OI Intraday

OI Intraday · SPX
OI Intraday · NDX
OI Intraday · Rut
OI Intraday · ES
OI Intraday · NQ
OI Intraday · SPY
OI Intraday · QQQ
OI Intraday · IWM

OI Intraday

Two NYSE sessions of 5-minute candles with the same ±1σ bands, gaps, VWAP, and call/put walls as the Intraday chart. The Y axis extends 0.5% below the session low and 0.5% above the session high. The right-hand panel shows open interest for the 0–1 day window (puts left, calls right).

Open-interest profile

Strikes run vertically; open interest runs horizontally. The green/red fill shows net OI dominance at each strike. Background bands behind price use the same net-OI rule.

  • ex 1DTE — dashed gray curve for next-calendar-day expiry only.
  • Header badge — dominant OI side near spot (Calls, Puts, or Neutral).

Net drift panel

Bottom strip aligned to the same time axis: cumulative call and put premium ($M) on the left axis; cumulative call/put contract volume (K) as filled bars on the right axis.

Levels on price

Horizontal call/put walls, gamma flip, and max pain use the same 0–1 day logic as the Intraday chart. Only levels within ±100 points of the last price are drawn.

OI Weekly

OI Weekly · SPX
OI Weekly · NDX
OI Weekly · Rut
OI Weekly · ES
OI Weekly · NQ
OI Weekly · SPY
OI Weekly · QQQ
OI Weekly · IWM

OI Weekly

Five RTH sessions with 30-minute candles — same gaps, weekly/monthly VWAP, and call/put walls as the Weekly Chart. The right-hand panel shows open interest for the ≤15 day window (puts left, calls right).

Open-interest profile

Strikes run vertically; open interest runs horizontally. The green/red fill shows net OI dominance at each strike. Background bands behind price use the same net-OI rule.

  • ex 1DTE — dashed gray curve for next-calendar-day expiry only.
  • Header badge — dominant OI side near spot (Calls, Puts, or Neutral).

Levels on price

Call/put walls, gamma flip, and max pain use the same ≤15 day logic as the Weekly Chart. Walls are spaced at least 5% of spot apart (up to two per side). Reference lines on the price panel are clipped to ±200 points of the last close.

Quarterly Chart

Quarterly Chart · SPX
Quarterly Chart · ES
Quarterly Chart · SPY

Quarterly Chart

Thirteen weeks of daily bars (SPX, ES, SPY tabs). The Y axis extends 2.5% below the window low and 2.5% above the window high, and expands to include COT and Fed fair-value scenarios when they fall outside that band. Put floor and call ceiling lines are clipped to ±300 points of the last close.

  • VWAP (q) — cumulative VWAP, reset each calendar quarter.
  • Put floor / call ceiling — outer strikes on the net-gamma curve.
  • JPM collar — short call, long put, short put; steps at quarter open (legend shows strike).
  • COT Cost Basis — levered-funds average entry from positioning data (pink dotted).
  • Fed Fair Value — earnings ÷ yield at current policy (cyan dotted).
  • Fed Cut / Hike .25% — fair value if the next meeting moves one 25 bp step down or up (orange dotted).

Badge states

  • Above VWAP — latest close is above quarterly VWAP (green).
  • Below VWAP — latest close is below quarterly VWAP (red).

Intraday Levels

Spot 7359

Intraday chart 0–1d

Max pain 7450

  • Spot 7359 7359
  • Put Wall (7320) 7320
  • Call Wall (7375) 7375
  • Gamma Flip (7481) 7481

Weekly chart ≤15d

Max pain 7450

  • Spot 7359 7359
  • Put Wall (7320) 7320
  • Gamma Flip (7482) 7482
  • Call Wall (7500) 7500

Gaps

  • Jun 22 Up 7428 – 7471

High open-interest zones

Calls 7505–7630 · centroid 7574 · 236.8K OI
Puts 7255–7380 · centroid 7315 · 207.4K OI

Spot 29453

Intraday chart 0–1d

Max pain 29500

  • Spot 29453 29453
  • Put Wall (29350) 29350
  • Gamma Flip (29399) 29399
  • Call Wall (30000) 30000

Weekly chart ≤15d

Max pain 29620

  • Spot 29453 29453
  • Put Wall (27200) 27200
  • Gamma Flip (29268) 29268
  • Gamma Flip* (29354) 29354
  • Put Wall (29400) 29400
  • Call Wall (29500) 29500
  • Call Wall (31200) 31200

Gaps

  • Jun 22 Up 29826 – 30317

High open-interest zones

Calls 29980–30470 · centroid 30197 · 2.4K OI
Puts 27000–27490 · centroid 27191 · 3.3K OI

Spot 3002

Intraday chart 0–1d

Max pain 2935

  • Spot 3002 3002
  • Gamma Flip* (2965) 2965
  • Put Wall (2975) 2975
  • Gamma Flip (2988) 2988
  • Call Wall (3005) 3005

Weekly chart ≤15d

Max pain 2950

  • Spot 3002 3002
  • Put Wall (2860) 2860
  • Gamma Flip (2993) 2993
  • Call Wall (3005) 3005

Gaps

  • Jun 24 Up 2986 – 2992

High open-interest zones

Calls 3040–3090 · centroid 3058 · 6.4K OI
Puts 2840–2890 · centroid 2857 · 18.9K OI

Spot 7425

Intraday chart 0–1d

Max pain 6400

  • Spot 7425 7425
  • Put Wall (7400) 7400
  • Call Wall (7450) 7450
  • Gamma Flip* (7520) 7520
  • Gamma Flip (7572) 7572

