Tour v477
XLK
State StreetTechSelSectSPDRETF
$175.44 -0.17%
7/31 14:45

Option Volume

Detail
Current (07/31 2:45pm) 16,866
Calls: 5,866 (35%)
Puts: 11,000 (65%)
Prior (07/30) 13,769
Calls: 6,213 (45%)
Puts: 7,556 (55%)
Current vs Prior +22.49%
Calls: -5.59% (Calls)
Puts: +45.58% (Puts)
Prior 7-Day Total 135,711
Calls: 54,500 (40%)
Puts: 81,211 (60%)
Prior 7-Day Average 19,387
Calls: 7,785 (40%)
Puts: 11,601 (60%)
Current vs Prior 7-Day Avg -13.00%
Calls: -24.66%
Puts: -5.19%
Sentiment BEARISH

Dollar Volume

Detail
Current (07/31 2:45pm) $6.92M
Calls: $3.36M (49%)
Puts: $3.56M (51%)
Prior (07/30) $9.35M
Calls: $4.84M (52%)
Puts: $4.51M (48%)
Current vs Prior -26.02%
Calls: -30.60%
Puts: -21.11%
Prior 7-Day Total $83.16M
Calls: $41.50M (50%)
Puts: $41.65M (50%)
Prior 7-Day Average $11.88M
Calls: $5.93M (50%)
Puts: $5.95M (50%)
Current vs Prior 7-Day Avg -41.76%
Calls: -43.32%
Puts: -40.20%
Sentiment BEARISH

Put/Call Ratio

Detail
Current (07/31 2:45pm) 1.88
Prior (07/30) 1.22
Current vs Prior +54.19%
Prior 7-Day Average 1.54
Current vs Prior 7-Day Avg +21.89%
Sentiment BEARISH

Open Interest

Detail
Current (07/31 2:45pm) 709,689
Calls: 262,284 (37%)
Puts: 447,405 (63%)
Prior (07/30) 703,304
Calls: 260,492 (37%)
Puts: 442,812 (63%)
Current vs Prior +0.91%
Prior 7-Day Total 4,884,687
Calls: 1,802,053 (37%)
Puts: 3,082,634 (63%)
Prior 7-Day Average 697,812
Calls: 257,436 (37%)
Puts: 440,376 (63%)
Current vs Prior 7-Day Avg +1.70%
Sentiment BULLISH

Expected Move

Detail
Expiry (07/31) | Next (08/07)Expiry (08/21) | Next (09/18)
Current 0.95% | 4.10%6.61% | 10.27%
Prior 1.96% | 4.45%6.65% | 10.35%
Current vs Prior -51.67% | -7.79%-0.54% | -0.73%
Prior 7-Day Avg 3.53% | 5.35%7.64% | 11.14%
Current vs 7-Day Avg -73.19% | -23.26%-13.47% | -7.77%
Prior 7-Day Eod 1.96% | 4.45%6.65% | 10.35%
Current vs 7-Day Eod -51.67% | -7.79%-0.54% | -0.73%
Sentiment BULLISHBULLISH

Relative Spread

Detail
Expiry | Next
Current 49.28% | 11.12%
Calls: 41.43% | 10.96%
Puts: 57.14% | 11.27%
Prior 106.69% | 64.89%
Calls: 90.37% | 40.51%
Puts: 123.00% | 89.27%
Current vs Prior -53.81% | -82.86%
Prior 7-Day Avg 64.31% | 53.39%
Calls: 50.74% | 41.48%
Puts: 77.87% | 65.30%
Current vs 7-Day Avg -23.37% | -79.17%
Liquidity Expensive
+
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🤖 AI Insights

Extreme bearish P/C ratio of 1.88 - heavy put buying. P/C ratio rising 54% - increased hedging/bearish positioning. Put-heavy open interest (447,405 puts vs 262,284 calls) suggests hedging or bearish positioning.

Smart Money BEARISH
Retail Flow BEARISH
Overall BEARISH
Dollar Volume
Option Volume
Put/Call Ratio
Open Interest
Expected Move
Current BEARISH
Prior BULLISH
7-Day Avg BEARISH
Current BEARISH
Prior NEUTRAL
7-Day Avg NEUTRAL
Current BEARISH
Prior BEARISH
7-Day Avg NEUTRAL
Current BEARISH
Prior BEARISH
7-Day Avg NEUTRAL
Current NEUTRAL
Prior BULLISH
7-Day Avg BULLISH
Sentiment Timeline (Today)
TimeSmart MoneyRetailOverall
14:45BEARISHBEARISHBEARISH
14:40BEARISHBEARISHBEARISH
14:35BEARISHBEARISHBEARISH
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📈 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

