Apache's most recent trend suggests a bearish bias. One trading opportunity on Apache is a Bear Call Spread using a strike $85.00 short call and a strike $90.00 long call offers a potential 6.16% return on risk over the next 22 calendar days. Maximum profit would be generated if the Bear Call Spread were to expire worthless, which would occur if the stock were below $85.00 by expiration. The full premium credit of $0.29 would be kept by the premium seller. The risk of $4.71 would be incurred if the stock rose above the $90.00 long call strike price.
The 5-day moving average is moving up which suggests that the short-term momentum for Apache is bullish and the probability of a rise in share price is higher if the stock starts trending.
The 20-day moving average is moving down which suggests that the medium-term momentum for Apache is bearish.
The RSI indicator is below 20 which suggests that the stock is in oversold territory.
To learn how to execute such a strategy while accounting for risk and reward in the context of smart portfolio management, and see how to trade live with a successful professional trader, view more here
LATEST NEWS for Apache
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Fri, 31 Jan 2014 19:53:00 GMT
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Thu, 30 Jan 2014 20:57:36 GMT
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Thu, 30 Jan 2014 14:00:00 GMT
Apache Reports New Field Discoveries, Development Lease Approvals And First Horizontal Completion In Egypt's Western Desert
Thu, 30 Jan 2014 13:30:00 GMT
Apache Sees Growth in Egypt With New Wells Amid Unrest
Thu, 30 Jan 2014 13:30:00 GMT
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