When IV Hits 99% and Dealers Flip: The Compression Before the Move
When IV-Rank hits 99% on 18 names and GEX flips sit within 1-2% of spot, dealer dynamics are about to shift. Today’s flow analysis reveals elevated compression before the move.
Daily options flow analysis covering implied volatility, gamma exposure, put/call ratios and unusual activity across stocks and ETFs. Each report documents signal data including IV-Rank, GEX flip strikes, PCR Z-Scores and flow bias – a personal trade journal tracking institutional and retail positioning in the options market.
When IV-Rank hits 99% on 18 names and GEX flips sit within 1-2% of spot, dealer dynamics are about to shift. Today’s flow analysis reveals elevated compression before the move.
43 symbols showing bullish flow with IV-Rank at 97-99% and GEX flips at price. Is this conviction or a trap?
Seven HIGH alerts, 97% IV-Rank, bullish flow dominance, and GEX flips inches away from spot. The setup is rare—and fragile.
IV-Rank at 95-100% across SPY, QQQ, IWM while prices pin GEX flips. Tech showing 67-94% call flow. What triggers the gamma move?
With IV-Rank near historic extremes across 22 symbols and GEX flips kissing spot prices, May 2 reveals a market coiled like a spring. Is the call-buying frenzy masking deeper fear?
39 signals flood the tape with 95% bullish conviction, but IV-Rank at historic highs and GEX flips kissing spot prices suggest we’re pinned into a gamma squeeze waiting to detonate.
With IV-Rank at 100% across mega-caps and backwardation signaling week-specific fear, institutional flow divergence—bullish in tech, bearish in small-caps—creates a conditional setup worth documenting.
IV-Rank at 100% across mega-caps, 74-92% call flow, but dealer gamma is short at extreme levels. Is this bullish momentum or capitulation masquerading as strength?
IV-Rank at 97-100% across major indices paired with persistent 65-95% call flow. GEX flips kiss spot price in SPY, QQQ, TSLA, MSFT—a critical gamma balance point.
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