Market Research

  • MSFT Options are telling a decent story

    MSFT Options are telling a decent story

    The 21‑day put/call ratio for MSFT is trending lower and sits well below its own 52‑week average, indicating a shift toward call dominance and increasingly bullish options sentiment…

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    4 min read

  • AXTI — Extreme Options Volatility in a Heavy Put Structure

    AXTI — Extreme Options Volatility in a Heavy Put Structure

    AXTI Volatility AXTI: Extreme IV in a Heavy Put Structure Options volatility near 166% with a Gamma Wall tilted toward puts and key levels clustered around 77, 79,…

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    4 min read

  • More Volatility Ahead or One-Off?

    More Volatility Ahead or One-Off?

    IV Crush / Daily Market Note Elevated MU Event IV Meets a Short-Gamma Index Tape Volatility, positioning, and macro sensitivity remain the central drivers into tomorrow’s data and…

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    4 min read

  • The Fed Pivot

    The Fed Pivot

    FOMC Breakdown · June 17–18, 2026 Warsh’s Hawkish Debut: No Cuts, One Possible Hike, and a Fed Rewired from the Inside Kevin Warsh’s first FOMC meeting delivered a…

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    4 min read

  • SPY – what’s next

    SPY – what’s next

    SPY Daily Chart Analysis SPY is still in an uptrend, but the tape looks extended and vulnerable to short-term consolidation. The daily structure remains bullish because price has…

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    4 min read

  • Catalysts for the week of 5/18

    Catalysts for the week of 5/18

    Weekly Market Risk Outlook Weekly Market Risk Outlook: May 15–22, 2026 This is one of the most catalyst‑laden weeks of 2026. Four macro‑level risk clusters converge at once:…

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    4 min read