Options with the tightest bid-ask spreads (<10%). Lower spreads = better fills and less slippage. Showing top 60 of results (avg 8.0%, best 5.0%)

CALLS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$160.00Aug 715.4516.25$15.855.0%10.9411
$150.00Aug 2125.7527.15$26.455.3%10.94140
$170.00Aug 76.807.20$7.005.7%40.7527
$144.00Aug 2131.1533.00$32.085.8%--0.9649
$160.00Aug 2116.5017.50$17.005.9%220.85851
PUTS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$170.00Aug 71.311.39$1.355.9%340.25465
$184.00Aug 2810.8011.55$11.186.7%20.6914
$185.00Aug 2811.4512.25$11.856.8%--0.7110
$186.00Aug 710.5511.30$10.936.9%10.90115
$184.00Aug 2110.1510.90$10.537.1%70.72315

Affordable options under $1.00 per contract. Great for defined-risk strategies with minimal capital. 3 found (avg $0.79, cheapest $0.68)

CALLS (1)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$183.00Aug 70.620.73$0.6816.2%30.1723
PUTS (2)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$156.00Aug 210.750.90$0.8318.1%890.102.5K
$167.00Aug 70.790.95$0.8718.4%1130.1768

In-the-money options with delta >0.50. Higher probability of profit, lower leverage. 160 found (avg delta 0.80, highest 1.00)

CALLS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$152.50Jul 3121.6023.95$22.7810.3%801.00346
$153.00Jul 3121.1023.30$22.209.9%181.0092
$160.00Jul 3114.3516.25$15.3012.4%21.0013
$154.00Jul 3120.1022.30$21.2010.4%41.0068
$155.00Jul 3119.1021.30$20.2010.9%21.0022
PUTS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$179.00Jul 312.844.00$3.4233.9%--1.00329
$180.00Jul 314.505.15$4.8313.5%101.00212
$181.00Jul 314.856.20$5.5324.4%11.00115
$182.00Jul 315.707.95$6.8332.9%111.0062
$183.00Jul 317.207.90$7.559.3%--1.00161

Most actively traded options today. High liquidity = easy entry/exit. 337 active (total vol 11.8K, top 1.5K)

CALLS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$177.00Jul 310.000.39$0.20195.0%8320.20288
$176.00Jul 310.140.45$0.30103.3%4560.34345
$175.00Aug 215.706.40$6.0511.6%4080.532.4K
$173.00Jul 312.053.35$2.7048.1%2890.86120
$177.50Jul 310.000.10$0.05200.0%1850.08188
PUTS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$165.00Aug 211.822.38$2.1026.7%1.5K0.232.2K
$171.00Jul 310.000.07$0.04175.0%1.3K0.04566
$170.00Jul 310.010.05$0.03133.3%9330.031.7K
$160.00Aug 70.220.30$0.2630.8%7020.06202
$173.00Jul 310.010.32$0.17182.4%6750.1485

Term structure inversion — near-term IV higher than far-term IV at the same strike. Signals expected near-term catalyst or volatility event. 100 strikes (avg 514.7%, max 2220.3%)

CALLS (5)
StrikeNear ExpFar ExpNear IVFar IVBack%VolOI
$202.50Jul 31Aug 14870.1%37.5%2220.3%296
$145.00Jul 31Aug 21959.6%49.4%1841.5%--39
$210.00Jul 31Aug 28574.2%33.3%1625.9%--861
$152.00Jul 31Aug 21600.2%44.1%1260.9%64397
$150.00Jul 31Aug 21572.8%43.9%1203.4%3155
PUTS (5)
StrikeNear ExpFar ExpNear IVFar IVBack%VolOI
$145.00Jul 31Sep 11959.6%42.2%2173.9%228
$150.00Jul 31Sep 11572.8%39.3%1357.1%17226
$152.00Jul 31Aug 21600.2%44.1%1260.9%3107
$182.50Jul 31Sep 11317.3%32.2%886.1%148
$155.00Jul 31Sep 11360.4%38.2%842.6%10102

Bull call spreads & bear put spreads with the best risk/reward ratios. Pay a debit upfront, defined max loss. 211 found (best R:R 28.41, avg 3.52)

