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Analysis Report

Updated: 2026-03-13 08:43:0415:42:39 MYT

Source File: combined-summary-20260313-084304.154239.md


Screening Source: screen-report-20260313-084226.154225.md Extracted Symbols: CF, CRCA, BNO, UCO, AXTI, USOAAOI

Topline Summary

Symbol Spot Support Resistance Flip Regime P>Res P<Sup 68% Range 90% Range
CF136.00123.00152.93115.35TRANSITION14.6%24.3%119.07 - 152.93108.16 - 163.84
CRCA65.7220.0070.0040.77TRANSITION30.5%0.3%48.97 - 82.4738.16 - 93.28
BNO48.2545.0050.00NATRANSITION40.5%42.9%36.61 - 59.8929.10 - 67.40
UCO39.8735.0040.00NATRANSITION45.5%34.5%29.81 - 49.9323.32 - 56.42
AXTI 46.73 45.0050.0037.56 55.9390 TREND23.36 47.TRANSITION16.7% 47.1%16.7% 37.6756 - 55.7990 31.8265 - 61.6481
USOAAOI 118.39106.19 115.0080.56 120.00131.82 105.9153.10 TRANSITION 43.15.7% 41.5%18.8% 89.0580.56 - 147.73131.82 70.1364.03 - 166.65148.35

CFAXTI

Spot: 136.0046.73
Report Time: 2026-03-13 08:03:42 AMPM MYT
Regime: TRANSITION
Dealer Gamma: LONGNEUTRAL

CF Daily Candles EMAAXTI Daily Candles EMA

CF Option Chain CALL vs PUTAXTI Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-1320 18 133.8247.05 431.83%138.77% 27.559.30
2026-03-2004-17 836 129.1846.66 78.85%127.51% 15.6818.58

Weekly Range

Confidence Low High Width
68% 119.0737.56 152.9355.90 33.8518.33
80% 114.3134.98 157.6958.48 43.3923.50
90% 108.1631.65 163.8461.81 55.6930.16
95% 102.8228.76 169.1864.70 66.3535.94

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
123.0037.56 152.9355.90 115.3550.0014.6%24.3%

Flow & Skew

Call VolPut VolVol P/CCall OIPut OIOI P/CSkewSkew Bias
3774051.071,9243,8111.98639.49 vol ptsPUT_SKEW

Tail Risk

Q10Q50Q90Down TailUp TailDown/Up
82.23.36 83.81125.2453.640.00NA

Daily Technicals

EMA20EMA50VWAP20BB LowerBB MidBB UpperBB WidthVol RatioPath
107.0097.51110.1982.18103.93125.6841.86%2.85UP trend (expanding)

Day Plan

  • 123.00-152.93 range: fade extremes
  • > 152.93: chase only if hold + vol
  • < 123.00: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 123.00-123.00
  • Trim: 152.93-152.93
  • Add: close > 152.93
  • Cut: close < 123.00
  • Best for: transition regime
Raw Text Summary
📌 CF @ 136.00 (2026-03-13 08:42 AM MYT)

• Current price is **136.00**. Key support is around **123.00**, and resistance is around **152.93**.
• For the next week, the model’s **68% expected range** is roughly **119.07 to 152.93**.
• A wider **90% range** is about **108.16 to 163.84**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **115.35**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 14.6%**, **below support 24.3%** by the target horizon.
• Options skew is tilted toward **puts**, which suggests traders are paying more for downside protection.
• Near-term implied volatility is higher than the next expiry (**IV1 431.83% vs IV2 78.85%**), which suggests **near-term event stress / backwardation**.
• Recent volume is **2.85x** the 20-day average, which supports stronger continuation or breakout follow-through.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.

