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Discovery Inc (WBD) — wheel strategy suitability
Where WBD sits as an underlying for selling cash-secured puts and covered calls, and what its own price history says about the risk of being assigned into a falling stock. Snapshot of 3 October 2026.
Discovery Inc (WBD) scores 72 on the Wheel score, which puts it in the preferred band for selling cash-secured puts and covered calls.
Its components sit close together (quality 47, valuation 59, margin stability —), so no single factor is doing the work.
It has weekly options, so no liquidity haircut is applied — weeklies let you roll on a shorter cycle and take theta more often.
Over the last 3.0 years it had 4 days with a fall of 10% or more (1.35 a year), a deepest drawdown of -46.3%, and a worst single session of -19.0%. That is worse than the median screened name (0.67 gap-downs a year, -44.9% typical worst drawdown).
Realised volatility runs about 50% annualised. That is high. More premium, and a materially higher chance of being assigned into a falling stock.
Ownership context: held by ThirdPoint. Institutional presence is context, not a quality signal on its own.
Entry timing currently reads extended: the stock has run. Covered calls fit that better than puts.
Score breakdown
| Wheel score | 72 | 0–100 suitability for options selling |
|---|---|---|
| Quality | 47 | ROIC, margins, leverage, accruals |
| Valuation | 59 | cheaper on fwd P/E, EV/EBITDA, FCF yield |
| Margin stability | — | steadier earnings score higher |
| Options listed | Weekly | weekly avoids the liquidity haircut |
| Accounting flags | 0 | −8 points each |
Realised tail risk
Computed from our own daily price history, 2023-10-04 to 2026-10-01 (749 sessions). The Wheel score is built from fundamentals, so these price-derived numbers are an independent check on it, not a restatement of it.
| Days falling 10%+ in one session | 4 | 1.35 a year |
|---|---|---|
| Deepest drawdown | -46.3% | peak to trough |
| Worst single session | -19.0% | |
| Realised volatility | 50% | annualised |
Fundamentals
| Revenue (ttm) | 37,296M USD |
|---|---|
| Revenue CAGR (3y) | 3.3% |
| Net margin | 1.9% |
| Return on equity | 2.0% |
| Share price | $30.95 |
| Days to earnings | — |
| Sector / industry | Communication Services · Entertainment |
Open the WBD options chain on Yahoo Finance to check live strikes and premium — this page deliberately carries no quotes, because a quote baked into a static page is stale before you read it.
Run the numbers on WBD
Pre-filled with the snapshot price of $30.95 and 30-day realised volatility; add the strike and premium from the live option chain.