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Analysis Report

Updated: 2026-03-17 08:43:44 MYT

Source File: combined-summary-20260317-084343.md


Screening Source: screen-report-20260317-084253.md Extracted Symbols: MULL, NEBX, AAOI, UCO, AXTI, CRCA, TERN, SEI

Topline Summary

Symbol Spot Support Resistance Flip Regime P>Res P<Sup 68% Range 90% Range
MULL 188.65 180.00 190.00 133.23 TRANSITION 40.0% 40.9% 147.69 - 229.61 121.28 - 256.02
NEBX 53.32 50.00 60.00 35.57 TRANSITION 25.1% 42.0% 42.25 - 64.39 35.12 - 71.52
AAOI 94.07 90.00 100.00 87.62 TREND 38.5% 52.2% 79.06 - 109.08 69.38 - 118.76
UCO 39.00 35.00 40.00 24.38 TRANSITION 43.5% 23.4% 31.98 - 46.02 27.45 - 50.55
AXTI 48.39 45.00 50.00 51.14 TRANSITION 35.3% 34.9% 39.23 - 57.55 33.32 - 63.46
CRCA 79.18 70.00 95.86 47.09 TRANSITION 12.1% 26.6% 62.50 - 95.86 51.74 - 106.62
TERN 46.07 45.00 47.00 44.02 TRANSITION 36.7% 43.1% 39.05 - 53.09 34.52 - 57.62
SEI 56.99 55.00 57.50 55.44 TRANSITION 35.9% 35.2% 50.18 - 63.80 45.79 - 68.19

MULL

Spot: 188.65
Report Time: 2026-03-17 08:43 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

MULL Daily Candles EMA

MULL Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-20 4 187.80 189.86% 36.55
2026-04-17 32 187.81 115.24% 64.15

Weekly Range

Confidence Low High Width
68% 147.69 229.61 81.92
80% 136.16 241.14 104.98
90% 121.28 256.02 134.75
95% 108.37 268.93 160.56

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
180.00 190.00 133.23 9.65 40.0% 40.9%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
902 718 0.80 2,005 1,318 0.66 13.84 vol pts PUT_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
9.75 10.16 10.57 178.90 0.00 NA

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
164.78 149.97 166.11 138.11 166.83 195.55 34.43% 1.38 UP trend (expanding)

Day Plan

  • 180.00-190.00 range: fade extremes
  • > 190.00: chase only if hold + vol
  • < 180.00: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 180.00-180.00
  • Trim: 190.00-190.00
  • Add: close > 190.00
  • Cut: close < 180.00
  • Best for: transition regime
Raw Text Summary
📌 MULL @ 188.65 (2026-03-17 08:43 AM MYT)

• Current price is **188.65**. Key support is around **180.00**, and resistance is around **190.00**.
• For the next week, the model’s **68% expected range** is roughly **147.69 to 229.61**.
• A wider **90% range** is about **121.28 to 256.02**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **133.23**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 40.0%**, **below support 40.9%** 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 189.86% vs IV2 115.24%**), which suggests **near-term event stress / backwardation**.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.

NEBX

Spot: 53.32
Report Time: 2026-03-17 08:43 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

NEBX Daily Candles EMA

NEBX Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-20 4 47.22 165.41% 9.00
2026-04-17 32 53.17 129.98% 20.45

Weekly Range

Confidence Low High Width
68% 42.25 64.39 22.13
80% 39.14 67.50 28.37
90% 35.12 71.52 36.41
95% 31.63 75.01 43.38

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
50.00 60.00 35.57 36.00 25.1% 42.0%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
839 382 0.46 4,081 2,517 0.62 15.53 vol pts PUT_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
38.63 53.19 60.54 14.69 7.22 2.03

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
35.49 35.38 35.83 21.75 34.83 47.92 75.13% 2.15 UP trend (expanding)

Day Plan

  • 50.00-60.00 range: fade extremes
  • > 60.00: chase only if hold + vol
  • < 50.00: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 50.00-50.00
  • Trim: 60.00-60.00
  • Add: close > 60.00
  • Cut: close < 50.00
  • Best for: transition regime
Raw Text Summary
📌 NEBX @ 53.32 (2026-03-17 08:43 AM MYT)

• Current price is **53.32**. Key support is around **50.00**, and resistance is around **60.00**.
• For the next week, the model’s **68% expected range** is roughly **42.25 to 64.39**.
• A wider **90% range** is about **35.12 to 71.52**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **35.57**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 25.1%**, **below support 42.0%** 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 165.41% vs IV2 129.98%**), which suggests **near-term event stress / backwardation**.
• Recent volume is **2.15x** 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.

