base 5; +2 GEX/flow strongly aligned; +1 GEX positive (pinning); +1 spot 0.2% from MP; +0.5 VIX 18
Watch next session: 680-720 call strikes; gamma flip level 620; put activity at 430
Net premium: +$559.5M bullish
P/C volume ratio: 0.87
P/C OI ratio: 1.31
Massive call buying dominates despite market weakness; positive gamma and delta indicate strong bullish positioning. High net premium of $559M and call/put volume ratio 0.87 confirm institutional bullish flow. Key level is gamma flip at 620.
#1MU 2026-05-29 $690.00 Call
Intent: bullish
Read-through: call buying
#2MU 2026-05-22 $430.00 Put
Intent: hedge
#3MU 2026-05-22 $707.50 Call
Intent: bullish
Read-through: call buying
#4MU 2026-05-22 $712.50 Call
Intent: bullish
Read-through: call buying
#5MU 2026-05-22 $717.50 Call
Intent: bullish
Read-through: call buying
Call additions: Concentrated in 5/22 calls $680-$717.5, also 6/5 $770
Put additions: Deep OTM 5/22 $430 put (large vol/OI)
GEX/DEX consistency: Yes, positive GEX + DEX align with call flow
OI clusters: Notable OI at $680-$720 calls (weekly)
Hedging evidence: Deep OTM put suggests tail hedge; gamma flip at $620
Max pain context: Spot at MP, pinning expected (gamma positive)
~Signal: persistent call sweeps above $680 on 5/22, bullish positioning
~Noise: deep OTM put at $430 likely speculative/hedge, not directional