Boletín de AInvest
Titulares diarios de acciones y criptomonedas, gratis en tu bandeja de entrada
Summary
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Cable Sector Divergence: Charter Falters as Sector Leader Comcast Rises
While Charter struggles, its sector leader
Bearish Positioning and Options Plays for Volatility-Driven Moves
• 200-day MA: $369.82 (far above) • RSI: 15.5 (oversold) • MACD: -24.88 (bearish) • Bollinger Band: $286.44 (near lower boundary)
With technicals flashing bearish signals and price near 52-week lows, key levels to watch include the 200-day MA ($350.62–353.57) and the 30-day support ($379.49–382.25). A break below $268.585 would confirm a new 52-week low, while a rebound above $280 could trigger short-covering rallies. Options liquidity is concentrated in the August 8 expiration cycle.
Top Options Plays:
• CHTR20250808P250 (Put): Delta -0.0988, IV 38.05%, Leverage 349.65%, Theta -0.0223, Gamma 0.0108, Turnover 197
– Oversold RSI and near 52-week low make this put option a high-leverage play for further downside. A 5% drop to $255.39 would yield $14.64 per contract.
• CHTR20250808C270 (Call): Delta 0.4974, IV 33.98%, Leverage 48.95%, Theta -0.9433, Gamma 0.0278, Turnover 21,277
– High gamma and moderate delta position this call as a volatility-sensitive play for a rebound. A 5% rally to $282.27 would yield $13.44 per contract.
For aggressive bears, CHTR20250808P250 offers asymmetric risk/reward. Aggressive bulls may consider CHTR20250808C270 into a bounce above $280.
Backtest Charter Stock Performance
The backtest of CHTR's performance after an intraday plunge of -4% shows mixed results. While the 3-day win rate is 50.41%, the 10-day win rate is 52.07%, and the 30-day win rate is 44.61%, indicating a higher probability of positive returns in the short term, the overall return over 30 days is -0.69%, with a maximum return of only 0.05% during the backtest period. This suggests that while CHTR may bounce back from a significant intraday drop, the overall performance in the following days is lackluster.
Act Now: Key Levels and Sector Divergence Define Near-Term Outlook
Charter’s bearish technicals and sector divergence demand immediate attention. With RSI at 15.5 and price near 52-week lows, short-term volatility is likely to persist. However, oversold conditions suggest a potential rebound attempt, especially if Comcast’s sector leadership (2.43% gain) exerts a pull. Investors should watch for a breakdown below $268.585 or a reversal above $280 to define the next move. Positioning in high-gamma options like CHTR20250808P250 or CHTR20250808C270 can capture directional moves in this volatile environment.

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Titulares diarios de acciones y criptomonedas, gratis en tu bandeja de entrada