targeting an option premium of $12.50 or lower.

Sell: Sell if the option premium rises to $25.00 or if the stock closes below $145.00.

CALL $183.50 · 2026-10-16Hold

Premium $20.63 · Break-even $204.13 · Δ 0.54

With an extra month of duration and a solid 0.54 delta, this contract is a prime long-term vehicle but is currently too expensive. A temporary cooling-off period in the stock will yield a much better entry premium.

Buy: Buy if the underlying stock price declines to $157.00, reducing this contract's premium to around $15.50.

Sell: Sell if the premium reaches $30.00 or if PLTR breaks below $138.93.

CALL $190.50 · 2026-10-16Hold

Premium $15.62 · Break-even $206.12 · Δ 0.47

An expensive out-of-the-money alternative where high implied volatility inflates the premium, making September expiries much more attractive.

Buy: Underlying asset dips to $165.00, lowering the premium of this contract to under $13.00.

Sell: The stock hits $200.00 or premium gains 50% from entry.

CALL $178.50 · 2026-10-23Hold

Premium $14.64 · Break-even $193.14 · Δ 0.47

A higher break-even price of 193.14 requires a substantial move to be profitable, limiting short-term attractiveness.

Buy: Buy if the contract premium falls below 13.00.

Sell: Sell if the premium appreciates to 20.00.

CALL $181.00 · 2026-10-23Buy

Premium $14.62 · Break-even $195.62 · Δ 0.47

Provides high leverage through a 0.47 delta while benefiting from a long runway to expiration to absorb near-term consolidation.

Buy: Buy when the underlying PLTR price establishes support above $165.00.

Sell: Sell if PLTR reaches the target of $195.00 or if the premium drops by 50%.

CALL $195.00 · 2026-10-23Buy

Premium $15.47 · Break-even $210.47 · Δ 0.47

Offers a cheaper entry with a 0.47 delta, positioning well for long-term growth with a slightly higher break-even of 210.47.

Buy: Buy when PLTR tests the 175.00 level and shows signs of a rebound.

Sell: Sell if the premium drops by 50% or the stock reaches our long-term target of 220.00.

CALL $198.50 · 2026-10-23Hold

Premium $16.19 · Break-even $214.69 · Δ 0.47

The high premium cost relative to the September contracts makes this OTM option less attractive at current prices.

Buy: The stock price closes above 190.00 with a positive MACD divergence.

Sell: The premium reaches 25.00 or the stock triggers a stop-loss at 165.00.

CALL $190.00 · 2026-10-23Buy

Premium $19.52 · Break-even $209.52 · Δ 0.54

Features extra duration to easily weather near-term macro volatility and fully capture long-term enterprise AI adoption.

Buy: Underlying PLTR stock tests the 20-day SMA support near $175.24.

Sell: Underlying PLTR price achieves $220.00 or breaks the stop-loss level at $169.00.

CALL $199.50 · 2026-10-23Buy

Premium $15.83 · Break-even $215.33 · Δ 0.47

Leveraged bullish LEAP contract that benefits from high implied volatility and solid long-term momentum.

Buy: PLTR stock consolidates above $180.00 with stabilizing RSI levels.

Sell: The underlying stock price achieves the target of $215.00 or the contract premium falls below $9.50.

CALL $186.50 · 2026-10-23Buy

Premium $19.46 · Break-even $205.96 · Δ 0.54

Offers slightly more duration and a higher delta of 0.54, but requires a higher capital outlay due to the steep premium.

Buy: Buy if the stock pulls back to 178.00 and stabilizes.

Sell: Sell when the option premium reaches 28.00 or the underlying stock falls below 168.00.

CALL $189.00 · 2026-10-23Hold

Premium $19.88 · Break-even $208.88 · Δ 0.54

Provides slightly more time but carries a significantly higher premium, resulting in a less optimal risk-to-reward ratio.

Buy: The contract premium drops below 17.50 during a market consolidation.

Sell: The premium reaches 30.00 or the stock drops below 172.00.

CALL $185.50 · 2026-10-23Buy

Premium $14.88 · Break-even $200.38 · Δ 0.47

Offers a slightly lower absolute premium than the 177 strike of the same expiry while capturing identical long-term theta dynamics. It is an optimal choice for a medium-to-long term structural bull thesis.

Buy: Buy when the underlying asset consolidates above 170.00 USD and RSI bounces.

Sell: Sell when PLTR reaches the 200.00 USD target or if the underlying closes below 155.00 USD.

CALL $194.50 · 2026-10-23Buy

Premium $15.54 · Break-even $210.04 · Δ 0.47

Offers additional time to expiration for the higher 194.5 strike call, reducing theta decay headwind while aiming for a breakout.

Buy: Buy when the stock price is near 178.00 USD with positive daily volume.

Sell: Sell when the stock price touches 207.00 USD.

CALL $181.50 · 2026-10-23Buy

Premium $14.43 · Break-even $195.93 · Δ 0.47

An out-of-the-money long-duration option for aggressive growth positioning over the next two years.

Buy: Buy when the underlying stock trades near the $165.00 support area.

Sell: Sell when the underlying stock rises above $198.00.

CALL $199.00 · 2026-10-23Buy

Premium $16.22 · Break-even $215.22 · Δ 0.47

This contract offers a lower entry premium of 16.22 compared to the 189.5 strike, giving high-leverage exposure to PLTR's upside through October 2026.

Buy: Buy when PLTR holds the $180.00 support level on a minor pullback.

Sell: Sell if the underlying stock breaches $160.00 or if the contract rises to $25.00.

