Options Profit Calculator
Breakeven, max profit, max loss, and at-expiration P&L for any single-leg call or put — with annualized return for Wheel strategy sizing.
Where this fits
This tool lives inside Trading Income and is most useful for traders.
Use one control room for premium income, exits, taxes, and risk
The individual tools are strongest when they work together. Trading Income OS ties wheel sizing, option math, exit discipline, tax drag, and portfolio guardrails into one workflow.
Wheel Strategy Scanner
Systematic options income engine. Sell cash-secured puts, collect premium, sell covered calls. Connected to Alpaca paper trading.
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Tax Loss Harvesting Calculator
Turn investment losses into tax savings. See IRS netting rules applied (STCL vs STCG first, then LTCL vs LTCG, then cross-netting), total tax saved, ordinary income deduction up to $3,000 (IRC §1211), carry-forward loss, and whether harvesting is worth the transaction costs.
Breakeven at expiration
$445.50
Current underlying: $455.00 · +$450 In profit
Max profit
$450
1 contract
Max loss
$44,550
If expires worthless
Premium received
$450.00
$4.50 × 100 × 1
Annualized return
12.2%
Wheel strategy yield
At-expiration P&L chart
% change from strike · violet line = current underlying
Key levels
Position details
Used to estimate where you stand today
Used for annualized return
Wheel Strategy Context
The Wheel typically starts with a short cash-secured put at or below the current price. If assigned, you own the shares and sell covered calls above your cost basis until called away. Target annualized returns of 20–40% — use the stat above to compare strikes and expirations.
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