Flow scanner

2026-08-05 12:48

Open report

Bullish — calls bought / puts sold

  1. 1.WYNNBullish call buying flagged in long-dated 90C activity.
  2. 2.SNDKBullish call buying stands out with heavy 1920C interest.
  3. 3.AMDBullish call flow targets 620C in a far-dated contract.
  4. 4.ALABBullish call buying centers on the 400C strike.
  5. 5.RIOTBullish call flow shows appetite for the 25C strike.
  6. 6.MSFTPut selling appears bullish despite the large 500P trade.
  7. 7.GOOGLBullish call buying targets the 405C strike.
  8. 8.SPCXBullish call buying shows in the 350C strike.
  9. 9.MSTRBullish call flow targets the 105C strike.
  10. 10.CPNGBullish call buying appears in the 17C strike.

Bearish — puts bought / calls sold

  1. 1.SPYBearish put flow led by the 670P expiring 2026-12-18.
  2. 2.DDOGPut buying targets the 275P ahead of earnings.
  3. 3.IGVBearish positioning centers on the 95P.
  4. 4.SPCXPut flow highlights the 105P contract.
  5. 5.EOXPut buying is concentrated in the 10P.
  6. 6.NVDABearish flow targets the 215P.
  7. 7.SNDKPut flow centers on the 850P into earnings today.
  8. 8.GCTBearish spread flow focuses on the 50/40P.
  9. 9.AVGOPut buying targets the 417.5P.
  10. 10.MUBearish flow is anchored by the 905P.

Unusual Whales

Cool Puts

screenshot
#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1DDOG230P2024-11-20$4.3M$287·fmp2,6071410%9Highest premium single put at $4.33M with 2,607 volume vs 141 OI indicating fresh positioning; 107d DTE, 20% OTM on DDOG (Technology sector; large OTM distance suggests speculative or hedge)
2SNDK1350P2024-08-14$3.1M$1436·fmp2971420%9Second highest premium at $3.15M; only 9 DTE with 2% OTM — very near-the-money short-dated put on SNDK (Extremely short DTE; could be earnings hedge or gamma play)
3SNDK1335P2024-08-14$3.1M$1436·fmp319260%9$3.09M premium, 319 vol vs 26 OI — massive new positioning; 4% OTM, 9 DTE. Paired with 1350P suggests a put spread or layered hedge (Very short-dated; likely multi-leg with the 1350P)
4AMD340P2024-08-18$2.7M$528·fmp7,5735,0580%8$2.73M premium with very high volume of 7,573; 30% OTM deep put on AMD, 44d DTE (30% OTM is very deep; likely tail-risk hedge or part of spread)
5SPCX70P2024-08-18$2.6M$126·fmp34,1815,8050%8Enormous volume of 34,181 vs 5,805 OI; $2.59M premium on 36% OTM put with +2,600 OI change (Very deep OTM; likely part of multi-leg strategy)
6WDC430P2024-11-20$2.5M$522·fmp539990%8$2.53M premium; 107d DTE, 18% OTM; vol/OI ratio of 5.4x suggests fresh positioning on WDC
7MCHP60P2024-10-16$2.3M$78.36·fmp10,0261,6150%8$2.31M premium with 10,026 volume vs 1,615 OI; 24% OTM, 72d DTE — heavy put buying on MCHP
8BE235PITM2024-08-21$2.0M$231·fmp8165300%8$2.02M premium; only 1% OTM (strike 235 vs stock $236.19) — near ATM put with +502 vol and +1,793 OI change; 16d DTE (Near ATM with short DTE; high gamma exposure)
9SEI365PITM2024-08-21$2.7M$55.92·fmp5,6145690%7$2.72M premium with 5,614 volume vs 569 OI; significant new activity (Strike of 365 vs stock at $56.50 seems unusual — possible data anomaly or different underlying scale)
10DELL370P2024-08-21$2.3M$473·fmp8842480%7$2.29M premium; 21% OTM, 16d DTE; vol/OI of 3.6x on DELL puts (Short-dated and deep OTM)
  • SNDK 1225P 2024-08-07 — discounted: Only 2 DTE, likely closing/rolling position; -27 OI change suggests unwinding
  • PG 140P 2024-08-18 — discounted: 5% OTM consumer defensive put with low volume relative to OI; likely routine hedge

