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Build Strategy

📈
Bull Call Spread
Bullish strategy with limited risk and reward.
📉
Bear Put Spread
Bearish strategy with limited risk and reward.
Long Straddle
Neutral strategy profiting from high volatility.
🌊
Long Strangle
Cheaper neutral strategy needing larger moves.
🦅
Iron Condor
Neutral strategy profiting from low volatility.
🦋
Call Butterfly
Targeted strategy for a specific price pin.
🛡️
Covered Call
Holding long stock and selling a call against it.
Futures Outright Long
Direct directional position in Futures contracts (ES, NQ, CL, GC).
📅
Futures Calendar Spread
Inter-month futures spread exploiting term structure & contango/backwardation.
⚖️
Futures Inter-Commodity / Crack Spread
Relative value spread between related futures products (e.g. S&P vs Nasdaq, Oil vs Gas).
🎯
Covered Futures Call
Long futures contract hedged by selling an out-of-the-money Futures Option (FOP).
🏦
Cash & Carry / Basis Trade
Long physical/spot asset while shorting the corresponding Futures contract.

Option Chain

CALLSSTRIKEPUTS
OIVolBidAskBidAskVolOI
300012005.505.701000.100.20150400
500032002.102.301050.500.60300800
800051000.800.901101.201.4012002000
15008000.200.301153.503.8040006000
5002000.050.101207.808.2010001500

Execute via Partner Broker

Directly route this exact strategy into the order ticket of a supported partner broker.

Risk Profile & P&L Heatmap

3D PnL Heatmap

ProfitLoss

Risk Metrics

Implied Volatility
24.5 %
+1.2% (1w)
Risk-Free Rate
4.25 %
+0.25% (YTD)
Value at Risk (95%)
$ 12,500
-3.4% (1m)
Asset Beta
1.15
High correlation
Sharpe Ratio
1.80
Excellent

Probability Distribution

Expected Value$100.00
1σ Range (~68%)$85.00 - $115.00
Implied Volatility15.0%