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.
Flow Verdict
Watch next session: $41 call open interest build; VIX spike above 20
Flow Summary
Net premium: +$55.9M bullish
P/C volume ratio: 0.32
P/C OI ratio: 0.38
Notable Prints
Read-through: Speculative upside bet
Read-through: Bearish sentiment
Read-through: Minimal impact
Read-through: Late volatility
Read-through: Bearish pressure
Institutional Positioning
Call additions: Large $41 call 2027 added (vol/OI 10.6); net premium $55.9M positive
Put additions: Moderate put activity: $25 put 2026-06-26 (vol/OI 5.2) and other short-dated puts
GEX/DEX consistency: Consistent: GEX +$172M, DEX +106.5M shares both bullish
OI clusters: Highest OI: $41 call (153), $25 put (1013); spot ~$27
Hedging evidence: Puts may hedge but flow bullish; no collar evidence
Max pain context: Spot above MP, GEX pinning, bullish regime
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.