Unusual Whales

Puke Puts

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#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1SPCX105P2024-08-14$4.3M$126·fmp11,4944,5880%9Highest premium single put at $4.35M with massive volume 11,494 vs OI 4,588. Volume/OI ratio ~2.5x suggests new positioning. (SPCX is an ETF; ticker reading confidence medium.)
2DDOG275P2026-08-07$3.7M$287·fmp2,7003990%8$3.71M premium on DDOG 275P with volume 2,700 vs OI 399 (~6.8x). Large new put position ahead of potential catalysts. (2d DTE suggests very short-dated; could be earnings-related hedge.)
3NVDA215PITM2017-08-17$3.5M$213·fmp15,6241,3450%8Massive volume 15,624 vs OI 1,345 (~11.6x ratio). $3.52M premium on NVDA puts. Extreme volume/OI ratio signals urgency. (Contract date appears to be 08/17/2026 based on 12d DTE context; screenshot date parsing uncertain.)
4DDOG285P2026-08-14$2.5M$287·fmp1,253770%8$2.47M premium, volume 1,253 vs OI 77 (~16x ratio). Second large DDOG put reinforcing bearish cluster. (Very high volume/OI ratio.)
5EOX10P2026-08-21$3.9M7,1842,5690%7$3.9M premium with massive volume 7,184 vs OI 2,569. Very cheap option avg $0.54 but huge notional. (Ticker reading uncertain; low-priced underlying.)
6SNDK850P2026-08-28$3.0M$1436·fmp2181000%7$2.97M premium on SNDK 850P. Large single-name put with 23d DTE. (SNDK ticker reading uncertain; could be misread.)
7AVGO417.5P2026-08-14$2.4M$421·fmp2,09213100%7$2.37M premium with volume 2,092 vs OI of only 13 — massive new position. 100% multi-leg noted. (100% multi-leg suggests spread structure; directional intent unclear.)
8MU905PITM2026-08-21$2.2M$897·fmp3447754%7$2.24M premium on deep put with high avg option price $65.20. 54% multi-leg. (Strike 905 on MU seems unusual; may be reading error or adjusted contract.)
9AMD420P2026-08-14$1.3M$528·fmp3,5991,2890%7$1.27M premium with volume 3,599 vs OI 1,289 (~2.8x). AMD put activity notable.
10LITE832.5P2026-08-07$1.0M$858·fmp380110%6$1.04M premium with volume 380 vs OI 11 (~34.5x ratio). Extremely high volume/OI on 2d DTE put. (Very short-dated; likely earnings or event-driven.)
  • AVGO 417.5P 2026-08-14 — discounted: 100% multi-leg — likely part of a spread, directional intent unclear

