SMCI
Super Micro Computer, Inc.Close $33.46EOD onlyThis page reflects SMCI 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.
You are viewing an older report from April 2, 2026. A newer earnings report is available for May 20, 2026.
View latest reportEarnings Verdict
Earnings expected around 5/5, 33 days out. IV remains extremely elevated (85%) with a massive term structure kink at May expirations, creating a high-probability IV crush setup. The stock is pinned by strong gamma near $22-$24, but the wide expected move (±$4.17 or 17.9% for 5/01) suggests potential for a directional breakout. The primary opportunity is selling premium into this event.
Regime Classification
Earnings Overview
Next earnings: 2026-05-05 (33 days)inferred (term structure kink at May expirations, explicit est date)
Expected moves:
- 5/01 (29d): ±$4.17 (17.9%)
- 5/08 (36d): ±$5.13 (22.1%)
- 5/15 (43d): ±$5.53 (23.8%)
IV Setup
Term structure: Massive kink at May expirations. IV jumps from 67.3% (4/10) to 80-89% for May 1, 8, and 15.
Crush estimate: ~20-25 vol pts post-earnings, back to ~60-65% range.
Skew: Mixed skew. Unusual activity shows deep OTM put buying ($70P, $9P) and OTM call buying ($25C, $25.5C), suggesting tail risk hedging and speculative upside bets.
Historical Context
Beat rate: 50% (2/4 quarters)
Avg move vs expected: Cannot compute from provided data (no historical move %).
Directional bias: Mixed: Last quarter beat (+$0.20), prior three quarters had two misses.
Key Levels
Flow Highlights
Heavy $25.50 Call 4/10 buying (18,085 vol vs 667 OI, IV 63.9%)
Aggressive near-term upside bet targeting a move above $25.50 before earnings.
Massive $70 Put 5/15 bought (3,550 vol vs 800 OI, IV 179.1%)
Extreme tail-risk hedge or financing trade, not a direct earnings bet.
Net premium flow deeply negative (-$19.0M), driven by huge put buying at $70 and $8.
Overall flow skewed bearish on premium, but dominated by extreme OTM trades.
Strategies
Risk Assessment
What to Watch
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