BULL CALL (5)
BuySellExpiryDebitMax GainMax LossR:RBE
$200.00$205.00Aug 21$0.18$4.82$0.1826.78$200.18
$200.00$205.00Aug 28$0.29$4.71$0.2916.24$200.29
$196.00$200.00Aug 28$0.31$3.69$0.3111.90$196.31
$192.50$194.00Aug 14$0.13$1.37$0.1310.54$192.63
$193.00$194.00Aug 28$0.10$0.90$0.109.00$193.10
BEAR PUT (5)
BuySellExpiryDebitMax GainMax LossR:RBE
$155.00$150.00Aug 14$0.17$4.83$0.1728.41$154.83
$150.00$145.00Aug 28$0.24$4.76$0.2419.83$149.76
$147.00$145.00Aug 7$0.11$1.89$0.1117.18$146.89
$159.00$155.00Aug 14$0.23$3.77$0.2316.39$158.77
$150.00$145.00Sep 11$0.30$4.70$0.3015.67$149.70

Bear call spreads & bull put spreads collecting premium. Receive credit upfront, profit if stock stays in range. 252 found (best R:R 10.76, avg 1.19)

BEAR CALL (5)
SellBuyExpiryCreditMax GainMax LossR:RBE
$150.00$160.00Aug 14$9.13$9.13$0.8710.49$159.13
$165.00$167.00Aug 7$1.77$1.77$0.237.70$166.77
$152.00$153.00Aug 21$0.87$0.87$0.136.69$152.87
$160.00$165.00Aug 21$4.32$4.32$0.686.35$164.32
$174.00$175.00Jul 31$0.85$0.85$0.155.67$174.85
BULL PUT (5)
SellBuyExpiryCreditMax GainMax LossR:RBE
$195.00$193.00Aug 21$1.83$1.83$0.1710.76$193.17
$185.00$184.00Aug 7$0.88$0.88$0.127.33$184.12
$190.00$189.00Aug 21$0.87$0.87$0.136.69$189.13
$186.00$182.50Aug 14$2.97$2.97$0.535.60$183.03
$184.00$183.00Aug 7$0.84$0.84$0.165.25$183.16

Same strike, different expirations. Sell near-term, buy far-term. Profits from time decay differential. 96 found (avg debit $1.03, cheapest $0.07)

CALLS (5)
StrikeNear ExpFar ExpNet DebitNear IVFar IV
$182.50Jul 31Aug 7$0.07317.3%31.0%
$200.00Jul 31Aug 7$0.07347.7%44.8%
$197.50Aug 7Aug 14$0.0943.7%34.4%
$197.00Jul 31Aug 7$0.11311.2%43.2%
$195.00Jul 31Aug 7$0.12307.4%40.9%
PUTS (5)
StrikeNear ExpFar ExpNet DebitNear IVFar IV
$190.00Jul 31Aug 14$0.07237.8%32.3%
$188.00Aug 7Aug 14$0.1330.2%30.3%
$187.50Aug 7Aug 14$0.1831.8%30.9%
$155.00Jul 31Aug 7$0.20360.4%51.7%
$158.00Jul 31Aug 7$0.21309.1%45.7%

Buy call + put at the same strike and expiry. Profits from large moves in either direction. 148 found (cheapest 0.52% of stock, avg 7.70%)

StrikeExpiryCall$Put$TotalBE LowBE HighCost%
$175.00Jul 31$0.70$0.22$0.92$174.08$175.920.52%
$176.00Jul 31$0.30$0.96$1.26$174.74$177.260.72%
$174.00Jul 31$1.55$0.14$1.69$172.31$175.690.96%
$177.00Jul 31$0.20$1.73$1.93$175.07$178.931.10%
$177.50Jul 31$0.05$1.99$2.04$175.46$179.541.16%
$178.00Jul 31$0.04$2.42$2.46$175.54$180.461.40%
$173.00Jul 31$2.70$0.17$2.87$170.13$175.871.64%
$172.50Jul 31$3.23$0.11$3.34$169.16$175.841.90%
$179.00Jul 31$0.02$3.42$3.44$175.56$182.441.96%
$172.00Jul 31$3.50$0.11$3.61$168.39$175.612.06%

Buy OTM call + OTM put at different strikes. Cheaper than straddles, needs bigger move to profit. 170 found (cheapest 0.18% of stock, avg 4.13%)

Call KPut KExpiryCall$Put$TotalBE LowBE High
$177.00$172.50Jul 31$0.20$0.11$0.31$172.19$177.31
$177.00$172.00Jul 31$0.20$0.11$0.31$171.69$177.31
$177.00$174.00Jul 31$0.20$0.14$0.34$173.66$177.34
$177.00$173.00Jul 31$0.20$0.17$0.37$172.63$177.37
$176.00$172.50Jul 31$0.30$0.11$0.41$172.09$176.41
$176.00$172.00Jul 31$0.30$0.11$0.41$171.59$176.41
$177.00$175.00Jul 31$0.20$0.22$0.42$174.58$177.42
$176.00$174.00Jul 31$0.30$0.14$0.44$173.56$176.44
$176.00$173.00Jul 31$0.30$0.17$0.47$172.53$176.47
$176.00$175.00Jul 31$0.30$0.22$0.52$174.48$176.52

