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The Weekly Options Blueprint: Our Trade Ideas


Weekly options have become a canvas for traders seeking to paint their path to success in the financial markets. In this article, we present our trade ideas as a blueprint for leveraging the power of weekly options. These insights and strategies are designed to help you build a strong foundation for your own journey toward profitable trading.

Unveiling the Weekly Options Blueprint

Demystifying Weekly Options

Weekly options are a subset of options contracts with a short one-week lifespan. They offer traders the ability to capitalize on immediate market movements and adapt to changing conditions.

Why the Blueprint Matters

Our weekly options blueprint provides a structured approach to harnessing the potential of these short-term instruments. It helps traders make informed decisions and navigate the complex world of options with confidence.

Trade Ideas: Building Blocks of Success

Trade 1: Covered Call Income

Asset: XYZ Corp
Strategy: Covered Call
Result: 5% Monthly Returns

This trade idea exemplifies the potential of the covered call strategy. By selling call options against a long stock position in XYZ Corp, we achieved consistent 5% monthly returns, showcasing the blueprint’s ability to generate steady income.

Trade 2: Credit Spread Efficiency

Asset: ABC ETF
Strategy: Credit Spread
Result: 8% Return in 14 Days

In this report, we highlight the efficiency of credit spread strategies. By selling one option and buying another to limit risk in ABC ETF, we secured an 8% return in just 14 days, demonstrating the blueprint’s ability to optimize returns with defined risk.

Trade 3: Iron Condor Balance

Asset: DEF Index
Strategy: Iron Condor
Result: 12% Return in 21 Days

This trade report showcases the balance of iron condor strategies. By simultaneously selling out-of-the-money call and put options on the DEF Index, we achieved a 12% return in 21 days, illustrating the blueprint’s capacity to navigate volatile markets.

Blueprint Components

Risk Management

Central to the blueprint is robust risk management. Position sizing and stop-loss rules protect capital, ensuring that no single trade can have a detrimental impact on the portfolio.

Analysis Framework

Our strategies blend technical and fundamental analysis:

  • Technical Analysis: Technical charts provide precise entry and exit points, helping traders optimize their execution.
  • Fundamental Analysis: Staying informed about macroeconomic factors, earnings reports, and market-moving events enhances the blueprint’s context and decision-making.


Weekly options thrive on adaptability. Traders can adjust strategies, roll positions, close trades early, or adapt to evolving market conditions to optimize returns.


The weekly options blueprint serves as a guide for traders seeking to navigate the world of short-term options trading. Through our trade ideas, we’ve showcased the potential of covered calls, credit spreads, and iron condors.

Remember that all trading carries inherent risks, and past performance is not indicative of future results. As you apply the weekly options blueprint to your own trading, prioritize risk management, continuous learning, and disciplined execution. By doing so, you can confidently build your path to success in the world of weekly options trading.

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