CRCA

Spot: 65.72
Report Time: 2026-03-13 08:42 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

CRCA Daily Candles EMA

CRCA Option Chain CALL vs PUT

Term Structure

ExpiryDTEForwardATM IVATM Straddle
2026-03-20857.12176.45%50 16.95
2026-04-173664.76121.01%24.90

Weekly Range

ConfidenceLowHighWidth
68%48.9782.4733.51
80%44.2587.1942.94
90%38.1693.2855.11
95%32.8898.5665.67

Structure & Probabilities

SupportResistanceGamma FlipMax PainP>ResP<Sup
20.0070.0040.771.0030.5%0.3%

Flow & Skew

Call VolPut VolVol P/CCall OIPut OIOI P/CSkewSkew Bias
1,2532740.225,7985990.1013.72 vol ptsPUT_SKEW

Tail Risk

Q10Q50Q90Down TailUp TailDown/Up
64.6067.0069.401.123.680.30

Daily Technicals

EMA20EMA50VWAP20BB LowerBB MidBB UpperBB WidthVol RatioPath
47.0443.3538.373.8440.7477.63181.13%0.38UP trend (expanding)

Day Plan

  • 20.00-70.00 range: fade extremes
  • > 70.00: chase only if hold + vol
  • < 20.00: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 20.00-20.00
  • Trim: 70.00-70.00
  • Add: close > 70.00
  • Cut: close < 20.00
  • Best for: transition regime
Raw Text Summary
📌 CRCA @ 65.72 (2026-03-13 08:42 AM MYT)

• Current price is **65.72**. Key support is around **20.00**, and resistance is around **70.00**.
• For the next week, the model’s **68% expected range** is roughly **48.97 to 82.47**.
• A wider **90% range** is about **38.16 to 93.28**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **40.77**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 30.5%**, **below support 0.3%** by the target horizon.
• Options skew is tilted toward **puts**, which suggests traders are paying more for downside protection.
• Near-term implied volatility is higher than the next expiry (**IV1 176.45% vs IV2 121.01%**), which suggests **near-term event stress / backwardation**.
• Recent volume is only **0.38x** the 20-day average, so breakouts may be less reliable unless volume improves.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.
• The implied distribution shows **more upside tail potential** than downside tail risk.

BNO

Spot: 48.25
Report Time: 2026-03-13 08:42 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

BNO Daily Candles EMA

BNO Option Chain CALL vs PUT

Term Structure

ExpiryDTEForwardATM IVATM Straddle
2026-03-20842.58165.19%11.65
2026-04-173644.6079.10%11.95

Weekly Range

ConfidenceLowHighWidth
68%36.6159.8923.29
80%33.3363.1729.84
90%29.1067.4038.31
95%25.4371.0745.64

Structure & Probabilities

SupportResistanceGamma FlipMax PainP>ResP<Sup
45.0050.00NA26.0040.5%42.9%

Flow & Skew

Call VolPut VolVol P/CCall OIPut OIOI P/CSkewSkew Bias
3,9072,0820.5313,9795,2230.37184.86 vol ptsPUT_SKEW

Tail Risk

Q10Q50Q90Down TailUp TailDown/Up
41.2642.3255.176.996.921.01

Daily Technicals

EMA20EMA50VWAP20BB LowerBB MidBB UpperBB WidthVol RatioPath
38.7334.7241.1127.2537.2147.1753.54%1.77UP trend (expanding)

Day Plan

  • 45.00-50.00 range: fade extremes
  • > 50.00: chase only if hold + vol
  • < 45.00: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 45.00-45.00
  • Trim: 50.00-50.00
  • Add: close > 50.00
  • Cut: close < 45.00
  • Best for: transition regime
Raw Text Summary
📌 BNO @ 48.25 (2026-03-13 08:42 AM MYT)

• Current price is **48.25**. Key support is around **45.00**, and resistance is around **50.00**.
• For the next week, the model’s **68% expected range** is roughly **36.61 to 59.89**.
• A wider **90% range** is about **29.10 to 67.40**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• Approximate breakout odds: **above resistance 40.5%**, **below support 42.9%** by the target horizon.
• Options skew is tilted toward **puts**, which suggests traders are paying more for downside protection.
• Near-term implied volatility is higher than the next expiry (**IV1 165.19% vs IV2 79.10%**), which suggests **near-term event stress / backwardation**.
• Recent volume is **1.77x** the 20-day average, which supports stronger continuation or breakout follow-through.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.
• The implied distribution is **fairly balanced** between upside and downside tails.

