Tour v526
PLTR
PALANTIR TECHNOLOGIE Class A
$186.29 +0.19%
$185.43 (-0.46%)🌙
as of 08/28 06:03 PM
8/28 18:03

Option Volume

Detail
Current (08/28) 552,912
Calls: 329,641 (60%)
Puts: 223,271 (40%)
Prior (08/27) 740,397
Calls: 479,904 (65%)
Puts: 260,493 (35%)
Current vs Prior -25.32%
Calls: -31.31% (Calls)
Puts: -14.29% (Puts)
Prior 7-Day Total 3,739,198
Calls: 2,315,550 (62%)
Puts: 1,423,648 (38%)
Prior 7-Day Average 534,171
Calls: 330,792 (62%)
Puts: 203,378 (38%)
Current vs Prior 7-Day Avg +3.51%
Calls: -0.35%
Puts: +9.78%
Sentiment BULLISH

Dollar Volume

Detail
Current (08/28) $218.72M
Calls: $165.62M (76%)
Puts: $53.10M (24%)
Prior (08/27) $383.65M
Calls: $318.48M (83%)
Puts: $65.17M (17%)
Current vs Prior -42.99%
Calls: -48.00%
Puts: -18.53%
Prior 7-Day Total $2.05B
Calls: $1.67B (82%)
Puts: $378.54M (18%)
Prior 7-Day Average $293.04M
Calls: $238.96M (82%)
Puts: $54.08M (18%)
Current vs Prior 7-Day Avg -25.36%
Calls: -30.69%
Puts: -1.82%
Sentiment BULLISH

Put/Call Ratio

Detail
Current (08/28) 0.68
Prior (08/27) 0.54
Current vs Prior +24.78%
Prior 7-Day Average 0.66
Current vs Prior 7-Day Avg +3.38%
Sentiment BULLISH

Open Interest

Detail
Current (08/28) 3,671,526
Calls: 1,829,313 (50%)
Puts: 1,842,213 (50%)
Prior (08/27) 3,561,097
Calls: 1,782,532 (50%)
Puts: 1,778,565 (50%)
Current vs Prior +3.10%
Prior 7-Day Total 25,694,176
Calls: 12,813,198 (50%)
Puts: 12,880,978 (50%)
Prior 7-Day Average 3,670,596
Calls: 1,830,456 (50%)
Puts: 1,840,139 (50%)
Current vs Prior 7-Day Avg +0.03%
Sentiment BULLISH

Expected Move

Detail
Expiry (08/28) | Next (09/04)Expiry (09/18) | Next (10/16)
Current 1.27% | 5.51%8.95% | 14.87%
Prior 3.02% | 6.32%9.71% | 15.63%
Current vs Prior +82.21% | +14.50%-7.77% | -4.83%
Prior 7-Day Avg 4.02% | 6.83%6.32% | 13.84%
Current vs 7-Day Avg +37.02% | +6.01%+41.60% | +7.51%
Prior 7-Day Eod 1.41% | 5.57%9.71% | 15.63%
Current vs 7-Day Eod +289.34% | +29.98%-7.77% | -4.83%
Sentiment BEARISHBULLISH

Relative Spread

Detail
Expiry | Next
Current 9.24% | 3.35%
Calls: 5.49% | 2.90%
Puts: 12.99% | 3.80%
Prior 2.92% | 3.41%
Calls: 2.55% | 3.45%
Puts: 3.28% | 3.36%
Current vs Prior +216.44% | -1.76%
Prior 7-Day Avg 3.84% | 2.90%
Calls: 2.97% | 2.59%
Puts: 2.59% | 2.88%
Current vs 7-Day Avg +140.89% | +15.57%
Liquidity Acceptable
+
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🤖 AI Insights

Strong bullish conviction with 76% of dollar volume in calls ($165.62M) vs puts ($53.10M). Bullish P/C ratio of 0.68.