Unusual Whales

Big Calls

screenshot
#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1SNDK1920C2026-12-18$10.8M$1436·fmp45614994%94%9Largest premium trade on the screen at $10.8M. 1920 strike call on SNDK expiring Dec 2026. 39% OTM with 94% ask-side fills suggesting aggressive buying. High multi-leg percentage (94%) tempers directional conviction. (94% multi-leg — likely part of a spread, not a pure directional bet.)
2GOOGL405C2027-01-15$7.0M$380·fmp3,2541,01890%90%8Second largest premium at $7.01M. GOOGL 405C Jan 2027, 12% OTM. High volume (3,254) vs OI (1,018) suggests new positioning. 90% ask-side. (90% multi-leg percentage.) · also on Bulltard · Calls Bought
3ALAB400C2027-01-15$6.3M$365·fmp5,84454190%90%8Third largest premium at $6.25M. Extremely high volume (5,844) vs OI (541) — over 10x ratio indicating massive new interest. 23% OTM bullish bet on ALAB. (90% multi-leg. Large OTM distance (23%).)
4DVA220C2027-01-15$6.7M$188·fmp6,50910100%100%7Massive volume (6,509) vs near-zero OI (10) — entirely new positions. $6.68M premium, 100% ask-side. Healthcare sector. 17% OTM. (100% multi-leg — almost certainly a spread structure. Discount accordingly.) · also on Big Calls ex megacaps
5CPNG17C2027-06-17$6.1M$16.05·fmp18,226650100%100%7Enormous volume (18,226) vs OI (650). $6.09M premium on a low-priced stock. 6% OTM, long-dated 316 DTE. Consumer Cyclical sector. (100% multi-leg. Low-priced underlying makes percentage moves volatile.) · also on Big Leaps
6SNDK1470C2026-07-02$5.0M$1436·fmp80138748%67%7SNDK second entry at $4.98M. 1470 strike, 6% OTM. Avg option price $62.23 vs last $47.60 suggests price moved against the position or was filled at various levels. (67% multi-leg. Avg vs last divergence.)
7AMD630C2026-11-20$4.0M$528·fmp1,21576199%67%7AMD bullish call at $3.96M. 630 strike is ~30% OTM. 99% ask-side fills show aggressive buying. 107 DTE. (67% multi-leg. Significantly OTM.)
8MSFT535C2026-09-18$3.9M$498·fmp4,51161668%91%7MSFT $3.87M premium. High volume (4,511) vs OI (616). 535 strike ~9% OTM with 44 DTE. 48% ask-side suggests mixed aggression. (91% multi-leg. Relatively short DTE for the OTM distance.) · also on Hot Calls
9TSLA327.5C2026-12-02$2.8M$322·fmp4,93527379%79%7TSLA near-the-money call (2% OTM). $2.75M premium with high volume (4,935) vs OI (273) — 18x ratio. 79% ask-side. Consumer Cyclical sector. (79% multi-leg.)
10RIOT25C2027-01-22$6.1M$21.71·fmp34,50323,2742%83%6Massive volume (34,503) and high OI (23,274). $6.08M total premium. However, only 2% ask-side — overwhelmingly bid-side fills suggest selling/closing activity. (2% ask-side — likely sellers, not buyers. 83% multi-leg.)
  • DVA 220C 2027-01-15 — discounted: 100% multi-leg, 100% ask — structured spread, not pure directional
  • CPNG 17C 2027-06-17 — discounted: 100% multi-leg
  • RIOT 25C 2027-01-22 — discounted: 83% multi-leg and only 2% ask-side — likely selling/closing, not bullish opening
  • SNDK 1920C 2026-12-18 — discounted: 94% multi-leg — likely part of a complex spread
  • SNDK 1650C 2026-08-21 — discounted: 74% multi-leg, 79% ask

Unusual Whales

Hot Calls

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#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1ALAB400C2026-08-21$6.3M$365·fmp5,8475410%9Highest premium call at $6.25M. Volume 5,847 vs OI 541 (~10.8x ratio) signals aggressive new positioning. Technology sector, 90d DTE. (OTM -68%, last price $8.60 well below avg $10.69 suggesting price may have moved against the position.) · also on Big Calls ex megacaps, Urgent Calls, Bulltard · Calls Bought
2MSFT535C2026-09-18$3.9M$498·fmp4,5116160%9Second highest premium at $3.87M on MSFT. Volume 4,511 vs OI 616 (~7.3x). Mega-cap tech bullish bet, 44d DTE. (OTM -17%, relatively short-dated for the OTM distance.) · also on Big Calls
3AMD520CITM2025-09-04$3.3M$528·fmp1,224830%8$3.31M premium on AMD 520C. Volume 1,224 vs OI 83 (~14.7x ratio) indicates very aggressive new opening. 30d DTE, short-dated conviction. (OTM -49%, needs significant move. OI +30 and +57% suggest building interest.)
4ALAB365C2026-09-18$2.5M$365·fmp85530%8Second ALAB entry at $2.55M. OI only 3 with volume 855 — massive new position opening. +100% OI change. 44d DTE. (OTM -48%, needs large rally. Combined with other ALAB entry totals ~$8.8M bullish ALAB exposure.)
5CE45C2026-09-18$2.3M$43.13·fmp10,686690%8$2.26M premium with enormous volume 10,686 vs OI 69 (~155x ratio). Extremely aggressive new positioning. Basic Materials sector, 44d DTE. (OTM -45%, deeply out of the money. Last $2.55 above avg $2.11 shows escalating buying.)
6PH1030C2026-09-18$2.1M$998·fmp50410%8$2.14M premium on PH with OI of just 1 — entirely new position. Volume 504. Industrials sector, 44d DTE. +16% OTM. (Last $36.24 well below avg $42.47, price deteriorating during the session.)
7AXON630C2026-08-07$2.3M$607·fmp663560%7$2.32M premium on AXON calls. Volume 663 vs OI 56 (~11.8x). Industrials sector, 2d DTE — very near-term expiry. (Only 2 DTE, extremely short-dated. Last $30.30 below avg $34.98, price declining.) · also on Big Calls ex megacaps
8DFTX45C2026-08-21$2.3M$43.87·fmp5,6348640%7$2.3M premium with very high volume 5,634 vs OI 864 (~6.5x). Last $5.19 above avg $4.07 suggests aggressive buying at higher prices. Healthcare sector. (OTM +42%, already ITM. 1d DTE — expiring imminently.) · also on Big Calls ex megacaps
9CCJ110C2026-09-18$1.9M$94.54·fmp8,2992,8670%7$1.87M premium on CCJ uranium play. Volume 8,299 vs OI 2,867 (~2.9x). Energy sector, 44d DTE. OTM +13%. (OI +115 and +4% suggests gradual buildup. -7% daily move in underlying.)
10TE6C2026-09-18$576k$5.28·fmp6,8562,67275%6$576K premium on TE with volume 6,856 vs OI 2,672 (~2.6x). OI change +648 (+32%). Industrials sector, 44d DTE. Notable volume spike. (75% multi-leg activity suggests spread trading rather than directional conviction. 13d earnings.)
  • KHC 26C 2026-08-14 — discounted: OTM -65% with 9 DTE, extremely unlikely to reach strike. Volume 18,537 but likely speculative lottery ticket or part of complex strategy.
  • PLTR 167.5C 2026-09-18 — discounted: OTM -51% with 44d DTE, very aggressive OTM positioning. +387 OI change and +109% suggests possible spread activity.

