I've played yesterdays some S&P500 with vetical spread.

(1) RSI in the middle zone

Any direction is possible


(2) Forming a bullish triangle - again


Similar cases in the past one year:


(3) There is a little more space to the upside


(4) Relative Implied Volatility is low


So I'm choosing a debit strategy.


CONCLUSION:

I'm using LONG CALL VERTICAL -

Buy 1 SPY April16' 375 Call
Sell 1 SPY April16' 380 Call
Debit call spread for 4.12 debit

Probability of Profit: 66%
Profit Target relative to my Buying Power: 21%
Max profit: 88$
Max loss at expiry: 412$ (Buy Power)
Max loss with my risk management: ~95$
Tasty IVR: 4.8
Expiry: 36 days

Stop/my risk management: Closing immediately if daily candle is closing below $379

Take profit strategy: I'm taking at the 55% of max.profit in this case with auto sell order. (at 4.56 credit)


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Trade fermée: cible de profit atteinte:
Trade closed at target profit in 2 weeks.
10% profit on my capital.

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