$CLSK: Neutral-to-bullish Momentum, 3 Strategic Options to Learn

Based on the technical analysis showing $CleanSpark, Inc.(CLSK)$ at $11.48 with neutral-to-bullish momentum and the options data revealing extremely high implied volatility (107.98%),

Here are three strategic options to Learn:

【Strategy One: Long Straddle】

View: High Volatility Expected with Directional Uncertainty

Option Contract Portfolio:

  • Buy 1 CLSK 12/05/25 $11.5 Call @ $0.90

  • Buy 1 CLSK 12/05/25 $11.5 Put @ $0.87

  • Strike Date: December 5, 2025

  • Max Gain: Unlimited (upside), Limited by strike price (downside)

  • Max Loss: $177 (total premium paid)

  • Limited Cost: $177 per straddle

  • Delta: Near neutral (~0.07)

  • Theta: -0.076 (time decay working against position)

  • Gamma: 0.377 (high sensitivity to price moves)

  • Vega: 0.016 (positive exposure to volatility increases)

  • Rho: Minimal impact

  • Rationale: "With IV at 107.98% and the stock breaking resistance at $11.36, this straddle capitalizes on expected high volatility around the $14.00 resistance test. The 58.40% IV percentile suggests volatility may continue expanding, favoring long volatility positions."
    Time Frame: Short-term (10 days to expiration)

【Strategy Two: Bull Call Spread】

View: Moderately Bullish with Controlled Risk

Option Contract Portfolio:

  • Buy 1 CLSK 11/28/25 $11.5 Call @ $0.62

  • Sell 1 CLSK 11/28/25 $13.0 Call @ $0.18

  • Strike Date: November 28, 2025

  • Max Gain: $126 (at $13.00 or above)

  • Max Loss: $44 (net premium paid)

  • Limited Cost: $44 per spread

  • Delta: 0.31 (moderate directional exposure)

  • Theta: -0.004 (slightly negative but manageable)

  • Gamma: 0.07 (reasonable sensitivity to moves)

  • Vega: -0.001 (slightly short volatility)

  • Rho: Minimal impact

  • Rationale: "Given the bullish technical setup with RSI recovery to 45.56 and volume surge, this spread targets the $13-14 resistance zone while limiting downside risk. The short call helps offset high IV costs."

  • Time Frame: Very short-term (3 days to expiration)

【Strategy Three: Iron Condor】

View: Range-bound Trading Expected

Option Contract Portfolio:

  • Sell 1 CLSK 12/05/25 $10.0 Put @ $0.27

  • Buy 1 CLSK 12/05/25 $9.0 Put @ $0.11

  • Sell 1 CLSK 12/05/25 $13.0 Call @ $0.37

  • Buy 1 CLSK 12/05/25 $14.0 Call @ $0.21

  • Strike Date: December 5, 2025

  • Max Gain: $32 (if stock stays between $10-$13)

  • Max Loss: $68 (if stock moves beyond wings)

  • Limited Cost: $68 per condor

  • Delta: Near neutral (~0.02)

  • Theta: +0.07 (positive time decay benefit)

  • Gamma: -0.10 (short gamma exposure)

  • Vega: -0.007 (benefits from volatility contraction)

  • Rho: Minimal impact

  • Rationale: "With the stock consolidating around $11.48 and facing strong resistance at $14.00, this condor profits from range-bound movement while collecting premium from elevated IV levels. The $10.60-$14.00 technical range aligns well with the strike selection."

  • Time Frame: Short-term (10 days for theta collection)

Disclaimer: Investing carries risk. This is not financial advice. The above content should not be regarded as an offer, recommendation, or solicitation on acquiring or disposing of any financial products, any associated discussions, comments, or posts by author or other users should not be considered as such either. It is solely for general information purpose only, which does not consider your own investment objectives, financial situations or needs. TTM assumes no responsibility or warranty for the accuracy and completeness of the information, investors should do their own research and may seek professional advice before investing.

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