Our pivot point stands at 228.50
Our preference
Short term rebound towards 242.2.
Long Term Possible Recovery to $ 299.13 (6 Months)
Spread will 10x
Date: 17 Jan 2025
1: Buy 1 Call for $ 410 Delta .21
2: Sell 1 Call for $ 450 Delta .17
Net Delta .04 with Next debit $ 3