MU Weekly PUT Signal
Ticker: MU
Date: 2025-11-17
Signal: BUY PUTS
Confidence: 65% | Conviction: Medium
Strike: $242.50
Entry Range: $9.35 – $10.20 | Mid: $9.77
Target 1: $15.64 (≈60% gain)
Target 2: $19.54 (≈100% gain)
Stop Loss: $7.31 (≈25% risk)
Expiry: 2025-11-21 (4 days)
Position Size: 2% of portfolio
Technical Snapshot:
Current Price: $241.29 | VWAP: $245.29 → bearish alignment
Weekly Momentum: -3.90% (BEARISH)
RSI: 9.0 → extremely oversold, short-term bounce possible
EMA alignment: bearish → confirms downtrend
Weekly range: $230.16 – $260.58 → trading near support
Options Flow:
Put/Call Ratio: 3.19 → strong institutional bearish positioning
Unusual activity at $100 PUTs → potential hedge by institutions
Gamma risk: Moderate
AI / Market Vision:
Katy AI: NEUTRAL trend with bearish bias, 15-min chart shows consistent downward pressure
Predicted target: $237.73 | Stop: $244.91
Composite signals align with overall bearish outlook
News & Sentiment:
Rosenblatt raised PT to $300 (bullish)
Broader tech sentiment negative (Dow down 300+)
Hedge fund accumulation vs retail selling → mixed signals
Risk Level: MODERATE ⚠️
RSI oversold may trigger short-term bounce
Medium conviction → position sizing suggested at 2%
Monitor broader market; exit if price breaks above VWAP $245.29
Edge / Rationale:
Combines bearish AI projection, technical breakdown, and heavy put flow
Weekly expiry captures 4-day decline
Conservative strike (Δ ≈ 0.506) balances risk and probability
Tight stop loss protects capital while allowing normal volatility
Ticker: MU
Date: 2025-11-17
Signal: BUY PUTS
Confidence: 65% | Conviction: Medium
Strike: $242.50
Entry Range: $9.35 – $10.20 | Mid: $9.77
Target 1: $15.64 (≈60% gain)
Target 2: $19.54 (≈100% gain)
Stop Loss: $7.31 (≈25% risk)
Expiry: 2025-11-21 (4 days)
Position Size: 2% of portfolio
Technical Snapshot:
Current Price: $241.29 | VWAP: $245.29 → bearish alignment
Weekly Momentum: -3.90% (BEARISH)
RSI: 9.0 → extremely oversold, short-term bounce possible
EMA alignment: bearish → confirms downtrend
Weekly range: $230.16 – $260.58 → trading near support
Options Flow:
Put/Call Ratio: 3.19 → strong institutional bearish positioning
Unusual activity at $100 PUTs → potential hedge by institutions
Gamma risk: Moderate
AI / Market Vision:
Katy AI: NEUTRAL trend with bearish bias, 15-min chart shows consistent downward pressure
Predicted target: $237.73 | Stop: $244.91
Composite signals align with overall bearish outlook
News & Sentiment:
Rosenblatt raised PT to $300 (bullish)
Broader tech sentiment negative (Dow down 300+)
Hedge fund accumulation vs retail selling → mixed signals
Risk Level: MODERATE ⚠️
RSI oversold may trigger short-term bounce
Medium conviction → position sizing suggested at 2%
Monitor broader market; exit if price breaks above VWAP $245.29
Edge / Rationale:
Combines bearish AI projection, technical breakdown, and heavy put flow
Weekly expiry captures 4-day decline
Conservative strike (Δ ≈ 0.506) balances risk and probability
Tight stop loss protects capital while allowing normal volatility
Free Signals Based on Latest AI models💰: QuantSignals.xyz
Declinazione di responsabilità
Le informazioni e le pubblicazioni non sono intese come, e non costituiscono, consulenza o raccomandazioni finanziarie, di investimento, di trading o di altro tipo fornite o approvate da TradingView. Per ulteriori informazioni, consultare i Termini di utilizzo.
Free Signals Based on Latest AI models💰: QuantSignals.xyz
Declinazione di responsabilità
Le informazioni e le pubblicazioni non sono intese come, e non costituiscono, consulenza o raccomandazioni finanziarie, di investimento, di trading o di altro tipo fornite o approvate da TradingView. Per ulteriori informazioni, consultare i Termini di utilizzo.
