| 2026-04-10 | APTV | LEAPS Call | 78 | WIN | +115.8% | 54 › |
Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $28.61 hit target $27.73 (estimated price) WinPulse thesis Long-term recovery play on Aptiv PLC (15B mkt cap), currently 33% off 52-week high. ANALYST CONSENSUS: 18 analysts rate APTV "BUY", avg target $92 (+54% upside), even the lowest target is $74. PRICE HISTORY: 52wk range $47.19-$88.93. Yearly ranges: 2023: $71.01-$124.88 | 2024: $51.47-$91.66 | 2025: $47.19-$88.8 | 2026: $57.76-$88.93. FUNDAMENTALS: $20.4B revenue, $1.3B free cash flow, 8.9x fwd PE, $8.1B debt. LEAPS give 315 days for recovery. Target: $27.73. Stop: $5.14. Max risk: $5140. |
| 2026-04-10 | NOW | LEAPS Call | 68 | WIN | +150.0% | 49 › |
Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $60.76 hit target $51.88 (estimated price) WinPulse thesis Long-term recovery play on ServiceNow, Inc. (85B mkt cap), currently 61% off 52-week high. ANALYST CONSENSUS: 41 analysts rate NOW "STRONG_BUY", avg target $184 (+125% upside), even the lowest target is $123. PRICE HISTORY: 52wk range $81.24-$211.48. Yearly ranges: 2023: $70.72-$144.14 | 2024: $127.6-$231.58 | 2025: $135.73-$239.62 | 2026: $81.24-$153.2. FUNDAMENTALS: $13.3B revenue, $5.0B free cash flow, 16.3x fwd PE, $2.4B debt. LEAPS give 343 days for recovery. Target: $51.88. Stop: $8.30. Max risk: $6225. |
| 2026-05-19 | APH | LEAPS Call | 98 | WIN | +107.2% | 9 › |
Company Amphenol Corporation Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $53.40 hit target $52.53 (estimated price) WinPulse thesis Long-term recovery play on Amphenol Corporation (152B mkt cap), currently 26% off 52-week high. ANALYST CONSENSUS: 18 analysts rate APH "STRONG_BUY", avg target $182 (+47% upside), even the lowest target is $135. PRICE HISTORY: 52wk range $82.85-$166.71. Yearly ranges: 2023: $35.1-$48.99 | 2024: $46.11-$74.89 | 2025: $56.05-$143.81 | 2026: $118.01-$166.71. FUNDAMENTALS: $25.9B revenue, $3.6B free cash flow, 21.9x fwd PE, $18.7B debt. LEAPS give 302 days for recovery. Target: $57.47. Stop: $11.38. Max risk: $5690. |
| 2026-04-10 | OKTA | LEAPS Call | 73 | WIN | +150.0% | 41 › |
Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $41.83 hit target $42.50 (estimated price) WinPulse thesis Long-term recovery play on Okta, Inc. (11B mkt cap), currently 51% off 52-week high. ANALYST CONSENSUS: 42 analysts rate OKTA "BUY", avg target $101 (+60% upside), even the lowest target is $75. PRICE HISTORY: 52wk range $62.66-$127.57. Yearly ranges: 2023: $62.4-$92.38 | 2024: $70.56-$114.5 | 2025: $75.05-$127.57 | 2026: $62.66-$97.45. FUNDAMENTALS: $2.9B revenue, $0.8B free cash flow, 14.9x fwd PE, $0.5B debt. LEAPS give 343 days for recovery. Target: $42.50. Stop: $6.80. Max risk: $5100. |
| 2026-04-10 | MDB | LEAPS Call | 73 | WIN | +146.8% | 38 › |
Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $155.36 hit target $149.31 (estimated price) WinPulse thesis Long-term recovery play on MongoDB, Inc. (18B mkt cap), currently 49% off 52-week high. ANALYST CONSENSUS: 35 analysts rate MDB "BUY", avg target $354 (+57% upside), even the lowest target is $250. PRICE HISTORY: 52wk range $144.2-$444.72. Yearly ranges: 2023: $164.59-$442.84 | 2024: $212.74-$509.62 | 2025: $140.78-$440.67 | 2026: $215.68-$444.72. FUNDAMENTALS: $2.5B revenue, $0.5B free cash flow, 32.1x fwd PE, $0.1B debt. LEAPS give 342 days for recovery. Target: $160.22. Stop: $25.80. Max risk: $6450. |
| 2026-04-10 | BIDU | LEAPS Call | 86 | WIN | +119.0% | 28 › |
