thetaOwl

HOOD

Robinhood Markets, Inc.Close $86.85EOD only
Max Pain
$75.00
Next expiry Apr 17, 2026
Expected Move
±$2.98
3.4% from close
Price Gap
-11.85
Distance to max pain
IV Rank
100
High premium
P/C OI
0.65
Slightly call-heavy
Consensus
4/4
Partial coverage
Published snapshot: Apr 16, 2026 close
End-of-day snapshot

This page reflects HOOD options positioning from the latest published market-close snapshot. Intraday price and contract changes are not displayed.

Published Snapshot
Apr 16, 2026 close
HOOD Earnings Report
Analysis based on market close April 17, 2026

Historical consensus-supported lens with full content, report chain context, and metric rail.

Outlook

Data-only. Vol: High. Gamma: Pinning. Flow: Bullish.

Confidence:
8 / 10
base 5; +2 GEX/flow strongly aligned; +1 GEX positive (pinning); -1 spot 21.0% from MP; +1 VIX 17
Supports:
Conflicts:

Regime Classification

Vol Regime
High
Gamma Regime
Pinning
Flow Regime
Bullish
Spot vs Max Pain
Above
Thesis duration:

Price Range Forecast

Next 1 week
$84.66$96.84
Next 2 weeks
$79.90$101.60

Key Levels

Max pain pins: $75 (2026-04-17); $78 (2026-04-24); $75 (2026-05-01)
EM guardrails: 1w $84.66/$96.84
Support: $79.90
Resistance: $95.00 · $101.60
Gamma flip: ~$65.00Approx — based on put OI concentration of 15,798 (28.4% below spot)
Structural: Call OI wall: $100-$100; Put floor: $60-$65

Dealer Positioning (GEX/DEX)

GEX: $+149.0M

DEX: +63.2M shares

Gamma flip: ~$65 (Approx — based on put OI concentration of 15,798 (28.4% below spot))

NTM gamma:

IV Analysis

IV vs VIX:

Term structure:

Skew:

Flow Analysis

Net premium:

Directional prints:

Unusual:

Risks & Catalysts

Strategy Viability

StrategyEdgeBest SetupPrimary Risk

Top Plays

Watchlist Triggers

Tactical Summary

Report generated from precomputed data only — LLM unavailable.

Read the Earnings analysis for HOOD for 2026-04-17. Each report is a market-close snapshot with regime read, key levels, and strategy context that translates options positioning into an actionable setup.