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

Options with the tightest bid-ask spreads (<10%). Lower spreads = better fills and less slippage. Showing top 232 of results (avg 4.1%, best 1.5%)

CALLS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$150.00Sep 1836.7537.30$37.031.5%1130.939.9K
$170.00Oct 220.6521.00$20.831.7%130.76140
$180.00Oct 213.9514.20$14.081.8%310.63640
$155.00Sep 1831.9532.55$32.251.9%1140.938.2K
$160.00Oct 228.7029.25$28.981.9%110.8684
PUTS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$210.00Oct 226.0026.40$26.201.5%30.781
$190.00Sep 2510.7010.90$10.801.9%1810.5447
$187.50Oct 210.5510.75$10.651.9%870.4939
$192.50Sep 2512.1512.40$12.282.0%1670.5818
$175.00Sep 40.960.98$0.972.1%3.9K0.154.4K

Affordable options under $1.00 per contract. Great for defined-risk strategies with minimal capital. 33 found (avg $0.55, cheapest $0.33)

CALLS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$205.00Sep 40.320.34$0.336.1%2.1K0.072.0K
$207.50Sep 40.230.26$0.2512.0%1.6K0.05807
$210.00Sep 40.170.20$0.1915.8%9250.044.9K
$202.50Sep 40.460.48$0.474.3%2.4K0.09675
$200.00Sep 40.660.70$0.685.9%6.4K0.125.0K
PUTS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$162.50Sep 40.180.20$0.1910.5%6160.031.3K
$165.00Sep 40.230.28$0.2619.2%1.1K0.046.6K
$167.50Sep 40.320.37$0.3514.3%5900.061.6K
$170.00Sep 40.460.49$0.486.2%3.0K0.083.3K
$172.50Sep 40.660.70$0.685.9%5.4K0.111.4K

In-the-money options with delta >0.50. Higher probability of profit, lower leverage. 157 found (avg delta 0.81, highest 1.00)

CALLS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$150.00Aug 2836.0037.00$36.502.7%3631.001.4K
$152.50Aug 2831.9035.80$33.8511.5%591.00128
$155.00Aug 2831.0031.75$31.382.4%7591.001.4K
$157.50Aug 2828.5029.20$28.852.4%791.00145
$160.00Aug 2826.0527.20$26.634.3%1.5K1.002.1K
PUTS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$220.00Aug 2831.7535.25$33.5010.4%21.00--
$200.00Aug 2812.9514.30$13.639.9%251.0088
$205.00Aug 2816.7520.25$18.5018.9%41.001
$197.50Aug 2810.4511.80$11.1312.1%371.0028
$195.00Aug 287.959.30$8.6315.6%480.99100

Most actively traded options today. High liquidity = easy entry/exit. 331 active (total vol 466.2K, top 67.1K)

CALLS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$187.50Aug 280.000.01$0.01100.0%67.1K0.0215.9K
$190.00Aug 280.000.01$0.01100.0%54.6K0.0120.5K
$185.00Aug 281.121.30$1.2114.9%23.2K1.009.0K
$190.00Sep 42.832.90$2.872.4%16.0K0.3813.3K
$180.00Aug 286.106.45$6.285.6%10.9K1.0021.8K
PUTS (5)
StrikeExpiryBidAskMarkSpreadVolDeltaOI
$185.00Aug 280.000.01$0.01100.0%54.0K0.024.9K
$182.50Aug 280.000.01$0.01100.0%19.7K0.014.2K
$180.00Aug 280.000.01$0.01100.0%13.6K0.019.6K
$187.50Aug 280.801.51$1.1661.2%12.4K0.98735
$180.00Sep 41.982.05$2.013.5%7.4K0.286.6K

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. 162 found (best R:R 7.33, avg 4.20)

BULL CALL (5)
BuySellExpiryDebitMax GainMax LossPOPR:RBE
$192.50$195.00Oct 9$0.25$2.25$0.2545%9.00$192.75
$187.50$190.00Oct 9$0.62$1.88$0.6251%3.03$188.12
$157.50$160.00Oct 9$1.62$0.88$1.6285%0.54$159.12
$197.50$200.00Oct 9$0.42$2.08$0.4239%4.95$197.92
$190.00$192.50Oct 9$0.65$1.85$0.6548%2.85$190.65
BEAR PUT (5)
BuySellExpiryDebitMax GainMax LossPOPR:RBE
$187.50$185.00Oct 9$0.30$2.20$0.3049%7.33$187.20
$177.50$175.00Oct 9$0.35$2.15$0.3535%6.14$177.15
$197.50$190.00Oct 9$3.92$3.58$3.9261%0.91$193.58
$170.00$167.50Oct 9$0.25$2.25$0.2524%9.00$169.75
$162.50$160.00Sep 11$0.10$2.40$0.107%24.00$162.40

