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Options Income Daily: MU, SOFI, CRWV and More

Options Income Daily: MU, SOFI, CRWV and More

moomoo-证劵moomoo-证劵2026/03/03 13:00
By:moomoo-证劵

Welcome to your Daily Income Opportunities from the Seller Dashboard. This section highlights short-term income opportunities from today's options market. Each pick is evaluated based on annualized ROI, probability of expiring out-of-the-money, and premium yield from the Seller Dashboard.

Top Picks of the Day

Cash Secured Put

Sell $Micron Technology (MU.US)$ 20260320 340.00P

Potential Margin required: $34,000 ($340 × 100)

Options Income Daily: MU, SOFI, CRWV and More  image 0Premium received: $725.00

ROI for 17 days: 2.18% ($725.00 ÷ ($34,000 - $725.00))

Annualized Return: 45.87%

Breakeven: $332.750 ($340 - $7.250)

Probability of Profit: 81.23%

Micron Technology Begins Commercial Production at $2.75 Billion Semiconductor Facility in India.

Sell $NEBIUS (NBIS.US)$ 20260327 70.00P

Potential Margin required: $7,000 ($70 × 100)

Premium received: $225.00

ROI for 24 days: 3.32% ($225.00 ÷ ($7,000 - $225.00))

Annualized Return: 49.81%

Breakeven: $67.750 ($70 - $2.250)

Probability of Profit: 80.82%

Sell $Strategy (MSTR.US)$ 20260320 115.00P

Potential Margin required: $11,500 ($115 × 100)

Premium received: $255.50

ROI for 17 days: 2.27% ($255.50 ÷ ($11,500 - $255.50))

Annualized Return: 47.84%

Breakeven: $112.445 ($115 - $2.555)

Probability of Profit: 78.68%

MicroStrategy Purchases 3,015 Bitcoin for $204 Million in One Week, Total Holdings Rise to 720,000.

Sell $SoFi Technologies (SOFI.US)$ 20260320 16.00P

Potential Margin required: $1,600 ($16 × 100)

Premium received: $35.50

ROI for 17 days: 2.27% ($35.50 ÷ ($1,600 - $35.50))

Annualized Return: 47.77%

Breakeven: $15.645 ($16 - $0.355)

Probability of Profit: 78.02%

SoFi Partners with Mastercard to Enable SoFiUSD Settlement and CEO Noto Purchases $1 Million in Company Stock.

Covered Call

Sell $AST SpaceMobile (ASTS.US)$ 20260306 101.00C

Buy 100 ASTS: $8,692 ($86.92 × 100)

Premium received: $176.00

ROI for 3 days: 2.07% ($176.00 ÷ ($10,100 - $176.00))

Annualized Return: 223.28%

Breakeven: $99.240 ($101 - $1.760)

Probability of Profit: 83.41%

AST SpaceMobile Q4 Revenue of $54.3M Beats Estimates but Loss Widens to $74M.

Sell $CoreWeave (CRWV.US)$ 20260320 95.00C

Buy 100 CRWV: $7,805 ($78.05 × 100)

Premium received: $181.50

ROI for 17 days: 2.38% ($181.50 ÷ ($9,500 - $181.50))

Annualized Return: 50.12%

Breakeven: $93.185 ($95 - $1.815)

Probability of Profit: 82.72%

CoreWeave Q4 Revenue Beats at $1.57B but Q1 Guidance Falls Short of Expectations, Stock Plunges 18.5%.

Sell $IREN Ltd (IREN.US)$ 20260313 48.00C

Buy 100 IREN: $4,139 ($41.39 × 100)

Premium received: $92.50

ROI for 10 days: 2.28% ($92.50 ÷ ($4,800 - $92.50))

Annualized Return: 80.72%

Breakeven: $47.075 ($48 - $0.925)

Probability of Profit: 79.98%

IREN Secures $9.7 Billion Five-Year Microsoft AI Cloud Services Contract.

Sell $Super Micro Computer (SMCI.US)$ 20260320 36.00C

Buy 100 SMCI: $3,183 ($31.83 × 100)

Premium received: $65.50

ROI for 17 days: 2.10% ($65.50 ÷ ($3,600 - $65.50))

Annualized Return: 44.23%

Breakeven: $35.345 ($36 - $0.655)

Probability of Profit: 78.59%

Super Micro Computer Unveils AI-RAN and Sovereign AI Infrastructure Solutions Featuring Grace Hopper and Blackwell GPUs, Partnering With Nokia, SK Telecom and Telenor.

What cash secured put is

- You sell a put option on a stock you're willing to own.
- You collect a premium upfront—your maximum profit if the option expires worthless.
- If the stock falls below the strike at expiration, you may be assigned and must buy 100 shares per contract at the strike price (effective cost = strike – premium).
- You keep enough cash to cover the potential purchase, hence "cash-secured."

Typical uses:

- Income generation: earn regular premium income.
- Buying at a discount: get assigned shares at an effective lower price.

What covered call is

- You already own the stock and sell a call option against it ("covered").
- You collect a premium upfront as income.
- If the stock stays below the strike, the call expires worthless and you keep both shares and premium.
- If the stock rises above the strike, you sell at that price (capping upside) but still keep the premium.

Typical uses:

- Income generation: earn option premiums while holding shares.
- Exit strategy: sell at a target price while generating extra income.

Strategy Notes

- Focus on higher probabilities for safer trades.
- Monitor implied volatility—higher IV means richer premiums but greater price swings.

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Disclaimer: The content of this article solely reflects the author's opinion and does not represent the platform in any capacity. This article is not intended to serve as a reference for making investment decisions.

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