CRM

CRM

Salesforce Inc
Technology
$180.07 +2.14% As of May 22, 9:00 PM
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Trade Idea

Strategy
Bull Call
Strikes
$180/185
Expiration
May 15
Target ROI
100.0%
Trade Reasoning
The MACD indicator is positive and rising, signaling bullish momentum for CRM, making this a favorable entry point for a Bull Call Spread. With the current stock price at $184.72, the $180/$185 spread allows us to capitalize on a potential price increase while limiting our risk. This ATM spread structure offers an attractive risk/reward profile, targeting a high return on investment while managing exposure effectively. Maya's edge comes from disciplined trade management—knowing when to exit is just as important as when to enter. Subscribe to get real-time open and close alerts that take the guesswork out of trading.
Bullish Factors
MACD Positive and Rising.

Technical Analysis

CRM Volatility Squeeze Intensifies at $180.07

Neutral
May 22, 2026 at 9:00 PM $180.07 (+2.14%)

Salesforce Inc (CRM) ticked higher by 2.14% to $180.07 on May 22.

From a technical standpoint, the outlook appears mixed:

Moving Averages Moving averages are converging near $177.62 (9-day) and $178.48 (21-day), signaling indecision.
Momentum RSI at 50.9 is in neutral territory. MACD is bullish (-1.42 vs signal -1.93).
Volatility A 20-day TTM Squeeze suggests volatility is coiled and a breakout may be imminent.
Key levels to watch: Support at $167.68, Resistance at $189.92.

Traders Watch CRM Squeeze Closely at $176.31

Neutral
May 21, 2026 at 9:00 PM $176.31 (-2.11%)

Calm Before Storm? CRM Squeezes at $180.10

Neutral
May 20, 2026 at 9:00 PM $180.10 (+0.38%)

Calm Before Storm? CRM Squeezes at $179.42

Neutral
May 19, 2026 at 9:00 PM $179.42 (-0.04%)

Calm Before Storm? CRM Squeezes at $179.48

Neutral
May 18, 2026 at 9:00 PM $179.48 (+3.45%)
Systematic technical analysis • Updated daily after market close
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Key Stats

Entry Price $2.50
Max Profit $2.50
Max Loss $2.50
Days to Exp -7
Trade Date Apr 7, 2026
Disclaimer: This analysis is for educational purposes only. Options trading involves substantial risk. Past performance does not guarantee future results.