QQQ
Invesco QQQ TrustClose $701.53EOD onlyThis page reflects QQQ options positioning from the latest published market-close snapshot. Intraday price and contract changes are not displayed.
Historical consensus-supported lens with full content, report chain context, and metric rail.
Flow Verdict
Watch next session: Monitor put/call volume ratio; Watch 700 strike for direction
Flow Summary
Net premium: +$152.6M bullish
P/C volume ratio: 1.13
P/C OI ratio: 1.67
Notable Prints
Read-through: High vol/oi indicates aggressive call buying
Read-through: Accumulation of OTM calls
Read-through: Needs contextual interpretation.
Read-through: Needs contextual interpretation.
Read-through: Needs contextual interpretation.
Institutional Positioning
Call additions: Heavy call opening at 696-703 strikes, 702C/703C vol >200k vs OI ~2k.
Put additions: Concentrated put buying at 702-703, similar vol/OI, straddle positioning.
GEX/DEX consistency: GEX negative (-$384M), DEX positive (+253M); consistent with delta hedging.
OI clusters: Put OI heavy below 590; new OI at 702-703.
Hedging evidence: Dealers hedge gamma via delta; straddle at expiry suggests collar.
Max pain context: Spot at MP (~700), high put OI ratio (1.67) pinning.
Signal vs Noise
Key Conclusions
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.