Option Strategy Scanner

Signal data as of August 21, 2026 · 74 active signals

Symbol Level Str. Top Strategy IV-Rank Flow Direction
QQQ HIGH 43.8 2% 52% ▼ Bearish
TSLA HIGH 39.1 6% 78% ▲ Bullish
SPY HIGH 34.2 3% 46% ▼ Bearish
COIN HIGH 29.6 14% 72% ▲ Bullish
MU HIGH 29.5 0% 55% ▲ Bullish
GLD HIGH 27.6 6% 87% ▲ Bullish
META HIGH 25.2 5% 58% ▲ Bullish
PLTR HIGH 22.8 4% 81% ▲ Bullish
SLV HIGH 22.7 6% 81% ▲ Bullish
USO HIGH 21.3 9% 81% ▲ Bullish
AVGO HIGH 20.5 0% 61% ▲ Bullish
IWM HIGH 19.5 3% 52% ▼ Bearish
GS HIGH 19.3 15% 84% ▲ Bullish
DELL HIGH 17.8 8% 61% ▲ Bullish
DIA HIGH 16.9 6% 51% ▲ Bullish
AMD HIGH 16.8 0% 66% ▲ Bullish
WMT HIGH 16.5 3% 46% ▼ Bearish
SPCX HIGH 16.0 1% 59% ▲ Bullish
AMZN HIGH 15.5 2% 72% ▲ Bullish
IBIT HIGH 15.5 99% 83% ▲ Bullish
INTC HIGH 14.4 0% 46% ● Neutral
SMH HIGH 13.8 0% 40% ▼ Bearish
CAT HIGH 13.3 6% 66% ▲ Bullish
GOOGL HIGH 13.1 1% 71% ▲ Bullish
AAPL HIGH 13.0 7% 62% ▲ Bullish
MSFT HIGH 13.0 1% 77% ▲ Bullish
LLY HIGH 12.8 3% 67% ▲ Bullish
JPM HIGH 12.5 15% 62% ▲ Bullish
NVDA HIGH 12.5 3% 52% ● Neutral
ORCL HIGH 12.0 3% 67% ▲ Bullish
NFLX HIGH 11.8 2% 71% ▲ Bullish
SOFI HIGH 11.8 15% 76% ▲ Bullish
UNH HIGH 11.5 3% 70% ▲ Bullish
BA HIGH 11.3 12% 49% ● Neutral
IREN HIGH 10.8 17% 62% ▲ Bullish
TGT HIGH 9.8 3% 73% ▲ Bullish
UBER HIGH 9.8 8% 72% ▲ Bullish
ARM HIGH 9.5 7% 37% ▼ Bearish
XOM HIGH 9.5 10% 71% ▲ Bullish
WM HIGH 9.2 6% 17% ▼ Bearish
BE HIGH 9.0 0% 51% ● Neutral
QCOM HIGH 9.0 9% 73% ▲ Bullish
XLF HIGH 9.0 9% 45% ▲ Bullish
PFE HIGH 8.8 18% 60% ▲ Bullish
V HIGH 8.8 3% 87% ▲ Bullish
XLE HIGH 8.5 6% 22% ▲ Bullish
MRK HIGH 8.3 12% 86% ▲ Bullish
CVX HIGH 7.8 5% 64% ▲ Bullish
OXY HIGH 7.8 17% 87% ▲ Bullish
FDX HIGH 7.5 6% 28% ▼ Bearish
TSM HIGH 7.5 3% 58% ▲ Bullish
XLK HIGH 7.5 15% 53% ▲ Bullish
XLB HIGH 7.3 5% 91% ▲ Bullish
XLU HIGH 7.3 5% 23% ▼ Bearish
BAC MEDIUM 6.5 15% 41% ▲ Bullish
HD MEDIUM 6.5 4% 61% ▲ Bullish
LOW MEDIUM 6.5 10% 76% ▲ Bullish
TMUS MEDIUM 6.5 10% 76% ▲ Bullish
SHLD MEDIUM 6.4 11% 91% ▲ Bullish
FSLR MEDIUM 6.3 0% 55% ▼ Bearish
MS MEDIUM 6.3 11% 64% ▲ Bullish
ABBV MEDIUM 5.8 6% 94% ▲ Bullish
UNP MEDIUM 5.8 9% 82% ▲ Bullish
XLP MEDIUM 5.5 8% 59% ▲ Bullish
BUG MEDIUM 5.3 10% 97% ▲ Bullish
NKE MEDIUM 5.3 3% 61% ▲ Bullish
BLK MEDIUM 5.0 2% 60% ▲ Bullish
XLV MEDIUM 5.0 3% 67% ▲ Bullish
PHO MEDIUM 4.3 9% 100% ▲ Bullish
RTX MEDIUM 4.3 3% 59% ▲ Bullish
XLC MEDIUM 4.3 17% 61% ▲ Bullish
XLY MEDIUM 4.3 10% 39% ▼ Bearish
CHAT MEDIUM 4.0 18% 78% ▲ Bullish
COP MEDIUM 4.0 7% 89% ▲ Bullish

Strategy assignments are derived automatically from options flow data (IV-Rank, GEX, Flow Bias, Max Pain). The top match is shown — click +N more → or the symbol to see all alternatives with full analysis. This is a personal trade journal reference only, not financial advice.

Frequently Asked Questions

What is an options strategy scanner?

An options strategy scanner evaluates active signals across stocks and ETFs and automatically matches each symbol to a suitable strategy based on IV-Rank, GEX, flow bias and Max Pain. It provides a daily overview of which strategy types are most relevant in the current market environment.

How is the top strategy determined?

Each symbol is scored against a rule-based system. IV-Rank above 80% favors premium selling (Short Put, Iron Condor). IV-Rank below 20% favors premium buying (Long Call, Long Put). Flow bias and GEX determine the directional tilt. Proximity to the GEX flip strike triggers volatility plays. The highest-scoring match is shown first.

What does "+N more" mean?

It means the current options data conditions match more than one strategy. The primary strategy shown is the best fit, but the alternatives are also valid. Click the link to open the symbol's Options Analysis tab and compare all setups with their payoff diagrams, advantages and risks side by side.

What is the difference between Sell Premium and Buy Premium?

Sell Premium strategies (Short Put, Short Call, Iron Condor) collect option premium upfront and favor high-IV environments where options are historically expensive. Buy Premium strategies (Long Call, Long Put, Long Straddle) pay a premium for directional or volatility exposure and favor low-IV environments where options are historically cheap.

How often is the scanner updated?

Once per trading day after the US market closes, using end-of-day options data. Signal assignments reflect the conditions as of the latest session.