Unusual Whales

Big Leaps

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#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1MSTR105C2028-12-15$9.9M$48.972,0286890%10Largest premium on the page at $9.93M. MSTR 105 call expiring Dec 2028 with 863 DTE. Massive bullish conviction trade on Bitcoin proxy. (Stock column shows ~$48.97 which seems low for MSTR; may be reading avg option price. Verify spot price.; FMP $97.58 ignored (≠ screener Stock; kept UW spot))
2CPNG17C2027-06-17$6.1M$16.05·fmp18,2266500%9Second largest premium at $6.09M with enormous volume of 18,226 contracts. CPNG 17 call slightly OTM (6%) with 316 DTE. Extremely high volume suggests institutional accumulation. · also on Big Calls
3AMD1120C2028-06-16$4.0M$528·fmp4264910%9Very large $4M+ premium on deep OTM AMD 1120 call with 132% OTM and 681 DTE. Extremely bullish long-term bet requiring AMD to more than double. (132% OTM is extremely aggressive. High risk of total loss if AMD doesn't reach $1120.)
4SPCX350C2027-06-17$3.2M$126·fmp2,9685410%8$3.21M premium on SPCX 350 call, 220% OTM. Very speculative long-dated bullish bet with high volume of 2,968. (220% OTM is extremely speculative. SPCX is a less liquid name.)
5U45C2027-12-17$2.2M$35.38·fmp2,2433010%8$2.22M premium on Unity 45 call with 499 DTE. 28% OTM with earnings in 1 day. Large positioning ahead of catalyst. (Earnings imminent (1 day) could cause significant IV crush post-event.) · also on Small Cap Calls
6BA260C2028-12-15$2.1M$241·fmp377300%8$2.14M premium on Boeing 260 call with 863 DTE. Only 8% OTM with very low OI of 30, suggesting new position opening. Long-term recovery bet.
7APA50C2028-01-21$2.0M$34.66·fmp5,025850%8$2.01M premium on APA 50 call with 534 DTE. 44% OTM with massive volume of 5,025 vs only 85 OI — clearly new positions. Energy sector bullish bet. (44% OTM requires significant move in energy prices.) · also on Small Cap Calls
8SPCX115C2027-03-19$1.9M$109691690%7$1.85M on SPCX 115 call, only 4% OTM with 226 DTE. Near-the-money positioning with volume 10x OI. (FMP $126.42 ignored (inconsistent with 115C))
9EXE120C2028-01-21$1.8M$90.54·fmp3,1124480%7$1.84M premium on EXE 120 call, 32% OTM with 534 DTE. Volume of 3,112 vs 448 OI shows significant new interest. Energy sector. (32% OTM requires meaningful upside.) · also on Small Cap Calls
10PG150C2027-06-17$1.6M$147·fmp1,4113120%7$1.61M on PG 150 call with 316 DTE. Only 2% OTM on a defensive consumer staple. Near-the-money LEAP with solid volume.

