Future Call bear spread indicator developed by Chobotaru Brothers.
You need to have basic knowledge in option trading to use this indicator! This spread is a CREDIT SPREAD. The indicator shows P&L lines of the options strategy. Use only for futures since the mathematical model of options for Future instruments is different from stocks. Plus, the days' representation in futures is also different from stocks (stocks have fewer days than futures ).
***Each strategy in options is based on different mathematical equations, use this indicator only for the strategy in the headline.***
What does the indicator do?
The indicator is based on the Black-Scholes model, which uses partial differential equations to determine the option pricing. Due to options non-linear behavior, it is hard to visualize the option price. The indicator calculates the solutions of the Black-Scholes equation and plots them on the chart so traders can view how the option pricing will behave.
How the indicator does it?
The indicator uses five values (four dominants and one less dominant) to solve the Black-Scholes equation. The values are stock price, the strike price of the option, time to expiration, risk-free interest rate, and implied volatility .
How the indicator help the users?
-View the risks and rewards so you can know the profit targets in advance which means you can compare different options in different strikes. -View the volatility change impact so you can know the risk and the P&L changes in case of a change in the volatility over the life of the option before you enter the trade. -View the passage of time impact so you can know where and when you could realize a profit. -Multi-timeframes so you can stay on the same chart (Daily and below). All these features are to help the user improve his analysis while trading options.
How to use it?
The user needs to obtain from the “option chain” the following inputs: - Call spread price (Credit): The credit received for one unit of options strategy. -Instrument price when entered spread: the stock price when you enter the options strategy. -Upper strike price: the upper strike price of the options strategy. -Lower strike price: the lower strike price of the options strategy. -Interest rate: find the risk-free interest rate from the U.S. DEPARTMENT OF THE TREASURY. Example: for 2% interest rate, input: 0.02. -Days to expire: how many days until the option expires. -Volatility: the implied volatility of the option bought/sold. Example: for 45% implied volatility , input: 0.45. -Day of entry: A calendar day of the month that the option bought/sold. -Month of entry: Calendar month the option bought/sold. -Year of entry: Calendar year the option bought/sold. -% of Max Profit/Loss: Profit/loss line defined by the user. Minimum input (-0.95) ; maximum input (0.95). Example: In this spread, -0.95 means, 95% of the options strategy maximum loss is reached and, 0.95 means, 95% of the options strategy maximum profit is reached.
After entering all the inputs, press Ok and you should see “Calculation Complete” on the chart. The user should not change the entry date and days to expire inputs as time passes after he entered the trade.
How to access the indicator?
Use the link below to obtain access to the indicator
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