UCO

Spot: 39.87
Report Time: 2026-03-13 08:42 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

UCO Daily Candles EMA

UCO Option Chain CALL vs PUT

Term Structure

ExpiryDTEForwardATM IVATM Straddle
2026-03-20839.85175.88%10.25
2026-04-173640.06138.19%17.25

Weekly Range

ConfidenceLowHighWidth
68%29.8149.9320.12
80%26.9852.7625.79
90%23.3256.4233.10
95%20.1559.5939.44

Structure & Probabilities

SupportResistanceGamma FlipMax PainP>ResP<Sup
35.0040.00NA11.0045.5%34.5%

Flow & Skew

Call VolPut VolVol P/CCall OIPut OIOI P/CSkewSkew Bias
4,5512,6070.5725,53115,2270.6063.97 vol ptsPUT_SKEW

Tail Risk

Q10Q50Q90Down TailUp TailDown/Up
25.1330.4137.9214.740.00NA

Daily Technicals

EMA20EMA50VWAP20BB LowerBB MidBB UpperBB WidthVol RatioPath
29.5225.6231.7917.8927.9438.0071.99%1.84UP trend (expanding)

Day Plan

  • 35.00-40.00 range: fade extremes
  • > 40.00: chase only if hold + vol
  • < 35.00: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 35.00-35.00
  • Trim: 40.00-40.00
  • Add: close > 40.00
  • Cut: close < 35.00
  • Best for: transition regime
Raw Text Summary
📌 UCO @ 39.87 (2026-03-13 08:42 AM MYT)

• Current price is **39.87**. Key support is around **35.00**, and resistance is around **40.00**.
• For the next week, the model’s **68% expected range** is roughly **29.81 to 49.93**.
• A wider **90% range** is about **23.32 to 56.42**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• Approximate breakout odds: **above resistance 45.5%**, **below support 34.5%** by the target horizon.
• Options skew is tilted toward **puts**, which suggests traders are paying more for downside protection.
• Near-term implied volatility is higher than the next expiry (**IV1 175.88% vs IV2 138.19%**), which suggests **near-term event stress / backwardation**.
• Recent volume is **1.84x** the 20-day average, which supports stronger continuation or breakout follow-through.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.

AXTI

Spot: 46.73
Report Time: 2026-03-13 08:42 AM MYT
Regime: TREND
Dealer Gamma: SHORT

AXTI Daily Candles EMA

AXTI Option Chain CALL vs PUT

Term Structure

ExpiryDTEForwardATM IVATM Straddle
2026-03-20846.92136.89%9.35
2026-04-173647.12128.16%18.75

Weekly Range

ConfidenceLowHighWidth
68%37.6755.7918.13
80%35.1158.3523.23
90%31.8261.6429.82
95%28.9664.5035.53

Structure & Probabilities

SupportResistanceGamma FlipMax PainP>ResP<Sup
45.0050.0055.9340.0047.7% 47.1%16.7%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
5,269 2,864 0.54 14,0200 23,5540 1.68NA -15.330.00 vol pts CALL_SKEWFLAT

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
6.355.63 42.928.17 57.2654.72 40.3841.10 10.537.99 3.845.14

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
36.48 28.34 37.1718 18.43 35.21 51.98 95.29% 1.3233 UP trend (expanding)

Day Plan

  • 45.00-50.0037.56-55.90 range: fade extremes
  • > 50.00:55.90: chase only if hold + vol
  • < 45.00:37.56: risk expand; reduce size
  • Regime: TRENDTRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 45.00-45.0037.56-37.56
  • Trim: 50.00-50.0055.90-55.90
  • Add: close > 50.0055.90
  • Cut: close < 45.0037.56
  • Best for: trendtransition regime
Raw Text Summary
📌 AXTI @ 46.73 (2026-03-13 08:03:42 AMPM MYT)