Unusual Whales

Big Calls ex megacaps

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#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1DVA220C2027-01-15$6.7M$188·fmp6,509100%9Largest single premium on the page at $6.68M. Massive volume of 6,509 vs OI of 10 indicates fresh positioning. Long-dated LEAPS call on DVA with 163 DTE. (OTM 17%, volume dwarfs OI suggesting entirely new position.) · also on Big Calls
2ALAB400C2026-08-21$6.3M$365·fmp5,8595410%9Second largest premium at $6.26M with 5,859 volume. 16 DTE call on ALAB at 400 strike, significantly OTM from $321.11 spot. Very aggressive bullish bet. (25% OTM with only 16 DTE — needs a massive move to be profitable.) · also on Hot Calls, Urgent Calls, Bulltard · Calls Bought
3RIOT25C2026-08-21$6.1M$21.71·fmp18,2266500%9Third largest premium at $6.09M with enormous volume of 18,226 vs OI 650. Crypto-adjacent play with 15% OTM. Fresh massive positioning. (0% OTM listed but 15% visible — needs crypto rally. Last price $3.40 vs avg $1.76 suggests price moved during session.) · also on Urgent Calls
4CPNG17C2026-08-21$3.3M$16.05·fmp16,1000%8Large premium with very high volume of 16,100. Consumer cyclical name with 163 DTE. (Strike and spot hard to read precisely.)
5VST170C2026-11-20$2.6M$141·fmp3,129630%8$2.65M premium on utilities name VST. 107 DTE with earnings in 2 days. Volume 3,129 vs OI 63 — entirely new position ahead of earnings. (Earnings in 2 days adds significant event risk. 20% OTM.)
6ALAB365C2026-08-04$2.5M$365·fmp85530%8Second ALAB call with $2.55M premium. 30 DTE, 14% OTM. Combined with the 400C, over $8.8M in ALAB call premium visible. (Short-dated and OTM; needs quick move higher.)
7AXON630C2026-08-07$2.3M$607·fmp663560%7$2.32M premium on AXON 630C with only 2 DTE. Very short-dated aggressive call. Volume 663 vs OI 56. (Only 2 DTE — extremely time-sensitive. 4% OTM.) · also on Hot Calls
8DDOG290C2026-08-14$2.3M$287·fmp1,2668830%7$2.32M on DDOG 290C ahead of earnings in 1 day. Volume 1,266 vs OI 883. Positioned just OTM at 1% from $286.68 spot. (Earnings in 1 day — binary event risk.)
9DFTX45C2026-08-21$2.3M$43.87·fmp5,6348640%7$2.3M premium with high volume of 5,634 vs OI 864. Healthcare name with earnings in 1 day. Last price $5.19 well above avg $4.07 suggesting aggressive buying. (Earnings in 1 day. 2% OTM.) · also on Hot Calls
10CE110C2026-09-18$2.3M$94.5310,713690%7$2.26M on CE with massive volume of 10,713 vs OI of only 69 — entirely fresh position. Basic Materials name, 44 DTE, 16% OTM. (16% OTM needs significant rally. Last $1.96 below avg $2.25.; FMP $43.13 ignored (≠ screener Stock; kept UW spot))