Sector Communication Services Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $58.40 hit target $59.39 (estimated price) WinPulse thesis Long-term recovery play on Baidu, Inc. (38B mkt cap), currently 34% off 52-week high. ANALYST CONSENSUS: 33 analysts rate BIDU "BUY", avg target $178 (+64% upside), even the lowest target is $89. PRICE HISTORY: 52wk range $74.71-$165.3. Yearly ranges: 2023: $103.32-$160.88 | 2024: $78.95-$119.75 | 2025: $74.71-$149.51 | 2026: $105.77-$165.3. FUNDAMENTALS: $129.1B revenue, $16.8B free cash flow, 11.7x fwd PE, $97.1B debt. LEAPS give 343 days for recovery. Target: $59.39. Stop: $10.85. Max risk: $5424. |
| 2026-04-25 | AKAM | LEAPS Call | 78 | WIN | +91.2% | 10 › |
Company Akamai Technologies, Inc. Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $41.96 hit target $39.77 (estimated price) WinPulse thesis Long-term recovery play on Akamai Technologies, Inc. (14B mkt cap), currently 21% off 52-week high. ANALYST CONSENSUS: 23 analysts rate AKAM "BUY", avg target $112 (+16% upside), even the lowest target is $72. PRICE HISTORY: 52wk range $69.78-$121.12. Yearly ranges: 2023: $70.65-$120.61 | 2024: $84.7-$129.17 | 2025: $67.51-$103.75 | 2026: $84.54-$121.12. FUNDAMENTALS: $4.2B revenue, $0.6B free cash flow, 12.5x fwd PE, $5.7B debt. LEAPS give 329 days for recovery. Target: $39.77. Stop: $8.32. Max risk: $6240. |
| 2026-04-10 | ESTC | Oversold Bounce | 73 | WIN | +50.0% | 5 › |
Strategy Oversold Bounce — Long Calls Exit reason option at $5.00 hit target $4.35 (estimated price) WinPulse thesis Oversold bounce on Elastic N.V.. ANALYST CONSENSUS: 24 analysts rate ESTC "BUY", avg target $82 (+90% upside), even the lowest target is $60. PRICE HISTORY: 52wk range $42.05-$96.07. Yearly ranges: 2023: $46.18-$118.24 | 2024: $69.0-$136.06 | 2025: $68.1-$118.84 | 2026: $42.05-$80.67. FUNDAMENTALS: $1.7B revenue, $0.4B free cash flow, 15.3x fwd PE, $0.6B debt. Sharp selloff with capitulation signals near support. Buying calls for the rebound. Target: $4.35. Stop: $1.45. Max risk: $6090. |
| 2026-04-10 | WDAY | Oversold Bounce | 73 | WIN | +50.0% | 5 › |
Strategy Oversold Bounce — Long Calls Exit reason option at $19.14 hit target $16.20 (estimated price) WinPulse thesis Oversold bounce on Workday, Inc.. ANALYST CONSENSUS: 38 analysts rate WDAY "BUY", avg target $179 (+58% upside), even the lowest target is $115. PRICE HISTORY: 52wk range $110.36-$276.0. Yearly ranges: 2023: $157.85-$279.83 | 2024: $199.81-$311.28 | 2025: $205.33-$283.68 | 2026: $110.36-$215.4. FUNDAMENTALS: $9.6B revenue, $3.0B free cash flow, 8.9x fwd PE, $3.8B debt. Sharp selloff with capitulation signals near support. Buying calls for the rebound. Target: $16.20. Stop: $5.40. Max risk: $5400. |
| 2026-04-10 | INTU | Oversold Bounce | 73 | WIN | +50.0% | 5 › |
Strategy Oversold Bounce — Long Calls Exit reason option at $56.54 hit target $45.90 (estimated price) WinPulse thesis Oversold bounce on Intuit Inc.. ANALYST CONSENSUS: 33 analysts rate INTU "BUY", avg target $603 (+67% upside), even the lowest target is $425. PRICE HISTORY: 52wk range $345.5-$808.22. Yearly ranges: 2023: $361.56-$620.14 | 2024: $549.23-$706.6 | 2025: $527.43-$808.22 | 2026: $345.5-$658.74. FUNDAMENTALS: $20.1B revenue, $5.3B free cash flow, 13.2x fwd PE, $6.9B debt. Sharp selloff with capitulation signals near support. Buying calls for the rebound. Target: $45.90. Stop: $15.30. Max risk: $6120. |
| 2026-04-10 | AXON | Oversold Bounce | 73 | WIN | +50.0% | 4 › |
Company Axon Enterprise, Inc. Strategy Oversold Bounce — Long Calls Exit reason option at $70.96 hit target $65.85 (estimated price) WinPulse thesis Oversold bounce on Axon Enterprise, Inc.. ANALYST CONSENSUS: 18 analysts rate AXON "BUY", avg target $718 (+104% upside), even the lowest target is $521. PRICE HISTORY: 52wk range $342.67-$885.92. Yearly ranges: 2023: $164.67-$260.69 | 2024: $241.72-$698.67 | 2025: $469.24-$885.92 | 2026: $342.67-$649.89. FUNDAMENTALS: $2.8B revenue, $0.2B free cash flow, 32.6x fwd PE, $1.9B debt. Sharp selloff with capitulation signals near support. Buying calls for the rebound. Target: $65.85. Stop: $21.95. Max risk: $4390. |
