Premarket Report + Open Trades (paper) — 2026-03-31 === Premarket Report (9:00am ET) === Premarket Sentiment + Trade Setup — 2026-03-31 (Tue) — 9:00am ET Data sources (public): Stooq delayed quotes (https://stooq.com) ======================================== 1) Market Snapshot (quick) ======================================== US index futures (overnight): - ES (S&P 500 e-mini): 6461.25 (O/N O: 6385.75 | H: 6468.50 | L: 6355.25) -> bias: risk-on rebound - NQ (Nasdaq 100 e-mini): 23398.25 (O/N O: 23109.75 | H: 23435.25 | L: 22966.75) -> tech-led strength Prior US session (cash ETFs, 2026-03-30 close): - SPY: O 640.11 | H 640.37 | L 629.28 | C 631.97 (red day; closed near lows) - QQQ: O 567.38 | H 568.05 | L 555.60 | C 558.28 (heavy selloff; weak close) - IWM: O 245.35 | H 245.37 | L 238.69 | C 239.61 (small caps hit hard) Crypto (BTC spot proxy, last print): - BTCUSD: O 66828.3 | H 68384.4 | L 65946.0 | Last/Close 66641.3 ======================================== 2) Premarket Read (what matters today) ======================================== Sentiment: Moderately bullish / “rebound attempt” - Futures are bid after a sharp down prior cash session (SPY/QQQ/IWM all closed weak). That typically sets up either: (A) a squeeze higher if yesterday’s highs are reclaimed, or (B) a fade if the market can’t hold above the first 30–60 minute opening range. Risk notes: - Because yesterday closed near lows, expect choppy price discovery early (gap-and-go vs gap-and-fade battle). - Keep first trade small; add only after a clean level break + retest. ======================================== 3) Key Levels (use these as decision points) ======================================== SPY (from 2026-03-30): - Resistance: 640.37 (yday high), then 645.00 (round) - Support: 631.97 (yday close), 629.28 (yday low) QQQ (from 2026-03-30): - Resistance: 568.05 (yday high), then 575.00 (round) - Support: 558.28 (yday close), 555.60 (yday low) BTCUSD (intraday levels from last 24h print): - Resistance: 68384 (swing high) - Support: 65946 (swing low), then 65000 (round) ======================================== 4) Top 3 Trade Setups (entries / stops / targets) ======================================== SETUP #1 — SPY: Breakout reclaim (bull) Idea: If SPY reclaims yesterday’s high, odds favor a squeeze / mean reversion higher. - Entry trigger: Long on 1–5 min close ABOVE 640.50 (reclaim + confirm) - Stop: 636.90 (below the reclaim zone; invalidates breakout) - Targets: - T1: 645.00 - T2: 649.50 - T3 (runner): 652.00 - Management: Take partial at T1, move stop to breakeven after a clean hold above 640.5 on a retest. SETUP #2 — QQQ: Reclaim of breakdown level (bull, higher beta) Idea: QQQ had a hard down day; a reclaim of the prior high often triggers short-covering. - Entry trigger: Long on break + hold ABOVE 568.20 - Stop: 562.40 (below the midrange; keeps risk defined) - Targets: - T1: 575.00 - T2: 581.50 - T3 (runner): 586.00 - Management: If QQQ pops into 575 quickly at the open, don’t chase—wait for a pullback/retest. SETUP #3 — BTCUSD: Breakout continuation OR breakdown (two-sided) Idea: BTC is range-bound between ~65.9k and ~68.4k; trade the break with tight risk. A) Bull break - Entry trigger: Long on 15-min close ABOVE 68,450 - Stop: 67,650 - Targets: - T1: 69,900 - T2: 71,800 - T3 (runner): 74,000 B) Bear break (only if equities also fade) - Entry trigger: Short on 15-min close BELOW 65,900 - Stop: 66,800 - Targets: - T1: 64,700 - T2: 63,200 - T3 (runner): 61,500 ======================================== 5) Execution Checklist (for the open-trades bot) ======================================== - Only take setups at/after a clean level break + retest. - Max loss per idea: keep tight; don’t widen stops. - If SPY and QQQ disagree (one breaking out, the other failing), reduce size or stand down. - If BTC breaks up while ES/NQ fade hard, treat it as suspect (reduce size / take quicker profits). End of report. === Open Trades Submitted (paper) === Premarket Open Trades (paper) — 2026-03-31 Max slippage: 0.30% • Notional: $5000 each SPY x7 — stop $640.50 / limit $642.42 (ref $641.72) • TP $645.00 • SL $636.90 QQQ x8 — stop $568.20 / limit $569.90 (ref $567.60) • TP $575.00 • SL $562.40 Submitted: 2 • Rejected: 0
Daily Options Report — 2026-06-12
Options Watchlist Report Generated: 2026-06-12T13:50:23.819Z Risk model (Phase 1) Target premium (per trade): $2500 Mode: 1A/2A (stand aside if technicals