Bear call spreads & bull put spreads collecting premium. Receive credit upfront, profit if stock stays in range. 119 found (best R:R 2.16, avg 0.38)

BEAR CALL (5)
SellBuyExpiryCreditMax GainMax LossPOPR:RBE
$200.00$205.00Oct 9$2.20$2.20$2.8064%0.79$202.20
$195.00$197.50Oct 9$1.53$1.53$0.9757%1.58$196.53
$215.00$220.00Oct 9$1.28$1.28$3.7278%0.34$216.28
$187.50$190.00Sep 4$1.06$1.06$1.4453%0.74$188.56
$187.50$190.00Sep 11$1.13$1.13$1.3752%0.82$188.63
BULL PUT (5)
SellBuyExpiryCreditMax GainMax LossPOPR:RBE
$175.00$172.50Oct 9$1.71$1.71$0.7968%2.16$173.29
$157.50$155.00Oct 9$1.01$1.01$1.4986%0.68$156.49
$165.00$162.50Oct 9$0.94$0.94$1.5680%0.60$164.06
$185.00$182.50Oct 9$1.50$1.50$1.0055%1.50$183.50
$180.00$177.50Oct 9$1.17$1.17$1.3362%0.88$178.83

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. 87 found (cheapest 0.63% of stock, avg 8.80%)

StrikeExpiryCall$Put$TotalBE LowBE HighCost%
$187.50Aug 28$0.01$1.16$1.17$186.33$188.670.63%
$185.00Aug 28$1.21$0.01$1.22$183.78$186.220.65%
$190.00Aug 28$0.01$3.47$3.48$186.52$193.481.87%
$182.50Aug 28$3.75$0.01$3.76$178.74$186.262.02%
$192.50Aug 28$0.01$6.15$6.16$186.34$198.663.31%
$180.00Aug 28$6.28$0.01$6.29$173.71$186.293.38%
$195.00Aug 28$0.01$8.63$8.64$186.36$203.644.64%
$177.50Aug 28$8.90$0.01$8.91$168.59$186.414.78%
$187.50Sep 4$3.93$5.03$8.96$178.54$196.464.81%
$185.00Sep 4$5.23$3.80$9.03$175.97$194.034.85%

Buy OTM call + OTM put at different strikes. Cheaper than straddles, needs bigger move to profit. 150 found (cheapest 1.05% of stock, avg 6.10%)

Call KPut KExpiryCall$Put$TotalBE LowBE High
$197.50$175.00Sep 4$0.99$0.97$1.96$173.04$199.46
$197.50$177.50Sep 4$0.99$1.43$2.42$175.08$199.92
$195.00$175.00Sep 4$1.43$0.97$2.40$172.60$197.40
$195.00$177.50Sep 4$1.43$1.43$2.86$174.64$197.86
$197.50$180.00Sep 4$0.99$2.01$3.00$177.00$200.50
$192.50$175.00Sep 4$2.05$0.97$3.02$171.98$195.52
$195.00$180.00Sep 4$1.43$2.01$3.44$176.56$198.44
$192.50$177.50Sep 4$2.05$1.43$3.48$174.02$195.98
$192.50$180.00Sep 4$2.05$2.01$4.06$175.94$196.56
$197.50$175.00Sep 11$2.23$2.04$4.27$170.73$201.77

Sell OTM put spread + OTM call spread. Collect premium, profit if stock stays between breakevens. 239 found (best R:R 0.85, avg credit $1.04)