Unusual Whales

Small Cap Calls

screenshot
#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1U45C2027-12-17$2.2M$35.38·fmp2,2443010%9Largest premium on screen at $2.22M. 2,244 volume vs 301 OI indicates fresh positioning. 45 strike is ~28% OTM with long-dated 499 DTE expiry. Bullish bet on Unity recovery. (Stock at $35.17 needs significant rally to reach 45 strike.) · also on Big Leaps
2APA50C2028-01-21$2.0M$34.66·fmp5,025850%9Second largest premium $2.01M with massive volume 5,025 vs only 85 OI — clearly new positions. 44% OTM, long-dated LEAPS. Very aggressive bullish energy bet. (APA at $34.70 needs ~44% move to reach 50 strike. Energy sector volatility.) · also on Big Leaps
3EXE120C2028-01-21$1.8M$90.54·fmp3,1124480%8Third largest premium $1.84M, volume 3,112 vs 448 OI. 32% OTM call with 534 DTE. Strong conviction bullish LEAPS in Energy. (Needs ~32% upside from $90.59 spot.) · also on Big Leaps
4CRCL90C2028-01-21$1.6M$63.35·fmp7505330%8$1.55M premium, 42% OTM LEAPS call. Volume 750 vs 533 OI shows new interest. Financial Services sector. (42% OTM, needs substantial move from $63.34.)
5RDDT250C2027-12-15$915k$155·fmp200690%7$915K premium on RDDT 250 call, 61% OTM with 863 DTE. Deep OTM long-dated bullish bet on Reddit. Volume 200 vs 69 OI. (Very deep OTM at 61%, needs massive rally from $155.35.)
6ASTS100C2027-12-15$845k$68.34·fmp2380%7$845K premium, 47% OTM LEAPS. Communication Services. Earnings in 5 days adds urgency. 100% IV noted. (High IV environment, earnings imminent could cause IV crush post-event.)
7ZETA30C2027-03-19$430k$27.42·fmp8022630%7$430K premium, volume 802 vs 263 OI. +217% OI change suggests rapidly building interest. Technology sector. +21% daily change on stock. (Large daily stock move (+21%) may mean chasing momentum.)
8BIRK4.5CITM2028-01-21$595k$37.56·fmp792250%6$595K premium with 792 volume vs 25 OI — heavily new positions. Consumer Cyclical sector. (Strike reading uncertain at 4.5 — may be misread from screenshot. Verify strike.)
9WULF35C2027-12-17$384k$19.02·fmp8604330%6$384K premium, 91% OTM — extremely aggressive bullish bet. Volume 860 vs 433 OI. Financial Services / crypto-adjacent miner. (91% OTM is extremely speculative; needs stock to nearly double.)
10AAL27C2027-12-17$96k$16.53·fmp530960%5Volume 530 vs 96 OI shows fresh call buying. 62% OTM LEAPS on AAL (Industrials). Modest $96K premium but strong volume/OI ratio. (62% OTM, airline sector is volatile and capital-intensive.)
  • GOOD 15C 2027-03-19 — discounted: Very low premium (~$3K), 0% daily change, low volume 200 — likely noise or illiquid positioning
  • LCID 30C 2027-12-17 — discounted: 353% OTM, stock at $6.63 with 30 strike — extremely speculative, -55% daily change on stock, -33% premium decline

Unusual Whales

Urgent Calls

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#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1ALAB400C2026-08-21$6.3M$365·fmp5,8645410%10Highest premium call at $6.27M. Volume 5864 far exceeds OI 541 (~10x). 25% OTM LEAPS-style bet on ALAB with significant conviction. (71% below avg fill on last price suggests price moved against or was filled in pieces; 25% OTM is aggressive.) · also on Hot Calls, Big Calls ex megacaps, Bulltard · Calls Bought
2RIOT25C2026-08-21$6.1M$21.71·fmp34,57923,2740%9Massive $6.09M premium with enormous volume of 34,579 vs OI 23,274. Bitcoin miner LEAPS call. Volume exceeds OI indicating fresh positioning. (15% OTM; crypto-correlated name is highly volatile. Last price well below avg suggests declining premium.) · also on Big Calls ex megacaps
3SNDK1520C2026-07-07$3.4M$1436·fmp7831800%9$3.38M premium, volume 783 vs OI 180 (~4.4x). Large bullish bet on SNDK with 10% OTM strike. Volume/OI ratio signals new interest. (Last price significantly below avg, price may have deteriorated during session.)
4AMD520CITM2026-07-07$3.3M$528·fmp1,224830%9$3.31M premium with volume 1224 vs OI 83 (~14.7x). Extremely high vol/OI ratio indicates aggressive new positioning in AMD calls. (8% OTM; AMD is volatile around earnings cycles.)
5ALAB365C2026-04-04$2.5M$365·fmp85530%9$2.55M premium with OI of only 3 — virtually all new positions. 14% OTM with 30d DTE. Extremely concentrated new bet. (Very low OI means this is a single large trader; liquidity risk on exit.)
6AMZN275CITM2026-08-14$3.0M$278·fmp6,8142,2610%8$3.02M premium on near-ATM AMZN calls (1% OTM). Volume 6814 vs OI 2261 (~3x). Consumer cyclical mega-cap with 85d to earnings. (Short-dated relative to premium size; needs quick move.)
7TSLA327.5C2026-08-12$2.8M$322·fmp4,9502730%8$2.76M premium. Volume 4950 vs OI 273 (~18x) — massive vol/OI ratio. Near-ATM TSLA call with only 2% OTM. Very aggressive new positioning. (Short DTE (7d), needs immediate move. High theta decay risk.)
8DDOG290C2026-07-07$2.3M$287·fmp663560%8$2.32M premium, vol 663 vs OI 56 (~12x). Near-ATM DDOG call. Strong vol/OI ratio signals fresh aggressive buying. (Only 2d DTE — extremely short-dated, likely a momentum/event play.)
9AXON630C2026-07-07$2.3M$607·fmp663560%8$2.32M premium on AXON 630C. Industrials sector call with 4% OTM. Volume signals fresh interest. (Short DTE; last price below avg suggests fading momentum intraday.)
10SNDK1650C2026-08-14$1.6M$1436·fmp3581480%7$1.62M premium on deep OTM (20%) SNDK call. Second SNDK entry in top 30 reinforces bullish cluster thesis. (20% OTM with moderate DTE; needs significant rally.)

