Find options worth selling.

The simplest place for a retail trader to find real opportunity in options and stocks. freelunch ranks every cash-secured put and covered call by what it’s truly worth to you — the real odds, the crash risk most models ignore, and the taxes you’ll actually pay. Start with the best ones instead of guessing.

0+
Tickers screened daily
0
Outcomes simulated per options trade
0 states
Tax-aware projections, plus DC
Nightly
Every position re-scored

Your best trades, ranked for you.

One short list across every optionable ticker — sorted by the premium you actually keep after tax, not the number your broker quotes.

freelunch / daily
NVDASPYTSLAAMDPLTRNVDA · post-tax
#StrikeDTEAssignPremiumAnn.
117530d27%+$30521.6%
2172.5030d24%+$27119.4%
317030d21%+$23617.0%
4177.5030d31%+$33815.9%
5167.5030d18%+$20114.2%

Every position, watched to the day it expires.

Your whole book — options, shares, and dividends — re-scored each night, with a clear roll, close, or hold call on each.

freelunch / positions
Portfolio6 open · 24 closed
Post-tax
Total income
+$4,820
Options premium
+$3,140
Win rate
71%
AllOptionsShares
N
NVDA$175 · 30dCSP
62%
+$182ST 24%
T
TSLA$300 · 21dCSP
55%
+$420ST 24%
A
AMD$160 · 35dCC
38%
+$96LT 15%
P
PLTR$40 · 14dCSP
-22%
-$58ST 24%

See the true odds — crashes and all.

10,000 simulated futures per trade show the real chance it pays, plus the rare bad month a textbook model pretends can't happen.

freelunch / trade
outcome distribution — NVDA $175 PStock priceP&L
Strike $175Spot $18227%73%
IV 45%P(assignment) 27%P(touch) 38%fat-tailed · 10k paths

Ranked after your taxes, not before.

Federal, state, NIIT, and index-option blending applied to every trade — because the only return that matters is the one you keep.

freelunch / trade
expected value — NVDA $175 P
Income only+ Assignment
Pretax+$305+$181
Post-tax+$192+$114
Federal (short-term)24.0%
State — California9.3%
NIIT3.8%
Combined marginal37.1%

What goes into every rank

Three things most screeners get wrong.

The real odds

Built on the crash, not a calm fantasy.

Most tools assume markets stay calm. We simulate 10,000 futures for every trade, crashes included. A “safe” 90%-win trade that’s secretly a money-loser gets caught before you sell it.

After your taxes

Ranked by what you actually keep.

Your broker shows pretax premium. We re-rank by what’s left after federal, state, and NIIT — so the trade at the top is the best one for your situation, not a stranger’s.

No hype

We’ll tell you when to pass.

If a trade is worse than just holding the stock, we say so. No “sure things,” no inflated win rates — only the honest number and the reason behind it.

See exactly how the ranking works

Gets better every month

New tools ship continuously — funded by you. No VCs, no ads.

Real-time chains, a wider universe, trader-specific tax rules, and a “would this beat just holding SPY?” score are all on the public roadmap — each one shipped when subscribers count reaches the threshold to the next milestone.

See the roadmap

Your best trades are already ranked.

Set your tax profile once, and every day opens on the trades worth your capital — after the odds, after the IRS.

See today’s picks