BKNG
Booking Holdings Inc. Common StClose $156.95EOD onlyThis page reflects BKNG options positioning from the latest published market-close snapshot. Intraday price and contract changes are not displayed.
Consensus-supported lens with chain history and key metrics in the rail.
Outlook
BKNG below MP $160, gamma pinning, mixed flow. SPY/QQQ up, dealer long gamma support. Near-term neutral-to-bullish, drift to $155-160. Confidence 6.5.
Conflicts: Mixed flow, high vol, resistance $160
Regime Classification
Price Range Forecast
Key Levels
Dealer Positioning (GEX/DEX)
GEX: $+3.0M
DEX: +20.3M shares
Gamma flip: ~$140 (Approx โ based on put OI concentration of 5,257 (10.8% below spot))
NTM gamma: NTM GEX +$3M, DEX +20.3M, flip $140
IV Analysis
IV vs VIX: IV rich vs VIX 17
Term structure: Steep near 2d expiry
Skew: Skew neutral, no arb
Flow Analysis
Net premium: Net premium -$51.4M, P/C vol ratio 0.9, indicates bearish flow.
Directional prints: 53.6 put 180 ITM 2027-03-19 โ Vol 500 vs OI 268 (vol/OI 1.9). Deep OTM put buying likely bearish speculation.
Unusual: 52.7 call 154.8 ITM 2027-03-19 โ Vol 706 vs OI 276 (vol/OI 2.6). Unusual ITM call activity, possibly bearish sold given net premium. 53.6 put 180 ITM 2027-03-19 โ Vol 500 vs OI 268 (vol/OI 1.9). Deep OTM put buying, bearish. 87.9 call 230 OTM 2026-06-26 โ Vol 320 vs OI 180 (vol/OI 1.8). Deep ITM call with high IV, cheap premium; unclear side.
Risks & Catalysts
Strategy Viability
| Strategy | Edge | Best Setup | Primary Risk |
|---|---|---|---|
| Put credit spread | Moderate-Weak | Sell 2026-06-05 $150.00/$140.00 put spread Why now: Bearish flow may be overdone; selling put premium near support captures theta. | Gap down below 155 could cause losses. Liquidity constraints: long_put: Wide spread (141%). |
| Call diagonal | Moderate | Sell 2026-06-18 $166.00 call / buy 2026-07-17 $164.00 call Why now: Near-term vol elevated after flow; back-month vol lower, benefit from time decay. | If stock rallies sharply, short call may lose; define with strikes. Liquidity constraints: short_call: Volume below 5. |
| Bull call spread | Moderate-Weak | Buy 2026-06-26 $155.00/$170.00 call spread Why now: Bullish bias supported by dealer gamma; limited risk profile. | If stock stays flat or declines, spread decays. Liquidity constraints: short_call: Volume below 5. |
Top Plays
Watchlist Triggers
Tactical Summary
Each report translates the same market-close options snapshot into a specific lens such as directional bias, premium-selling posture, flow quality, or earnings setup.
Reports are most useful for narrowing the playbook, surfacing entry and risk context, and deciding which raw data page to inspect next.
These are interpretation layers, not execution guarantees. Validate the setup against chain liquidity, expected move, and exposure before sizing risk.