Weekly chart ≤15d

Max pain 7825

  • Spot 7425 7425
  • Put Wall (6900) 6900
  • Put Wall (7400) 7400
  • Call Wall (7525) 7525
  • Gamma Flip (7549) 7549

Gaps

  • Jun 22 Up 7496 – 7540

High open-interest zones

Calls 7615–7780 · centroid 7703 · 100.2K OI
Puts 6290–6455 · centroid 6371 · 182.1K OI

Spot 29744

Intraday chart 0–1d

Max pain 24500

  • Spot 29744 29744
  • Put Wall (29700) 29700
  • Gamma Flip* (30362) 30362
  • Call Wall (30500) 30500
  • Gamma Flip (31061) 31061

Weekly chart ≤15d

Max pain 24500

  • Spot 29744 29744
  • Put Wall (27500) 27500
  • Put Wall (29700) 29700
  • Gamma Flip* (30331) 30331
  • Call Wall (30500) 30500
  • Gamma Flip (30604) 30604

Gaps

  • Jun 22 Up 30193 – 30654

High open-interest zones

Calls 30450–31100 · centroid 30794 · 6.8K OI
Puts 25900–26550 · centroid 26161 · 8K OI

Spot 733

Intraday chart 0–1d

Max pain 625

  • Spot 733 733
  • Gamma Flip (732) 732
  • Call Wall (735) 735

Weekly chart ≤15d

Max pain 735

  • Spot 733 733
  • Gamma Flip (735) 735
  • Call Wall (735) 735

Gaps

  • Jun 22 Up 740 – 744

High open-interest zones

Calls 736–748 · centroid 742 · 122.7K OI
Puts 712–724 · centroid 718 · 115.3K OI

Spot 716

Intraday chart 0–1d

Max pain 700

  • Spot 716 716
  • Put Wall (680) 680
  • Gamma Flip (710) 710
  • Call Wall (720) 720

Weekly chart ≤15d

Max pain 715

  • Spot 716 716
  • Gamma Flip (714) 714
  • Put Wall (715) 715
  • Call Wall (720) 720

Gaps

  • Jun 22 Up 727 – 737

High open-interest zones

Calls 737–749 · centroid 742 · 77.8K OI
Puts 701–713 · centroid 707 · 84.6K OI

Spot 298

Intraday chart 0–1d

Max pain 292

  • Spot 298 298
  • Put Wall (285) 285
  • Gamma Flip (296) 296
  • Call Wall (299) 299

Weekly chart ≤15d

Max pain 290

  • Spot 298 298
  • Put Wall (292) 292
  • Gamma Flip (296) 296
  • Call Wall (300) 300

Gaps

  • Jun 24 Up 296 – 297

High open-interest zones

Calls 298–303 · centroid 300 · 37.5K OI
Puts 288–293 · centroid 291 · 50.1K OI

Intraday Levels

Text summary of the same call walls, put walls, gamma flip, and max pain drawn on the Intraday and Weekly charts. Tabs follow the intraday chart symbols.

Intraday uses the 0–1 day options window with spaced call/put walls (2.5% of spot, max two per side); Weekly uses the near-term ≤15 day window (5% spacing, max two per side). Gaps list open overnight ranges (filled gaps excluded) with the session date they opened. High open-interest zones show the OI-weighted centroid and strike band for the dominant call and put clusters near spot.

Regime

Regime

Cross-market regime badges updated from the latest macro, credit, equity, and volatility data. Each tile links to the full chart on Macro, Economy, or Volatility.

Fed Watch is first — dominant Cut/Hold/Hike from fed funds futures. Macro tiles (yield curve, credit, quad map, weighted breadth) link to their full charts on Macro or Economy.

Volatility tiles (VIX, index dispersion) use the same full-history z-score badges as Volatility Summary. Hover for raw level and z. Dispersion ratio, term structure, DIX, and GEX use their dedicated chart classifiers.

Green on vol tiles means normal vs history.

Economic Calendar

Time Event Kind Metric Previous Expected Actual Status
08:30 ET Gross Domestic Product Growth Level 31.86K Upcoming
Y/Y
M/M
08:30 ET Personal Income and Outlays Inflation Level 130.9 131.5 Upcoming
Y/Y
M/M +0.43% +0.43%
08:30 ET Unemployment Insurance Weekly Claims Report Labor Level 226K 223K Upcoming
Y/Y
M/M -3000K -3000K
11:00 ET Atlanta Fed GDPNow (Q2) Growth Level 3.75 6.25 Upcoming
M/M +202.36% +66.93%
12:30 ET Atlanta Fed GDPNow (Q2) Growth Level 3.75 6.25 Upcoming
M/M +202.36% +66.93%
08:30 ET Employment Situation Labor Level 159K 159.27K Upcoming
Y/Y
M/M +265K +265K
08:30 ET Unemployment Insurance Weekly Claims Report Labor Level 226K 223K Upcoming
Y/Y
M/M -3000K -3000K
12:30 ET Atlanta Fed GDPNow (Q2) Growth Level 3.75 6.25 Upcoming
M/M +202.36% +66.93%
12:30 ET Atlanta Fed GDPNow (Q2) Growth Level 3.75 6.25 Upcoming
M/M +202.36% +66.93%
Guide

Each release shows separate rows for the headline level, month-over-month change, and year-over-year change when available. Previous is the last print; Actual fills in after the release. GDPNow and Fed projection rows use level only. Statement and press conference rows show a status when released or live.

Upcoming — before the scheduled time (countdown shown). Soon — release window (~15 minutes after the print time while waiting for data). Late — past the window with no actual yet. Released — actual is in.

Payrolls-style series show M/M as a thousands change (K). Policy rate decisions show M/M as basis points (bps). Click the event name to jump to the related chart on Credit.