Put SpreadCall SpreadExpiryCreditMax LossPOPR:RBE LowBE High
155/158215/220Oct 9$2.29$2.7163%0.85$155.21$217.29
172/175215/220Oct 9$2.99$2.0146%1.49$172.01$217.99
162/165215/220Oct 9$2.22$2.7858%0.80$162.78$217.22
155/158205/210Oct 9$2.17$2.8356%0.77$155.33$207.17
172/175198/200Sep 18$1.31$1.1944%1.10$173.69$198.81
168/170198/200Sep 18$1.11$1.3951%0.80$168.89$198.61
165/168198/200Sep 18$1.03$1.4754%0.70$166.47$198.53
170/172198/200Sep 18$1.19$1.3148%0.91$171.31$198.69
175/178198/200Sep 18$1.40$1.1039%1.27$176.10$198.90
160/162198/200Sep 18$0.90$1.6059%0.56$161.60$198.40

Buy lower + upper strikes, sell 2x middle strike. Low cost, max profit at the middle strike at expiry. 190 found (best R:R 1.08, cheapest $0.05)

CALLS (5)
LowMidHighExpiryDebitMax GainPOPR:R
$185.00$187.50$190.00Aug 28$1.20$1.3099%1.08
$182.50$185.00$187.50Aug 28$1.34$1.1698%0.87
$187.50$190.00$192.50Sep 18$0.06$2.4410%40.67
$210.00$215.00$220.00Sep 25$0.13$4.878%37.46
$200.00$205.00$210.00Sep 18$0.27$4.7312%17.52
PUTS (5)
LowMidHighExpiryDebitMax GainPOPR:R
$182.50$185.00$187.50Aug 28$1.15$1.3597%1.17
$185.00$187.50$190.00Aug 28$1.16$1.3497%1.16
$192.50$195.00$197.50Sep 4$0.08$2.4213%30.25
$180.00$182.50$185.00Sep 4$0.15$2.3516%15.67
$182.50$185.00$187.50Sep 11$0.10$2.4013%24.00

Buy 1 option, sell 2 at a different strike (1:2 ratio). Can be entered for a credit. Unlimited risk on naked leg. 130 found (best net $-3.50, 126 credits)

CALLS (5)
Buy KSell KRatioExpiryNetMax Gain
$180.00$182.501:2Aug 28-$1.22$1.28
$205.00$210.001:2Sep 18-$0.69$4.31
$215.00$220.001:2Sep 4-$0.03$4.97
$210.00$215.001:2Sep 18-$0.49$4.51
$215.00$220.001:2Sep 18-$0.34$4.66
PUTS (5)
Buy KSell KRatioExpiryNetMax Gain
$220.00$205.001:2Aug 28-$3.50$11.50
$192.50$190.001:2Aug 28-$0.79$1.71
$185.00$182.501:2Aug 28-$0.01$2.49
$182.50$180.001:2Aug 28-$0.01$2.49
$180.00$177.501:2Aug 28-$0.01$2.49

Sell OTM calls against 100 shares you own. Collect premium for income, capped upside at strike. Yield% = premium/stock price. 60 found (best yield 4.13%, avg 2.04%)

StrikeExpiryBidDeltaOTM%Yield%If Called%VolOI
$195.00Oct 9$7.700.434.7%4.13%8.81%2918
$200.00Oct 9$6.300.367.4%3.38%10.74%112122
$197.50Oct 9$6.750.396.0%3.62%9.64%36
$190.00Oct 2$8.900.472.0%4.78%6.77%89271
$187.50Oct 2$10.000.510.7%5.37%6.02%12890
$192.50Oct 2$7.850.443.3%4.21%7.55%24101
$195.00Oct 2$6.900.404.7%3.70%8.38%65227
$190.00Oct 9$8.500.482.0%4.56%6.55%2032
$197.50Oct 2$6.050.376.0%3.25%9.27%65113
$192.50Oct 9$7.250.453.3%3.89%7.23%868

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 329,641
Total Puts 223,271
Put/Call Ratio 0.68
Net Difference 106,370

Prior's Put/Call Breakdown

Total Calls 479,904
Total Puts 260,493
Put/Call Ratio 0.54
Net Difference 219,411

Prior 7-Day Put/Call Summary

Total Calls 2,315,550
Total Puts 1,423,648
Average Put/Call Ratio 0.66
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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