• Current price is **46.73**. Key support is around **45.00*37.56**, and resistance is around **50.00*55.90**.
• For the next week, the model’s **68% expected range** is roughly **37.6756 to 55.79*90**.
• A wider **90% range** is about **31.8265 to 61.64*81**.
• Dealer positioning looks **SHORTNEUTRAL gamma**, so the market behavior is classified as **TREND*TRANSITION**.
• The estimated **gamma flip** is near **55.93*23.36**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 47.16.7%**, **below support 47.1%16.7%** by the target horizon.
• Options skew is tiltedfairly towardbalanced, so there is **calls*no strong directional bias**, whichfrom suggestsskew upside speculation is relatively stronger.alone.
• Near-term implied volatility is higher than the next expiry (**IV1 136.89%138.77% vs IV2 128.16%127.51%**), which suggests **near-term event stress / backwardation**.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.
• The implied distribution shows **heavier downside tail risk** than upside tail potential.

USOAAOI

Spot: 118.39106.19
Report Time: 2026-03-13 08:4303:42 AMPM MYT
Regime: TRANSITION
Dealer Gamma: LONGNEUTRAL

USO Daily Candles EMAAAOI Daily Candles EMA

USO Option Chain CALL vs PUTAAOI Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-13 1 112.12106.94 138.22%167.51% 7.676.66
2026-03-1820 68 107.22119.19 174.90%171.38% 26.10

Weekly Range

Confidence Low High Width
68% 89.0580.56 147.73131.82 58.6851.27
80% 80.7973.34 155.99139.04 75.2065.70
90% 70.1364.03 166.65148.35 96.5284.33
95% 60.8855.95 175.90156.43 115.01100.48

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
115.80.56131.8253.1019.00 120.00105.9150.0043.15.7% 41.5%18.8%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
53,51813,438 74,40510,453 1.390.78 54,9700 68,4570 1.25NA -1.561373.44 vol pts CALL_SKEWPUT_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
61.4922.42 113.3741.61 121.111.59 56.9083.77 3.205.40 17.7715.51

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
93.3683.64100.6585.06 62.9357 89.1891 115.4317.80 58.88%76.97 2.32136.14153.76%1.52 UP trend (expanding)

Day Plan

  • 115.00-120.0080.56-131.82 range: fade extremes
  • > 120.00:131.82: chase only if hold + vol
  • < 115.00:80.56: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 115.00-115.0080.56-80.56
  • Trim: 120.00-120.00131.82-131.82
  • Add: close > 120.00131.82
  • Cut: close < 115.0080.56
  • Best for: transition regime
Raw Text Summary
📌 USOAAOI @ 118.39106.19 (2026-03-13 08:4303:42 AMPM MYT)

• Current price is **118.39*106.19**. Key support is around **115.00*80.56**, and resistance is around **120.00*131.82**.
• For the next week, the model’s **68% expected range** is roughly **89.0580.56 to 147.73*131.82**.
• A wider **90% range** is about **70.1364.03 to 166.65*148.35**.
• Dealer positioning looks **LONGNEUTRAL gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **105.91*53.10**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 43.15.7%**, **below support 41.5%18.8%** by the target horizon.
• Options skew is fairlytilted balanced, so there istoward **noputs**, strongwhich directionalsuggests bias**traders fromare skewpaying alone.more for downside protection.
• Near-term implied volatility is lower than the next expiry (**IV1 138.22%167.51% vs IV2 174.90%171.38%**), which suggests a **contango / calmer front expiry** setup.
• Recent volume is **2.32x*1.52x** the 20-day average, which supports stronger continuation or breakout follow-through.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.
• The implied distribution shows **heavier downside tail risk** than upside tail potential.