WULF
TeraWulf Inc.Close $26.06EOD onlyThis page reflects WULF 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.
Earnings Verdict
WULF strong bullish flow, gamma pinning near $24. Earnings 55d out; low beat rate 40%. IV elevated, crush expected post-earnings.
Regime Classification
Earnings Overview
Next earnings: 2026-08-06 (55 days)explicit
Expected moves:
- 2026-06-18 (6d): ±$2.48 (9.5%)
- 2026-06-26 (14d): ±$3.93 (15.1%)
- 2026-07-02 (20d): ±$4.82 (18.5%)
IV Setup
Term structure: Elevated across tenors; front-end IV high due to event uncertainty, back-end supported by long-dated call demand.
Crush estimate: Significant IV crush expected post-earnings (Aug 6); near-term events may cause contraction.
Skew: Put skew elevated on weekly expirations; call skew flat to positive on long-dated strikes.
Historical Context
Beat rate: 40% (2/5 quarters)
Avg move vs expected: Historically moves have been wider than implied at times; beat rate low.
Directional bias: No strong directional bias; mixed historical results.
Key Levels
Flow Highlights
1627 contracts of WULF 2027-01-15 $41C traded (OI 153, vol/OI 10.6, IV 97.3%).
Large long-term bullish bet anticipating price appreciation beyond current resistance.
5239 contracts of WULF 2026-06-26 $25P traded (OI 1013, vol/OI 5.2, IV 93.8%).
Bearish positioning or hedging ahead of earnings, though earnings is far out.
Strategies
Risk Assessment
What to Watch
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.