$Sea Ltd(SE)$
- Underlying: SE
- View: Cautiously bullish, expecting consolidation with a bullish bias, aiming to capture positive Theta while defining risk.
- Strategy Type: Credit Spread / Defined Risk
- Option Contract Portfolio:
- Sell 1 SE 2026-07-24 $110 Put @ $3.50 (mid-price)
- Buy 1 SE 2026-07-24 $105 Put @ $1.69 (mid-price)
- Max Gain & Loss: Max Gain: ~$181 (net credit), Max Loss: ~$319
- Initial Cost/Credit: Net Credit: ~$1.81 per spread
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