Options Income Daily: CRWV, ORCL, AVGO 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 $Strategy (MSTR.US)$ 20260320 90.00P
Potential Margin required: $9,000 ($90 × 100)
Premium received: $196.00
ROI for 23 days: 2.23% ($196.00 ÷ ($9,000 - $196.00))
Annualized Return: 34.82%
Breakeven: $88.040 ($90 - $1.960)
Probability of Profit: 85.84%
Strategy Becomes Most Heavily Shorted US Stock With Short Interest at 14% of Market Cap.
Sell $IREN Ltd (IREN.US)$ 20260320 30.00P
Potential Margin required: $3,000 ($30 × 100)
Premium received: $79.50
ROI for 23 days: 2.72% ($79.50 ÷ ($3,000 - $79.50))
Annualized Return: 42.58%
Breakeven: $29.205 ($30 - $0.795)
Probability of Profit: 85.32%
IREN Rises 6% as Large Call Options Trades Signal Bullish Sentiment on Data Center Sector.
Sell $HP Inc (HPQ.US)$ 20260320 15.50P
Potential Margin required: $1,550 ($15.5 × 100)
Premium received: $34.50
ROI for 23 days: 2.28% ($34.50 ÷ ($1,550 - $34.50))
Annualized Return: 35.60%
Breakeven: $15.155 ($15.5 - $0.345)
Probability of Profit: 81.07%
HP First Quarter Earnings Beat Expectations But Company Warns Full-Year Profits Will Be at Lower End of Guidance Due to Rising Memory Costs.
Sell $Broadcom (AVGO.US)$ 20260320 280.00P
Potential Margin required: $28,000 ($280 × 100)
Premium received: $652.50
ROI for 23 days: 2.38% ($652.50 ÷ ($28,000 - $652.50))
Annualized Return: 37.32%
Breakeven: $273.475 ($280 - $6.525)
Probability of Profit: 77.59%
UBS Maintains Broadcom Buy Rating While Highlighting Emerging Software Business Risks.
Covered Call
Sell $ImmunityBio (IBRX.US)$ 20260320 22.00C
Buy 100 IBRX: $1,155 ($11.55 × 100)
Premium received: $37.50
ROI for 23 days: 3.36% ($37.50 ÷ ($2,200 - $37.50))
Annualized Return: 52.49%
Breakeven: $21.625 ($22 - $0.375)
Probability of Profit: 95.24%
ImmunityBio Reports Better-Than-Expected Q4 Results With Anktiva Sales Surging 700%.
Sell $Hecla Mining (HL.US)$ 20260320 30.00C
Buy 100 HL: $2,364 ($23.64 × 100)
Premium received: $53.00
ROI for 23 days: 2.29% ($53.00 ÷ ($3,000 - $53.00))
Annualized Return: 35.87%
Breakeven: $29.470 ($30 - $0.530)
Probability of Profit: 87.45%
Hecla Mining Benefits From Silver Price Rally to Two-Week High Amid Dollar Weakness.
Sell $CoreWeave (CRWV.US)$ 20260320 130.00C
Buy 100 CRWV: $9,930 ($99.3 × 100)
Premium received: $303.50
ROI for 23 days: 3.15% ($303.50 ÷ ($13,000 - $303.50))
Annualized Return: 49.31%
Breakeven: $126.965 ($130 - $3.035)
Probability of Profit: 83.52%
CoreWeave Seeks $8.5 Billion Bank Loan to Support Meta Cloud Infrastructure Expansion.
Sell $Oracle (ORCL.US)$ 20260320 175.00C
Buy 100 ORCL: $14,614 ($146.14 × 100)
Premium received: $315.00
ROI for 23 days: 2.20% ($315.00 ÷ ($17,500 - $315.00))
Annualized Return: 34.46%
Breakeven: $171.850 ($175 - $3.150)
Probability of Profit: 82.10%
Oppenheimer Upgrades Oracle to Outperform From Perform With $185 Price Target.
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.
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