Sell OTM put spread + OTM call spread. Collect premium, profit if stock stays between breakevens. 313 found (best R:R 17.18, avg credit $1.40)

Put SpreadCall SpreadExpiryCreditMax LossR:RBE LowBE High
160/161165/167Aug 7$1.89$0.1117.18$159.11$166.89
145/147165/167Aug 7$1.88$0.1215.67$145.12$166.88
171/172190/191Sep 4$0.89$0.118.09$171.11$190.89
158/159171/172Aug 28$1.33$0.177.82$157.67$172.33
171/172189/190Sep 4$0.88$0.127.33$171.12$189.88
155/160165/170Sep 11$4.40$0.607.33$155.60$169.40
168/168175/176Aug 14$0.87$0.136.69$167.13$175.87
170/171172/174Aug 14$1.70$0.305.67$169.30$173.70
155/159160/170Aug 14$8.45$1.555.45$150.55$168.45
168/168170/172Aug 14$1.69$0.315.45$166.31$171.69

Buy lower + upper strikes, sell 2x middle strike. Low cost, max profit at the middle strike at expiry. 110 found (best R:R 49.00, cheapest $0.05)

CALLS (5)
LowMidHighExpiryDebitMax GainR:R
$200.00$205.00$210.00Aug 21$0.15$4.8532.33
$200.00$205.00$210.00Aug 28$0.21$4.7922.81
$154.00$155.00$156.00Jul 31$0.05$0.9519.00
$184.00$185.00$186.00Jul 31$0.06$0.9415.67
$175.00$176.00$177.00Aug 14$0.06$0.9415.67
PUTS (5)
LowMidHighExpiryDebitMax GainR:R
$145.00$150.00$155.00Aug 14$0.10$4.9049.00
$145.00$150.00$155.00Sep 4$0.10$4.9049.00
$145.00$150.00$155.00Aug 28$0.13$4.8737.46
$184.00$190.00$196.00Jul 31$0.17$5.8334.29
$170.00$171.00$172.00Jul 31$0.06$0.9415.67

Buy 1 option, sell 2 at a different strike (1:2 ratio). Can be entered for a credit. Unlimited risk on naked leg. 146 found (best net $-0.06, 132 credits)

CALLS (5)
Buy KSell KRatioExpiryNetMax Gain
$160.00$170.001:2Aug 14-$0.06$9.94
$205.00$210.001:2Aug 21-$0.06$4.94
$205.00$210.001:2Aug 28-$0.10$4.90
$195.00$200.001:2Sep 11-$0.36$4.64
$190.00$195.001:2Sep 11-$0.59$4.41
PUTS (5)
Buy KSell KRatioExpiryNetMax Gain
$155.00$150.001:2Aug 7-$0.03$4.97
$155.00$150.001:2Aug 14-$0.11$4.89
$150.00$145.001:2Aug 14-$0.14$4.86
$150.00$145.001:2Sep 4-$0.32$4.68
$150.00$145.001:2Aug 28-$0.38$4.62

Sell OTM calls against 100 shares you own. Collect premium for income, capped upside at strike. Yield% = premium/stock price. 95 found (best yield 3.22%, avg 1.06%)

StrikeExpiryBidDeltaOTM%Yield%If Called%VolOI
$178.00Sep 4$5.650.471.5%3.22%4.68%13
$176.00Aug 21$5.100.500.3%2.91%3.23%--166
$177.50Aug 28$5.050.471.2%2.88%4.05%346
$178.00Aug 28$4.950.461.5%2.82%4.28%--28
$177.00Aug 28$4.900.480.9%2.79%3.68%28
$177.00Aug 21$4.750.470.9%2.71%3.60%50126
$179.00Aug 28$4.650.442.0%2.65%4.68%45
$177.50Aug 21$4.550.461.2%2.59%3.77%236
$178.00Aug 21$4.200.451.5%2.39%3.85%--26
$182.00Sep 4$4.200.383.7%2.39%6.13%12

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 5,866
Total Puts 11,000
Put/Call Ratio 1.88
Net Difference -5,134

Prior's Put/Call Breakdown

Total Calls 6,213
Total Puts 7,556
Put/Call Ratio 1.22
Net Difference -1,343

Prior 7-Day Put/Call Summary

Total Calls 54,500
Total Puts 81,211
Average Put/Call Ratio 1.54
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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