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General Mills Inc Food Products Bullish Trend flat
$36.81 Market open +0.30% Tape +23.64 (+1.5 vs prior)

Options-implied ~$36.79 (0.0% vs last quote)

Updated 2026-09-17 06:10:41 · Source finnhub · conf 70 (85th pct) · quality 68 (27th pct) · Bullish mildly, verify before sizing · tier 1

What built this score

+24
+mild
bands at ±15 / ±40
59% calls
flat
60,689 total
64% calls
+bullish
507 vol
0.92
+stable
7d rolling
70
+high
qual 68
+1
flat
vs prior tick
Bullish mildly, verify before sizing Verify before sizing: at least one trust check is short of the usable bar.
conf 70quality 68chop 0stability 0.92vol 507
Tap any line to see the working
Composite
+23.6
BearishBullish
Confidence
70
85th pct
Quality
68
27th pct
Stability
0.92
Day range
$36.58$36.81
52-week range
$31.75$51.33
Open
$36.81
Prev close
$36.58
Mkt cap
19.67B
P/E
fwd 11.75
Beta
-0.007
Stable composite
19.2
Tape÷Price · Oversold
-58
Lead/lag
Price leads (+2d)
r=0.19, n=122

Why this read

  • OI bias
    59% calls flat
    60,689 total
  • Vol bias
    64% calls +bullish
    507 vol
  • Stability
    0.92 +stable
    7d rolling
  • Confidence
    70 +high
    qual 68
  • Composite Δ
    +1 flat
    vs prior tick

Price vs tape value

Circles mark divergence — where tape and price moved in opposite directions.

Tape Stable Price

Open on TradingView ↗

Lead/lag relationship

The visual behind the Lead/lag tile above: this name's price return on a given day, plotted against the tape's change exactly 2 day(s) later (r=0.19, n=122). Points near the dashed diagonal are days where that lagged relationship held; scattered points are where it didn't.

Model forecast — evidence & sentiment

Cross-symbol attention: this forecast also attended to TSLA's own real, contemporaneous tape data (same sector, resolved point-in-time) — attention weight 100.0%.

Which real recent days the model leaned on most for this forecast (bold = highest, a rough proxy for influence, not an exact attribution):

DateSpotAttention
2026-09-1235.8514.7%
2026-09-1335.8516.5%
2026-09-1436.2017.8%
2026-09-1536.4718.0%
2026-09-1636.5817.5%
2026-09-1736.8115.6%

This symbol's own real realized volatility (recent choppiness the model reads, capped at maximally volatile): 0.07

Real, whole-market context (not specific to this symbol): regime is RISK OFF · VIX 16.09 · breadth 80% as of 2026-09-17 09:11:33 (full detail →).

Options data

Public delayed tape used for the composite score · source: nasdaq.

323
Call volume
184
Put volume
35,648
Call OI
25,041
Put OI
0.57
P/C vol
0.70
P/C OI
$35.00
Wall strike
16,464
Wall OI
1
Expiries tracked
Volume split

63.7% calls · 36.3% puts

Open interest split

58.7% calls · 41.3% puts

⚠ Near-dated expiry in the mix — OI can be noisier close to expiration.

Dealer gamma exposure

What market makers are structurally likely to do about the current options positioning — not what already traded, but what dealers are on the hook to hedge as price moves. Positive GEX tends to dampen volatility (dealers sell rallies, buy dips); negative GEX tends to amplify it. Real strikes and greeks via Massive, computed on demand.

Money flow

Inst 54 · Retail/opt 63 · mixed

Alignment: MixedInsiders: BuyStreet: SellOptions: Call
54
Institutional interest
63
Retail activity

Updated 2026-09-16 06:24:31

Options volume profile

Call/put volume and open interest by strike, busiest strikes first — this symbol's own options tape, not the underlying share's traded volume (this app only tracks the underlying's daily close, not intraday trades).

StrikeCall volPut volTotal OIActivity
$75.00 0 0 231
1.4%
$70.00 0 0 10
0.1%
$65.00 0 0 172
1.0%
$62.50 0 0 39
0.2%
$60.00 0 0 241
1.5%
$57.50 0 0 124
0.7%
$55.00 0 0 660
4.0%
$52.50 0 0 318
1.9%
$50.00 3 0 815
4.9%
$47.50 0 2 1,250
7.6%
$45.00 7 0 6,131
37.1%
$42.50 18 3 5,968
36.2%
$40.00 102 12 11,948
72.9%
$37.50 158 107 11,092
68.6%
$35.00 29 54 16,464
100.0%
$32.50 3 6 3,608
21.9%
$30.00 1 0 1,086
6.6%
$27.50 0 0 287
1.7%
$25.00 2 0 127
0.8%
$22.50 0 0 118
0.7%

Earnings backtest

No earnings backtest yet. The cron will populate this once GIS has enough reported quarters.

Fundamentals & ownership

2.4358
P/B
1.0674
P/S
Institutional own.
Insider own.
Short interest
Days to cover

Recent history

123 points (14d) · 123 total on record · tape Δ +1.5

WhenPriceTapeStable
2026-09-13 20:20:00 35.85 39.80
2026-09-13 23:01:00 35.85 39.80
2026-09-14 00:01:00 35.85 39.80
2026-09-14 02:56:00 35.85 39.80
2026-09-14 03:56:00 35.85 39.80
2026-09-14 06:21:00 35.85 39.80
2026-09-14 07:21:00 35.85 39.80
2026-09-14 10:00:00 36.31 39.80
2026-09-14 11:00:00 36.31 39.80
2026-09-14 13:42:00 36.61 16.84
2026-09-14 14:42:00 36.61 16.84
2026-09-14 18:12:00 36.53 31.22
2026-09-14 19:12:00 36.53 31.22
2026-09-14 22:14:00 36.20 26.73
2026-09-14 23:14:00 36.20 26.73
2026-09-15 01:33:00 36.47 26.73
2026-09-15 02:33:00 36.47 26.73
2026-09-15 05:23:00 36.47 26.73
2026-09-15 06:23:00 36.47 26.73
2026-09-15 09:23:00 36.47 26.73
2026-09-15 10:23:00 36.47 26.73
2026-09-16 01:09:00 36.58 22.18
2026-09-16 02:09:00 36.58 22.18
2026-09-17 05:10:00 36.81 23.64
2026-09-17 06:10:00 36.81 23.64

Historical earnings

The last 4 reported quarters — real prints vs. estimate, and how the stock reacted.

DateEPS est.EPS reportedSurpriseRevenue est.Revenue reportedPrice reaction
2026-06-30 0.81 0.95 +17.98%
2026-03-31 0.73 0.64 -12.74%
2025-12-31 1.04 1.10 +6.06%
2025-09-30 0.82 0.86 +4.53%

Full history

Range:30d 60d 90d 180d 365d 10 data points
Price change
-1.6%
Tape change
-9.6
Price ↔ tape corr
-0.45
Signal
tape confirms · bearish
WhenPriceTapeStableDivergence
2026-09-17 $36.81 +23.6
2026-09-16 $36.58 +22.2 ↓ tape diverging
2026-09-15 $36.47 +26.7 ↓ tape diverging
2026-09-14 $36.17 +33.4 ↓ tape diverging
2026-09-13 $35.85 +39.8
2026-09-12 $35.87 +39.8 32.9 ↑ tape leading
2026-09-11 $35.96 +35.3 ↑ tape leading
2026-09-10 $36.57 +26
2026-09-09 $37.58 +29.1 ↓ tape diverging
2026-09-08 $37.41 +33.2