Tour v526
HYPR
HYPERFINE INC A
$0.81 -0.58%
$0.82 (+1.74%)🌙
as of 09/02 06:34 PM
9/2 18:34

Option Volume

Detail
Current (09/02) --
Calls: -- (--)
Puts: -- (--)
Prior (09/01) 36
Calls: 35 (97%)
Puts: 1 (3%)
Current vs Prior -100.00%
Calls: -100.00% (Calls)
Puts: -100.00% (Puts)
Prior 7-Day Total 716
Calls: 711 (99%)
Puts: 5 (1%)
Prior 7-Day Average 119
Calls: 101 (99%)
Puts: -- (1%)
Current vs Prior 7-Day Avg -100.00%
Calls: -100.00%
Puts: -100.00%
Sentiment NEUTRAL

Dollar Volume

Detail
Current (09/02) --
Calls: -- (--)
Puts: -- (--)
Prior (09/01) $1.5K
Calls: $1.5K (99%)
Puts: $13 (1%)
Current vs Prior -100.00%
Calls: -100.00%
Puts: -100.00%
Prior 7-Day Total $19.6K
Calls: $19.4K (99%)
Puts: $267 (1%)
Prior 7-Day Average $3.3K
Calls: $2.8K (99%)
Puts: $38 (1%)
Current vs Prior 7-Day Avg -100.00%
Calls: -100.00%
Puts: -100.00%
Sentiment NEUTRAL

Put/Call Ratio

Detail
Current (09/02) 1.00
Prior (09/01) 0.03
Current vs Prior +3400.00%
Prior 7-Day Average 0.42
Current vs Prior 7-Day Avg +135.36%
Sentiment NEUTRAL

Open Interest

Detail
Current (09/02) --
Calls: -- (--)
Puts: -- (--)
Prior (09/01) 11
Calls: 11 (100%)
Puts: -- (0%)
Current vs Prior -100.00%
Prior 7-Day Total 4,113
Calls: 4,113 (100%)
Puts: -- (0%)
Prior 7-Day Average 822
Calls: 822 (100%)
Puts: -- (0%)
Current vs Prior 7-Day Avg -100.00%
Sentiment NEUTRAL

Expected Move

Detail
Expiry (09/18) | Next (10/16)
Current 75.31% | 108.64%
Prior 77.78% | 81.48%
Current vs Prior -3.17% | +33.33%
Prior 7-Day Avg 63.37% | 86.85%
Current vs 7-Day Avg +18.85% | +25.09%
Prior 7-Day Eod 77.78% | 81.48%
Current vs 7-Day Eod -3.17% | +33.33%
Sentiment BULLISH

Relative Spread

Detail
Expiry | Next
Current 179.25% | 0.00%
Calls: 179.25% | 0.00%
Puts: -- | --
Prior 179.25% | 0.00%
Calls: 179.25% | 0.00%
Puts: -- | --
Current vs Prior +0.00% | --
Prior 7-Day Avg 179.25% | 0.00%
Calls: 179.25% | 0.00%
Puts: 179.25% | 0.00%
Current vs 7-Day Avg +0.00% | --
Liquidity Expensive
+
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🤖 AI Insights

Light premium activity with dollar volume down 100% vs prior. Below-average activity with volume down 100% vs prior. P/C ratio rising 3400% - increased hedging/bearish positioning. Declining open interest (down 100%) indicates positions being closed.

Smart Money NEUTRAL
Retail Flow NEUTRAL
Overall MIXED
Dollar Volume
Option Volume
Put/Call Ratio
Open Interest
Expected Move
Current NEUTRAL
Prior BULLISH
7-Day Avg BULLISH
Current NEUTRAL
Prior BULLISH
7-Day Avg NEUTRAL
Current NEUTRAL
Prior BULLISH
7-Day Avg NEUTRAL
Current NEUTRAL
Prior BULLISH
7-Day Avg NEUTRAL
Current BEARISH
Prior BULLISH
7-Day Avg BULLISH

📈 Options Analysis

🎯 Tightest Spreads
💰 Best Value Under $1
📊 High Delta (ITM)
🔥 High Volume
Backwardation
📈 Debit Spreads
📉 Credit Spreads
📅 Calendar Spreads
Straddles
🔀 Strangles
🦅 Iron Condors
🦋 Butterflies
⚖️ Ratio Spreads
🛡️ Covered Calls
💧 Low Volume

Options with the tightest bid-ask spreads (<10%). Lower spreads = better fills and less slippage. Showing top -- of results (avg --%, best --%)

No options available for this category

Affordable options under $1.00 per contract. Great for defined-risk strategies with minimal capital. -- found (avg $--, cheapest $--)

No options available for this category

In-the-money options with delta >0.50. Higher probability of profit, lower leverage. -- found (avg delta --, highest --)

No options available for this category

Most actively traded options today. High liquidity = easy entry/exit. -- active (total vol --, top --)