James Bulltard

Bulltard · Calls Bought

#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1WYNN90CITM2026-12-18$30.9M$102·fmp18,0000%11Calls Bought — 18,000 contracts (Bulltard institutional log).
2AMD620C2027-03-19$6.8M$528·fmp1,0000%10Calls Bought — 1,000 contracts (Bulltard institutional log).
3ANET200C2026-12-18$6.4M$200·fmp2,0000%9Calls Bought — 2,000 contracts (Bulltard institutional log).
4NVDA220C2026-08-21$6.0M$213·fmp10,0000%8Calls Bought — 10,000 contracts (Bulltard institutional log).
5GOOGL405C2027-01-15$5.5M$380·fmp2,0000%7Calls Bought — 2,000 contracts (Bulltard institutional log). · also on Big Calls
6ALAB400C2026-08-21$4.9M$365·fmp5,0000%6Calls Bought — 5,000 contracts (Bulltard institutional log). · also on Hot Calls, Big Calls ex megacaps, Urgent Calls
7META700C2027-03-19$4.9M$587·fmp1,0000%5Calls Bought — 1,000 contracts (Bulltard institutional log).
8APP600C2027-02-19$4.7M$419·fmp1,0000%4Calls Bought — 1,000 contracts (Bulltard institutional log).
9TTMI135C2026-09-18$2.9M$131·fmp1,5000%3Calls Bought — 1,500 contracts (Bulltard institutional log).
10GLXY17.5CITM2026-12-18$2.5M$19.25·fmp4,4000%2Calls Bought — 4,400 contracts (Bulltard institutional log).

James Bulltard

Bulltard · Puts Bought

#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1SPY670P2026-12-18$10.4M$773·fmp15,0000%11Puts Bought — 15,000 contracts (Bulltard institutional log).
2IGV95P2026-12-18$5.8M$102·fmp12,5000%10Puts Bought — 12,500 contracts (Bulltard institutional log).
3GCT50/40P2026-08-21$2.4M$46.13·fmp5,1000%9Puts Bought — 5,100 contracts (Bulltard institutional log).
4COHR270P2026-09-18$2.0M$330·fmp1,0000%8Puts Bought — 1,000 contracts (Bulltard institutional log).
5DASH200P2026-08-07$1.5M$205·fmp2,3000%7Puts Bought — 2,300 contracts (Bulltard institutional log).
6IWM288P2026-08-21$1.2M$300·fmp12,0000%6Puts Bought — 12,000 contracts (Bulltard institutional log).
7IBP250/220P2026-08-21$1.2M$244·fmp1,0000%5Puts Bought — 1,000 contracts (Bulltard institutional log).
8XRT85P2026-12-18$1.2M$91.61·fmp5,0000%4Puts Bought — 5,000 contracts (Bulltard institutional log).
9UCTT90PITM2026-09-18$972k$81.47·fmp6000%3Puts Bought — 600 contracts (Bulltard institutional log).
10DAVE320P2026-12-18$884k$429·fmp3000%2Puts Bought — 300 contracts (Bulltard institutional log).