| 2026-04-10 | NOW | Oversold Bounce | 72 | WIN | +50.0% | 3 › |
Strategy Oversold Bounce — Long Calls Exit reason option at $15.86 hit target $15.30 (estimated price) WinPulse thesis Oversold bounce on ServiceNow, Inc.. ANALYST CONSENSUS: 41 analysts rate NOW "STRONG_BUY", avg target $182 (+120% upside), even the lowest target is $100. PRICE HISTORY: 52wk range $81.24-$211.48. Yearly ranges: 2023: $70.72-$144.14 | 2024: $127.6-$231.58 | 2025: $135.73-$239.62 | 2026: $81.24-$153.2. FUNDAMENTALS: $13.3B revenue, $5.0B free cash flow, 16.5x fwd PE, $2.4B debt. Sharp selloff with capitulation signals near support. Buying calls for the rebound. Target: $15.30. Stop: $5.10. Max risk: $6120. |
| 2026-03-27 | SOFI | Oversold Bounce | 87 | WIN | +50.3% | 12 › |
Company SoFi Technologies, Inc. Strategy Oversold Bounce — Long Calls Exit reason option at $2.65 hit target $2.66 (estimated price) WinPulse thesis Oversold bounce on SoFi Technologies, Inc.. ANALYST CONSENSUS: 20 analysts rate SOFI "HOLD", avg target $26 (+69% upside), even the lowest target is $12. PRICE HISTORY: 52wk range $8.6-$32.73. Yearly ranges: 2023: $4.43-$11.7 | 2024: $6.01-$17.19 | 2025: $8.6-$32.73 | 2026: $15.15-$29.86. FUNDAMENTALS: $3.6B revenue, 18.8x fwd PE, $1.9B debt. Sharp selloff with capitulation signals near support. Buying calls for the rebound. Target: $2.66. Stop: $0.88. Max risk: $4956. |
| 2026-03-22 | BA | LEAPS Call | 92 | WIN | +96.6% | 10 › |
Company Boeing Company (The) Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $23.55 hit target $22.37 (estimated price) WinPulse thesis Long-term recovery play on Boeing Company (The) (153B mkt cap), currently 23% off 52-week high. ANALYST CONSENSUS: 24 analysts rate BA "BUY", avg target $272 (+40% upside), even the lowest target is $215. PRICE HISTORY: 52wk range $128.88-$254.35. Yearly ranges: 2023: $176.25-$267.54 | 2024: $137.03-$258.59 | 2025: $128.88-$242.69 | 2026: $192.55-$254.35. FUNDAMENTALS: $89.5B revenue, $1.8B free cash flow, 41.8x fwd PE, $56.4B debt. LEAPS give 362 days for recovery. Target: $22.37. Stop: $4.55. Max risk: $2276. |
| 2026-03-27 | META | Oversold Bounce | 86 | WIN | +50.0% | 4 › |
Company Meta Platforms, Inc. Sector Communication Services Strategy Oversold Bounce — Long Calls Exit reason option at $81.23 hit target $56.78 (estimated price) WinPulse thesis Oversold bounce on Meta Platforms, Inc.. ANALYST CONSENSUS: 60 analysts rate META "STRONG_BUY", avg target $863 (+64% upside), even the lowest target is $614. PRICE HISTORY: 52wk range $478.31-$794.38. Yearly ranges: 2023: $121.33-$359.08 | 2024: $337.36-$635.34 | 2025: $478.31-$794.38 | 2026: $520.26-$743.36. FUNDAMENTALS: $201.0B revenue, $23.4B free cash flow, 14.7x fwd PE, $85.1B debt. Sharp selloff with capitulation signals near support. Buying calls for the rebound. Target: $56.78. Stop: $18.92. Max risk: $3785. |
| 2026-03-22 | TXN | LEAPS Call | 75 | WIN | +88.2% | 2 › |
Company Texas Instruments Incorporated Strategy LEAPS — Long-Dated Calls on Quality Dip Exit reason option at $6.08 hit target $4.61 (estimated price) WinPulse thesis Long-term recovery play on Texas Instruments Incorporated (170B mkt cap), currently 19% off 52-week high. ANALYST CONSENSUS: 32 analysts rate TXN "HOLD", avg target $222 (+18% upside), even the lowest target is $160. PRICE HISTORY: 52wk range $135.67-$231.32. Yearly ranges: 2023: $129.92-$173.19 | 2024: $146.6-$212.08 | 2025: $135.67-$216.74 | 2026: $173.78-$231.32. FUNDAMENTALS: $17.7B revenue, 23.7x fwd PE, $14.8B debt. LEAPS give 362 days for recovery. Target: $4.61. Stop: $0.98. Max risk: $2940. |