No options available for this category

Term structure inversion — near-term IV higher than far-term IV at the same strike. Signals expected near-term catalyst or volatility event. -- strikes (avg --%, max --%)

No setups found for this strategy

Bull call spreads & bear put spreads with the best risk/reward ratios. Pay a debit upfront, defined max loss. -- found (best R:R --, avg --)

No setups found for this strategy

Bear call spreads & bull put spreads collecting premium. Receive credit upfront, profit if stock stays in range. -- found (best R:R --, avg --)

No setups found for this strategy

Same strike, different expirations. Sell near-term, buy far-term. Profits from time decay differential. -- found (avg debit $--, cheapest $--)

No setups found for this strategy

Buy call + put at the same strike and expiry. Profits from large moves in either direction. -- found (cheapest --% of stock, avg --%)

No straddle setups found

Buy OTM call + OTM put at different strikes. Cheaper than straddles, needs bigger move to profit. -- found (cheapest --% of stock, avg --%)

No strangle setups found

Sell OTM put spread + OTM call spread. Collect premium, profit if stock stays between breakevens. -- found (best R:R --, avg credit $--)

No iron condor setups found

Buy lower + upper strikes, sell 2x middle strike. Low cost, max profit at the middle strike at expiry. -- found (best R:R --, cheapest $--)

No setups found for this strategy

Buy 1 option, sell 2 at a different strike (1:2 ratio). Can be entered for a credit. Unlimited risk on naked leg. -- found (best net $--, -- credits)

No setups found for this strategy

Sell OTM calls against 100 shares you own. Collect premium for income, capped upside at strike. Yield% = premium/stock price. -- found (best yield --%, avg --%)

No covered call setups found

Historical option prices for this thinly-traded ticker. Live quotes are wide and stale — use where each contract actually traded plus its 30-day range to place a limit order. 14 contracts (avg 96 vol/day, 14 traded recently)

HYPR averages only 96 option contracts/day, so quotes are thin and bid/ask spreads run wide. Use the last actually-traded price below to set a limit order rather than chasing the displayed ask. No contracts have traded recently — lean on the 30-day mark range and start your limit near the bid.
CALLS (12)
StrikeExpiryBidAskMarkLast Traded30d RangeHistorySugg. LimitOI
$1.00Sep 18$0.00$0.95$0.48$0.20 08/20$0.03–$0.50$0.20--
$1.00Oct 16$0.00$0.75$0.38$0.05 08/26$0.05–$0.50$0.05--
$1.00Jan 15$0.10$0.55$0.33$0.16 08/26$0.18–$0.63$0.16--
$1.00Apr 16$0.20$0.85$0.53$0.25 08/28$0.25–$0.65$0.25--
$0.50Sep 18$0.00$1.00$0.50$0.31 08/28$0.30–$0.60$0.31--
$0.50Apr 16$0.05$0.80$0.43$0.50 08/20$0.43–$0.60$0.43--
$1.50Jan 15$0.00$0.20$0.10$0.17 08/19$0.10–$0.55$0.10--
$2.00Apr 16$0.00$0.40$0.20$0.43 08/27$0.15–$0.50$0.20--
$2.50Oct 16$0.00$0.35$0.18$0.05 08/28$0.08–$0.28$0.05--
$2.50Jan 15$0.00$0.45$0.23$0.33 08/27$0.05–$0.40$0.23--
$5.00Oct 16$0.00$1.00$0.50$0.05 08/27$0.05–$0.50$0.05--
$5.00Jan 15$0.00$0.95$0.48$0.08 08/07$0.25–$0.50$0.08--
PUTS (2)
StrikeExpiryBidAskMarkLast Traded30d RangeHistorySugg. LimitOI
$1.00Jan 15$0.00$0.60$0.30$0.50 08/11$0.30–$0.57$0.30--
$1.50Sep 18$0.20$0.80$0.50$0.70 08/28$0.40–$0.75$0.50--

Current 5-Minute Volume Snapshots

Time (HH:MM) Total Volume Call Volume Put Volume Volume Change
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Prior's 5-Minute Volume Snapshots

Time (HH:MM) Total Volume Call Volume Put Volume Volume Change
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Current Put/Call Breakdown

Total Calls --
Total Puts --
Put/Call Ratio 1.00
Net Difference --

Prior's Put/Call Breakdown

Total Calls 35
Total Puts 1
Put/Call Ratio 0.03
Net Difference 34

Prior 7-Day Put/Call Summary

Total Calls 711
Total Puts 5
Average Put/Call Ratio 0.42
Ratio Trend Rising

Daily Put/Call History (Last 7 Days)

Date Calls Puts Ratio Net Diff
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Upcoming Earnings - 2 Weeks Prior

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Upcoming Earnings - 1 Week Prior

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Earnings This Week

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Earnings - Day Before / Day After

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Options Activity Around Earnings

Ticker Earnings Date Days Away Call Volume Put Volume IV Rank
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Chart Title

Price — Past 7 Days

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