I want to express this market view: [DESCRIBE VIEW — bullish/bearish/neutral, timeframe, conviction level]. Underlying: [TICKER]. Current price: $[X]. IV rank: [%]. Upcoming catalysts: [LIST].
Design 3 options strategies for this view ranked by risk/reward: 1) Conservative (defined risk, lower reward), 2) Moderate, 3) Aggressive. For each strategy: exact structure (buy/sell, strikes, expiration), max profit, max loss, breakeven(s), best case / worst case scenarios, when to enter, when to adjust, when to exit, and how IV changes affect the position. Flag which strategy fits my risk tolerance: ...