MNY
Sector TBD Bullish Trend flatWhat built this score
| +75 | +bullish | ||
| bands at ±15 / ±40 | |||
| 90% calls | +40pp | ||
| 52 total | |||
| 86% calls | +bullish | ||
| 14 vol | |||
| 0 | noisy | ||
| 7d rolling | |||
| 41 | low | ||
| qual 45 | |||
| +0 | flat | ||
| vs prior tick | |||
Why this read
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OI bias90% calls +40pp52 total
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Vol bias86% calls +bullish14 vol
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Stability0 noisy7d rolling
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Confidence41 lowqual 45
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Composite Δ+0 flatvs prior tick
Price vs tape value
Circles mark divergence — where tape and price moved in opposite directions.
Model forecast — evidence & sentiment
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: cboe.
85.7% calls · 14.3% puts
90.4% calls · 9.6% 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
No money-flow read yet. The cron will populate this as it enriches MNY.
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).
| Strike | Call vol | Put vol | Total OI | Activity |
|---|---|---|---|---|
| $7.50 | 0 | 0 | 2 | |
| $5.00 | 0 | 0 | 7 | |
| $2.50 | 12 | 2 | 43 |
Earnings backtest
No earnings backtest yet. The cron will populate this once MNY has enough reported quarters.
Fundamentals & ownership
Recent history
5 points (14d) · 4 total on record · tape Δ +0.0
Historical earnings
No past earnings prints recorded yet for MNY.