AAOI

Spot: 94.07
Report Time: 2026-03-17 08:43 AM MYT
Regime: TREND
Dealer Gamma: SHORT

AAOI Daily Candles EMA

AAOI Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-20 4 94.17 129.18% 12.40
2026-03-27 11 94.09 106.93% 17.30

Weekly Range

Confidence Low High Width
68% 79.06 109.08 30.02
80% 74.83 113.31 38.48
90% 69.38 118.76 49.38
95% 64.65 123.49 58.85

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
90.00 100.00 87.62 50.00 38.5% 52.2%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
19,142 6,786 0.35 36,368 30,854 0.85 4.98 vol pts PUT_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
75.03 91.69 108.86 19.04 14.79 1.29

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
86.93 65.10 92.25 26.56 82.09 137.62 135.30% 0.97 UP trend (expanding)

Day Plan

  • 90.00-100.00 range: fade extremes
  • > 100.00: chase only if hold + vol
  • < 90.00: risk expand; reduce size
  • Regime: TREND
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 90.00-90.00
  • Trim: 100.00-100.00
  • Add: close > 100.00
  • Cut: close < 90.00
  • Best for: trend regime
Raw Text Summary
📌 AAOI @ 94.07 (2026-03-17 08:43 AM MYT)

• Current price is **94.07**. Key support is around **90.00**, and resistance is around **100.00**.
• For the next week, the model’s **68% expected range** is roughly **79.06 to 109.08**.
• A wider **90% range** is about **69.38 to 118.76**.
• Dealer positioning looks **SHORT gamma**, so the market behavior is classified as **TREND**.
• The estimated **gamma flip** is near **87.62**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 38.5%**, **below support 52.2%** 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 129.18% vs IV2 106.93%**), 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.

UCO

Spot: 39.00
Report Time: 2026-03-17 08:43 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

UCO Daily Candles EMA

UCO Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-20 4 39.00 135.69% 5.40
2026-04-17 32 39.08 120.78% 13.90

Weekly Range

Confidence Low High Width
68% 31.98 46.02 14.05
80% 30.00 48.00 18.00
90% 27.45 50.55 23.11
95% 25.23 52.77 27.53

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
35.00 40.00 24.38 26.00 43.5% 23.4%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
8,303 6,823 0.82 29,040 16,875 0.58 -10.16 vol pts CALL_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
16.85 36.87 45.75 22.15 6.75 3.28

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
31.35 26.70 32.81 18.06 29.65 41.24 78.18% 0.99 UP 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 @ 39.00 (2026-03-17 08:43 AM MYT)

• Current price is **39.00**. Key support is around **35.00**, and resistance is around **40.00**.
• For the next week, the model’s **68% expected range** is roughly **31.98 to 46.02**.
• A wider **90% range** is about **27.45 to 50.55**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **24.38**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 43.5%**, **below support 23.4%** by the target horizon.
• Options skew is tilted toward **calls**, which suggests upside speculation is relatively stronger.
• Near-term implied volatility is higher than the next expiry (**IV1 135.69% vs IV2 120.78%**), 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.

AXTI

Spot: 48.39
Report Time: 2026-03-17 08:43 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

AXTI Daily Candles EMA

AXTI Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-20 4 48.45 148.85% 7.35
2026-04-17 32 48.62 120.81% 17.25

Weekly Range

Confidence Low High Width
68% 39.23 57.55 18.33
80% 36.65 60.13 23.49
90% 33.32 63.46 30.15
95% 30.43 66.35 35.92

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
45.00 50.00 51.14 40.00 35.3% 34.9%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
3,647 3,038 0.83 15,822 24,439 1.54 7.71 vol pts PUT_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
35.19 47.15 60.91 13.20 12.52 1.05

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
38.68 29.90 39.17 20.75 37.62 54.49 89.70% 1.16 UP 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
📌 AXTI @ 48.39 (2026-03-17 08:43 AM MYT)

• Current price is **48.39**. Key support is around **45.00**, and resistance is around **50.00**.
• For the next week, the model’s **68% expected range** is roughly **39.23 to 57.55**.
• A wider **90% range** is about **33.32 to 63.46**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **51.14**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 35.3%**, **below support 34.9%** 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 148.85% vs IV2 120.81%**), which suggests **near-term event stress / backwardation**.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.
• The implied distribution is **fairly balanced** between upside and downside tails.

CRCA

Spot: 79.18
Report Time: 2026-03-17 08:43 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

CRCA Daily Candles EMA

CRCA Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-20 4 77.44 171.11% 13.82
2026-04-17 32 78.38 128.40% 30.00

Weekly Range

Confidence Low High Width
68% 62.50 95.86 33.37
80% 57.80 100.56 42.76
90% 51.74 106.62 54.88
95% 46.48 111.88 65.40

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
70.00 95.86 47.09 1.00 12.1% 26.6%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
1,299 297 0.23 5,847 631 0.11 15.19 vol pts PUT_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
86.00 90.00 94.00 0.00 14.82 0.00

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
51.83 45.65 41.88 7.22 46.09 84.95 168.66% 0.68 UP trend (expanding)

