Options Income Daily: CRWV, ORCL, RKLB and More
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 $CoreWeave (CRWV.US) 20260227 70.00P
Potential Margin required: $7,000 ($70 × 100)
Premium received: $175.50
ROI for 4 days: 2.57% ($175.50 ÷ ($7,000 - $175.50))
Annualized Return: 214.38%
Breakeven: $68.245 ($70 - $1.755)
Probability of Profit: 88.96%
CoreWeave to Report Earnings February 26 as Analysts Flag Execution Risks and Data Center Delays.
Sell $Carvana (CVNA.US) 20260306 285.00P
Potential Margin required: $28,500 ($285 × 100)
Premium received: $592.50
ROI for 11 days: 2.12% ($592.50 ÷ ($28,500 - $592.50))
Annualized Return: 68.10%
Breakeven: $279.075 ($285 - $5.925)
Probability of Profit: 84.43%
Carvana Reports 2025 Net Income of $1.407 Billion Up 570% Year-Over-Year, Multiple Banks Maintain Buy Ratings While Lowering Price Targets.
Sell $IREN Ltd (IREN.US) 20260227 35.00P
Potential Margin required: $3,500 ($35 × 100)
Premium received: $74.50
ROI for 4 days: 2.17% ($74.50 ÷ ($3,500 - $74.50))
Annualized Return: 181.30%
Breakeven: $34.255 ($35 - $0.745)
Probability of Profit: 82.99%
IREN Stock Falls 7% on CoreWeave Financing Concerns While Being Added to MSCI USA Index and Appointing Chief Innovation Officer.
Sell $Oracle (ORCL.US) 20260320 120.00P
Potential Margin required: $12,000 ($120 × 100)
Premium received: $286.00
ROI for 25 days: 2.44% ($286.00 ÷ ($12,000 - $286.00))
Annualized Return: 35.17%
Breakeven: $117.140 ($120 - $2.860)
Probability of Profit: 81.36%
Oracle Cloud Infrastructure Revenue Surges 66% YoY Leading Industry, Completes $25 Billion Debt Financing for AI Data Center Expansion.
Covered Call
Sell $AST SpaceMobile (ASTS.US) 20260320 120.00C
Buy 100 ASTS: $8,020 ($80.2 × 100)
Premium received: $169.00
ROI for 25 days: 2.15% ($169.00 ÷ ($12,000 - $169.00))
Annualized Return: 31.01%
Breakeven: $118.310 ($120 - $1.690)
Probability of Profit: 92.57%
AST SpaceMobile Completes $1.075 Billion Convertible Notes Offering for Satellite Deployment and Global Spectrum Expansion.
Sell $First Majestic Silver (AG.US) 20260320 35.00C
Buy 100 AG: $2,755 ($27.55 × 100)
Premium received: $80.50
ROI for 25 days: 3.01% ($80.50 ÷ ($3,500 - $80.50))
Annualized Return: 43.36%
Breakeven: $34.195 ($35 - $0.805)
Probability of Profit: 86.98%
First Majestic Silver Q4 Adjusted EPS $0.30 Beats Estimates, HC Wainwright Raises Price Target to $30.
Sell $Hecla Mining (HL.US) 20260320 30.00C
Buy 100 HL: $2,402 ($24.02 × 100)
Premium received: $66.50
ROI for 25 days: 2.85% ($66.50 ÷ ($3,000 - $66.50))
Annualized Return: 41.02%
Breakeven: $29.335 ($30 - $0.665)
Probability of Profit: 84.93%
Hecla Mining Director Stephen F. Ralbovsky Retires and Sells 276,400 Shares.
Sell $Rocket Lab (RKLB.US) 20260227 80.00C
Buy 100 RKLB: $7,086 ($70.86 × 100)
Premium received: $152.50
ROI for 4 days: 2.20% ($152.50 ÷ ($8,000 - $152.50))
Annualized Return: 183.35%
Breakeven: $78.475 ($80 - $1.525)
Probability of Profit: 83.76%
Rocket Lab Shares Drop 7% Amid SpaceX IPO Speculation and Congressional Mars Mission Funding Cuts.
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.
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.
You may also like
VVV crypto falls 25% – Could Venice Token’s buy zone be near $20?
As the FSD experience leaps forward and Optimus rushes toward mass production, a $30 billion standby credit facility offers strong support! Tesla (TSLA.US) accelerates Elon Musk's "physical AI master plan"
Tesla has secured $30 billion in new loans and credit lines as the electric vehicle manufacturer is ramping up its investments in artificial intelligence and robotics technology.
Gold price tests trend support as U.S. Treasury yields pull back
30-year US Treasury yield hits highest level since 2002, sell-off may continue under seasonal pressure
On Tuesday, the US 30-year Treasury yield rose to 5.62%, reaching its highest level since 2002, while the 10-year yield briefly touched 5.29%. High oil prices intensifying inflation expectations, robust economic data supporting rate hike expectations, concerns about fiscal sustainability, and a surge in corporate bond supply have collectively driven this round of sell-off. Historical seasonality indicates that September and October are typically the weakest months for US Treasuries, and volatility risk remains high going forward.
