If you missed today's training…
You missed something important.
Because what Chris Sayre walked through wasn't just another "options strategy."
It was a structured, repeatable framework built around something most traders completely overlook…
Up-front cash flow.
Go here to watch your full event replay.
During the session, Chris broke down exactly how "Premium Options" strategy has been operating…
And more importantly, he showed the actual trades.
Real entries.
Real exits.
Real results.
Let me show you what that looks like…
• The MSFT March Week 1 390/387.5 Put Credit Spread closed for +46.15%, generating +$420.
• The AMD February Week 2 202.5/200 Put Credit Spread closed for +52.59%, generating +$497.
• The AAPL February Week 4 262.5/260 Put Credit Spread delivered +50.85%, adding +$480.
• The MSFT March Week 1 390/387.5 Put Credit Spread finished at +46.15%, good for +$420.
• The CSCO January Week 5 75/74 Put Credit Spread returned +56.36%, producing +$558.
• The HOOD January Monthly 116/115 Put Credit Spread closed for +52.00%, generating +$520.
Examples are based on allocating up to $1,000 per trade. Past performance does not guarantee future results.
And that's just a small sample.
Because as you saw in today's presentation…
This strategy has been producing a steady stream of trades month after month.
In fact, over the past 12 months, this strategy is up +$8,076.
That's a +161% return,
when allocating up to $1k per trade on a $5k model account.
And since we started tracking this, from January 6th of 2023,
the strategy is up +$22,824.
(past performance doesn't guarantee future results)
Not hype.
Not guesswork.
Just a defined system doing exactly what it was designed to do.
Here's the difference…
Most traders are chasing big directional moves.
Trying to guess if a stock is going higher… or lower…
And hoping they're right.
This approach is different.
Our Premium Options strategy is built around credit spreads…
Which means you're collecting premium up front when the trade is opened.
Then managing the position with clear, rules-based exits.
Here's how it works behind the scenes…
• We scan once per day using a Daily chart (no constant screen watching)
• Signals trigger at the next bar's open, with alerts sent before 10:00 AM ET
• Trades focus on next-week options for efficiency and consistency
• Typical holding period ranges from 2 to 9 trading days
• The goal is targeting ~50% returns on the premium collected
And the setups themselves?
They're not random.
They're based on a combination of:
• Donchian Channel extremes
• DMI and directional strength shifts
• RSI readings at key levels
• Specific price action patterns
Each trade must pass through multiple filters before it ever becomes an alert.
That's what keeps this disciplined.
That's what keeps it repeatable.
And that's why traders in today's session started to "get it" almost immediately.
Now…
Let's address something important.
Not every trade is a winner.
And we don't pretend that it is.
You saw that in the presentation as well.
There are losing trades.
There are time-stop exits.
There are situations where we close early to manage risk.
For example:
• The PG October Week 1 spread closed for -58.41%
• Another META spread closed for -74.81%
Those are real.
They happen.
But what matters is how the system handles them…
Because the structure is built around consistency over time.
And when you zoom out…
You start to see the bigger picture.
Trade after trade hitting around the 50% target.
Occasional time-stop exits.
And a steady flow of opportunities month after month.
In fact, this strategy has been averaging:
• 6 to 8 new trades per month
• No more than 4 open positions at once
• Defined entries, exits, and risk controls on every trade
That's controlled execution.
Now here's where things get interesting.
Because today, we opened up access to this strategy.
But not for everyone.
This is a limited rollout.
Here's what's included:
• 12 Months of Premium Options Income Trade Alerts
• Real-Time Alerts via Email and/or WhatsApp
• Price Headley's Weekly Video Updates
• Full Strategy Session (HD Training)
• Settings and Rules Sheet so you can follow along
• Direct access to our research team for questions
Total package value: $3,564.
But for traders who take action today…
You're not paying that.
Instead, we structured this as a full access package:
Buy 12 Months… Receive 12 Months FREE!
That's 24 months of access total.
The price is $897.
And when you apply the promo code PREMIUM500
Your total drops to just $397!
Tap here to claim your trades...
Now here's the catch.
This is only available to the first 24 traders.
Not 100.
Not unlimited.
Just 24.
That's how we manage capacity.
That's how we keep the experience consistent.
So if you watched the training…
And something clicked for you…
Don't wait.
Go here to secure your spot now.
Because once those 24 spots are gone…
That's it.
Just like the trades themselves…
This is about timing.
Trade Well,
Price Headley
Founder and CEO of BigTrends
P.S.
If you're tired of chasing direction and want a more structured, income-focused approach… this is worth a serious look.
This has been one of our most successful strategies, with an epic +161% return over the past 12 months alone!
(past performance doesn't guarantee future results - allocating up to $1k per trade on a $5k model portfolio)
Just remember, once the 24 spots are filled, access is closed.
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