James Bulltard

Bulltard · Puts Sold

#TickerStrikeExpiryPremiumSpotVolOIAsk%Multi%ScoreReason
1MSFT500P2028-01-21$8.0M$498·fmp1,1000%11Puts Sold — 1,100 contracts (Bulltard institutional log).
2RMBS100PITM2026-08-21$4.0M$98.47·fmp5,0000%10Puts Sold — 5,000 contracts (Bulltard institutional log).
3PLTR175PITM2026-10-16$3.8M$164·fmp1,6200%9Puts Sold — 1,620 contracts (Bulltard institutional log).
4SHOP110P2026-10-16$3.5M$145·fmp16,3500%8Puts Sold — 16,350 contracts (Bulltard institutional log).
5BE200P2028-06-16$3.2M$231·fmp3500%7Puts Sold — 350 contracts (Bulltard institutional log).
6GOOGL365P2026-12-18$3.1M$380·fmp1,0000%6Puts Sold — 1,000 contracts (Bulltard institutional log).
7SLV50P2027-03-19$3.1M$56.09·fmp8,0000%5Puts Sold — 8,000 contracts (Bulltard institutional log).
8NVDA190P2026-09-04$2.5M$213·fmp13,0000%4Puts Sold — 13,000 contracts (Bulltard institutional log).
9WDC430P2026-11-20$2.4M$522·fmp5000%3Puts Sold — 500 contracts (Bulltard institutional log).
10SPCX70P2026-09-18$2.4M$126·fmp30,0000%2Puts Sold — 30,000 contracts (Bulltard institutional log).

Bullflow

Bullflow · Urgent Size & Sig

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#TickerStrikeExpiryLikelyPremiumSpotVolOIAsk%Multi%ScoreReason

Ticker clusters (across filters)

  • ALAB 8 contracts · $37.5MBig Calls, Hot Calls, Big Calls ex megacaps, Urgent Calls, Bulltard · Calls Bought
  • SNDK 7 contracts · $30.0MCool Puts, Puke Puts, Big Calls, Urgent Calls
  • AMD 7 contracts · $25.4MCool Puts, Puke Puts, Big Calls, Hot Calls, Big Leaps, Urgent Calls, Bulltard · Calls Bought
  • RIOT 3 contracts · $18.3MBig Calls, Big Calls ex megacaps, Urgent Calls
  • GOOGL 3 contracts · $15.7MBig Calls, Bulltard · Calls Bought, Bulltard · Puts Sold
  • MSFT 3 contracts · $15.7MBig Calls, Hot Calls, Bulltard · Puts Sold
  • CPNG 3 contracts · $15.5MBig Calls, Big Leaps, Big Calls ex megacaps
  • DDOG 5 contracts · $15.2MCool Puts, Puke Puts, Big Calls ex megacaps, Urgent Calls
  • SPCX 5 contracts · $14.4MCool Puts, Puke Puts, Big Leaps, Bulltard · Puts Sold
  • DVA 2 contracts · $13.4MBig Calls, Big Calls ex megacaps
  • NVDA 3 contracts · $12.1MPuke Puts, Bulltard · Calls Bought, Bulltard · Puts Sold
  • AXON 3 contracts · $7.0MHot Calls, Big Calls ex megacaps, Urgent Calls
  • TSLA 2 contracts · $5.5MBig Calls, Urgent Calls
  • BE 2 contracts · $5.2MCool Puts, Bulltard · Puts Sold
  • WDC 2 contracts · $5.0MCool Puts, Bulltard · Puts Sold
  • DFTX 2 contracts · $4.6MHot Calls, Big Calls ex megacaps
  • CE 2 contracts · $4.5MHot Calls, Big Calls ex megacaps
  • U 2 contracts · $4.4MBig Leaps, Small Cap Calls
  • APA 2 contracts · $4.0MBig Leaps, Small Cap Calls
  • EXE 2 contracts · $3.7MBig Leaps, Small Cap Calls