Work in order — later tools build on earlier output: 1. Stock-Quote + Price-Chart — set direction and a target range. 2. Option-Expiration-Dates — pick the expiry that fits the thesis. 3. Options-Chain (that expiry) — choose two strikes that cap risk. 4. Single-Option-Quote (each leg) — confirm tight bid/ask and good OI. Output: the structure, max loss, max gain, breakeven and risk/reward (aim ≥ 1:1.5).
SPY — Bull call spread Buy 610C / Sell 615C (2026-06-13) Max loss: $210 · Max gain: $290 · B/E: 612.10 Risk/reward: 1:1.4