CALL $186.00 · 2026-10-23Buy

Premium $19.30 · Break-even $205.30 · Δ 0.54

October 2026 ATM call provides an extra month of duration over the September contracts with solid 0.54 delta to capitalize on steady upward growth.

Buy: Buy when PLTR share price drops to 177.00 USD near the SMA20 line.

Sell: Sell if the option premium gains 80% to 34.74 USD or if PLTR breaks below 165.00 USD.

CALL $189.50 · 2026-10-23Buy

Premium $19.93 · Break-even $209.43 · Δ 0.54

With an expiry in late October 2026 and a 0.54 delta, this contract provides excellent exposure to PLTR's long-term upside with slightly more time value.

Buy: Buy when PLTR share price is below $186.00 with RSI remaining under 65.

Sell: Sell if the underlying price drops below $160.00 or if the option price doubles.

CALL $195.50 · 2026-10-23Buy

Premium $15.60 · Break-even $211.10 · Δ 0.47

This OTM call gives ample time for Palantir to cross the 195.5 strike, leveraging high volatility for significant percentage gains.

Buy: Buy when the underlying stock stabilizes above 180.00 USD.

Sell: Sell if the option premium rises to 28.00 USD or the underlying drops below 165.00 USD.

CALL $173.00 · 2026-10-23Buy

Premium $17.73 · Break-even $190.73 · Δ 0.53

Features a robust 0.53 delta and extra duration into late October 2026, offering more defense against short-term volatility.

Buy: Buy when the underlying stock stabilizes above $168.00.

Sell: Sell when the underlying stock target of $200.00 is achieved.

CALL $191.00 · 2026-10-23Buy

Premium $19.90 · Break-even $210.90 · Δ 0.54

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: PLTR stock trades in the 178.00 to 187.10 USD range.

Sell: PLTR share price falls below 168.00 USD or targets 215.00 USD.

CALL $200.00 · 2026-10-23Buy

Premium $16.39 · Break-even $216.39 · Δ 0.47

With a 0.47 delta and longer duration, this contract balances risk and reward well for a strong breakout scenario over the 200 mark.

Buy: PLTR stock price breaks above 188.00 USD.

Sell: PLTR stock price drops below 172.00 USD.

CALL $172.50 · 2026-10-23Buy

Premium $17.93 · Break-even $190.43 · Δ 0.54

An exceptionally resilient option contract with a 0.54 delta and an extra month of expiry, maximizing protection against short-term price swings.

Buy: Buy when the underlying stock price is between $165.00 and $170.00.

Sell: Sell if the underlying PLTR price reaches the target of $195.00.

CALL $183.50 · 2026-10-23Buy

Premium $18.80 · Break-even $202.30 · Δ 0.54

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: Buy when the stock closes above the $180.00 level on rising volume.

Sell: Sell when the option premium reaches $28.00 or if PLTR falls below its SMA50.

CALL $191.50 · 2026-10-23Buy

Premium $20.01 · Break-even $211.51 · Δ 0.54

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: Buy if the underlying stock consolidates or dips toward $182.00.

Sell: Sell if the underlying stock reaches $215.00 or if the option loses 40% of its initial premium value.

CALL $201.00 · 2026-10-23Buy

Premium $16.32 · Break-even $217.32 · Δ 0.47

An out-of-the-money contract with over two years of extrinsic value, capturing a long-term macro trend with high leverage.

Buy: Buy if the underlying stock stays above the SMA20 support level of $174.13.

Sell: Sell if the underlying stock reaches the target of $215.00 or if the contract premium doubles.

CALL $192.50 · 2026-10-23Buy

Premium $15.29 · Break-even $207.79 · Δ 0.47

A leveraged OTM option that becomes highly profitable upon a sustained breakout above the 52-week high of $207.18.

Buy: Buy when PLTR breaks out past the current consolidation channel above $182.00.

Sell: Sell when the premium gains 60% or if the underlying trend breaks below $155.00.

CALL $197.00 · 2026-10-23Buy

Premium $15.99 · Break-even $212.99 · Δ 0.47

A slightly out-of-the-money option with late 2026 expiry, providing solid leverage and defensive time premium.

Buy: Buy when the stock tests the $180.00 support level or the premium is below $14.00.

Sell: Sell when the premium gains 80% to reach $28.80 or the stock falls below $168.00.

CALL $170.50 · 2026-10-23Hold

Premium $17.75 · Break-even $188.25 · Δ 0.54

This contract has high implied volatility pricing, making the break-even less attractive than the September contract.

Buy: Buy if the contract premium dips below 16.00 while PLTR remains above 165.00.

Sell: Sell if the contract premium reaches 25.00 or more.

CALL $177.00 · 2026-10-23Buy

Premium $18.19 · Break-even $195.19 · Δ 0.54

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: Buy on any dips towards 168.00 USD on the underlying asset.

Sell: Sell when PLTR exceeds 200.00 USD or if the macro trend breaks the 200-day SMA.

CALL $187.50 · 2026-10-23Buy

Premium $19.69 · Break-even $207.19 · Δ 0.54

This contract provides an extra month of duration over the September expiry, offering a slightly higher delta and more time for the thesis to play out.

Buy: Buy when the stock consolidates near $178.00 or the contract premium dips to $17.00.

Sell: Sell when the stock price reaches $220.00 or the premium appreciates to $35.00.

CALL $196.50 · 2026-10-23Buy

Premium $15.78 · Break-even $212.28 · Δ 0.47

Leverages the October 2026 expiry at a higher strike, reducing upfront premium capital while capturing solid long-term upside.

Buy: Buy when PLTR shares pull back to $176.00 and the premium drops below $14.50.

Sell: Sell when PLTR stock reaches $210.00 or the option premium reaches $22.00.