We have carried out a wide analysis on the stock suggested in the webinar about technical analysis last week; now, it seems that there are the suitable market conditions to apply an option strategy.
The resistance we were controlling (area 97$-98$) has been broken, therefore we could choose two different approaches:


BUY CALL 105 expiry April at 55$.

Non directional

BULL PUT 92.5/87.5 expiry April with a premium of nearly 50$ and a margin of 500$.

10% of Return on Investment (ROI).