Day Plan

  • 70.00-95.86 range: fade extremes
  • > 95.86: chase only if hold + vol
  • < 70.00: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 70.00-70.00
  • Trim: 95.86-95.86
  • Add: close > 95.86
  • Cut: close < 70.00
  • Best for: transition regime
Raw Text Summary
📌 CRCA @ 79.18 (2026-03-17 08:43 AM MYT)

• Current price is **79.18**. Key support is around **70.00**, and resistance is around **95.86**.
• For the next week, the model’s **68% expected range** is roughly **62.50 to 95.86**.
• A wider **90% range** is about **51.74 to 106.62**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **47.09**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 12.1%**, **below support 26.6%** 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 171.11% vs IV2 128.40%**), which suggests **near-term event stress / backwardation**.
• Recent volume is only **0.68x** 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.

TERN

Spot: 46.07
Report Time: 2026-03-17 08:43 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

TERN Daily Candles EMA

TERN Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-20 4 46.55 120.19% 5.65
2026-04-17 32 46.51 96.73% 13.15

Weekly Range

Confidence Low High Width
68% 39.05 53.09 14.04
80% 37.07 55.07 17.99
90% 34.52 57.62 23.09
95% 32.31 59.83 27.51

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
45.00 47.00 44.02 40.00 36.7% 43.1%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
413 162 0.39 3,101 3,181 1.03 179.59 vol pts PUT_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
47.19 48.07 48.95 0.00 2.88 0.00

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
42.75 39.23 42.43 37.64 42.42 47.21 22.56% 0.91 UP trend (expanding)

Day Plan

  • 45.00-47.00 range: fade extremes
  • > 47.00: 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: 47.00-47.00
  • Add: close > 47.00
  • Cut: close < 45.00
  • Best for: transition regime
Raw Text Summary
📌 TERN @ 46.07 (2026-03-17 08:43 AM MYT)

• Current price is **46.07**. Key support is around **45.00**, and resistance is around **47.00**.
• For the next week, the model’s **68% expected range** is roughly **39.05 to 53.09**.
• A wider **90% range** is about **34.52 to 57.62**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **44.02**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 36.7%**, **below support 43.1%** 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 120.19% vs IV2 96.73%**), which suggests **near-term event stress / backwardation**.
• On the daily chart, the stock currently looks like **UP trend (expanding)**.
• The implied distribution shows **more upside tail potential** than downside tail risk.

SEI

Spot: 56.99
Report Time: 2026-03-17 08:43 AM MYT
Regime: TRANSITION
Dealer Gamma: LONG

SEI Daily Candles EMA

SEI Option Chain CALL vs PUT

Term Structure

Expiry DTE Forward ATM IV ATM Straddle
2026-03-20 4 56.86 101.03% 5.88
2026-04-17 32 56.62 68.09% 11.45

Weekly Range

Confidence Low High Width
68% 50.18 63.80 13.62
80% 48.26 65.72 17.46
90% 45.79 68.19 22.41
95% 43.64 70.34 26.70

Structure & Probabilities

Support Resistance Gamma Flip Max Pain P>Res P<Sup
55.00 57.50 55.44 50.00 35.9% 35.2%

Flow & Skew

Call Vol Put Vol Vol P/C Call OI Put OI OI P/C Skew Skew Bias
194 352 1.81 8,028 24,176 3.01 23.73 vol pts PUT_SKEW

Tail Risk

Q10 Q50 Q90 Down Tail Up Tail Down/Up
31.04 50.70 63.94 25.95 6.95 3.73

Daily Technicals

EMA20 EMA50 VWAP20 BB Lower BB Mid BB Upper BB Width Vol Ratio Path
52.23 51.51 51.40 46.47 51.50 56.53 19.52% 0.70 UP trend (expanding)

Day Plan

  • 55.00-57.50 range: fade extremes
  • > 57.50: chase only if hold + vol
  • < 55.00: risk expand; reduce size
  • Regime: TRANSITION
  • Tech: UP trend (expanding)

Swing Plan

  • Accumulate: 55.00-55.00
  • Trim: 57.50-57.50
  • Add: close > 57.50
  • Cut: close < 55.00
  • Best for: transition regime
Raw Text Summary
📌 SEI @ 56.99 (2026-03-17 08:43 AM MYT)

• Current price is **56.99**. Key support is around **55.00**, and resistance is around **57.50**.
• For the next week, the model’s **68% expected range** is roughly **50.18 to 63.80**.
• A wider **90% range** is about **45.79 to 68.19**.
• Dealer positioning looks **LONG gamma**, so the market behavior is classified as **TRANSITION**.
• The estimated **gamma flip** is near **55.44**. Crossing and holding beyond this area can change the trading behavior.
• Approximate breakout odds: **above resistance 35.9%**, **below support 35.2%** 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 101.03% vs IV2 68.09%**), which suggests **near-term event stress / backwardation**.
• Recent volume is only **0.70x** 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 **heavier downside tail risk** than upside tail potential.