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Ticker Analysis

Glossary
How to read this page
🔥 Heatmap
Sectors row shows the day's bid/offer rotation. The mover grid below ranks the biggest single-name moves — momentum + crowd attention.
📊 Technicals
RSI >70 = stretched; <30 = washed out. MACD crossover = trend change. Watch SMA200 as a regime line — above = up-trend.
🎯 S/R + Options
Support/resistance levels come from pivot clusters. Put/call ratio >1 = bearish hedging; high call OI strikes act as magnets / walls.
Market heatmap · live
Tap any tile to analyze
Sectors
Movers · top by |% change|
MSFT· Technology
MSFT
$482.23
+2.26 (+0.47%)
Vol 11.0M · Day 477.15–484.27
MSFT126 bars
2026-03-062026-04-022026-04-302026-05-272026-06-232026-07-202026-08-18339.3389.3439.3489.3523.6
AI deep-dive thesisbullish · 72% conv

MSFT sits 12.5% below 52W highs after a brutal tech rotation, but fundamentals remain pristine—40% net margins, 32% EPS growth, Azure crushing targets. RSI at 78 signals overbought near-term, yet institutional flow (P/C 0.82, $502.5 calls stacked) and 17.7% revenue growth validate buying dips. Directional skew favors bulls into August expiry despite consolidation risk.

Strengths
  • Fortress margins: 40% net, 45% operating—best-in-class software economics
  • Azure momentum: 17.7% revenue growth with AI tailwinds accelerating FY26
  • Options flow bullish: 0.82 P/C, heavy $502.5 call OI into Aug expiry
Risks
  • RSI 78 screams overbought—pullback to $458 SMA20 likely before continuation
  • 52W range stretched: 69.6% implies limited upside vs downside volatility
  • Debt load $128B vs $76B cash—rising rates pressure leverage ratios
Watch out
A break below $458 SMA20 on heavy volume triggers algo unwinds—next support $436 is 9% lower, risking cascade into $409 if tech sector correlates downward.
Trade ideas
Stock: Dip Buy at SMA20long

RSI cooldown to 20-day MA offers 11% R/R into resistance breakout. Volume spike on bounce confirms institutional re-entry.

Entry: 456-462
Stop: 448
Target: 515
TF: 6-8 weeks
Call Spread: Defined Risk Rally Playlong

IV rank moderate at 20.7%, but call OI clustered $500+. Caps cost while riding bullish flow toward analyst $569 mean PT.

Entry: 490/510 call spread Aug expiry
Stop: net debit
Target: 70% max profit
TF: to Aug expiry
Put Credit Spread: Collect Premium on Consolidationcredit

$458 SMA20 + $436 support = high-prob range floor. Sell vol into overbought consolidation, theta decay advantage.

Entry: 470/460 put spread Aug expiry
Stop: breach of 460
Target: 60% decay
TF: 30-45 days
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Gamma exposure · MSFT
spot $481.73 · flip $480 · cw $490 · pw $480
Call GEX Put GEX Aggregate Gamma Flip
Spot $481.73Flip $480
10 strikes shown · 49 total
460475490505-13.1B-6.1B0.9B7.9B13.1B-39.9-19.90.120.139.9Gamma FlipSpotCall WallPut Wall
Tap any two strikes to compare their GEX delta
Options flow · MSFT

Most-active contracts right now

48 unusual
228.4K total ·
155.5KC / 72.9KP· C/P 2.13
C $482.5Aug 19mid $2.49IV 27%
12.0K× 15.4
C $485Aug 19mid $1.48IV 27%
14.2K× 11.5
P $480Aug 19mid $2.00IV 27%
11.6K× 11.6
C $485Aug 21mid $3.20IV 28%
21.5K× 7.5
C $355Aug 19mid $127.55IV 318%
290× 29.0
C $360Aug 19mid $122.30IV 310%
286× 286.0
C $365Aug 19mid $117.28IV 303%
153× 153.0
C $370Aug 19mid $112.65IV 295%
150× 150.0
C $375Aug 19mid $107.33IV 294%
163× 163.0
C $380Aug 19mid $102.18IV 281%
280× 280.0
C $385Aug 19mid $96.97IV 252%
121× 121.0
C $390Aug 19mid $92.33IV 254%
102× 102.0
C $395Aug 19mid $87.33IV 245%
100× 50.0
C $400Aug 19mid $82.35IV 230%
140× 140.0
C $405Aug 19mid $77.07IV 216%
211× 42.2
C $410Aug 19mid $72.10IV 205%
112× 112.0
P $385Aug 19mid $0.35IV 136%
174× 174.0
P $460Aug 31mid $2.34IV 27%
391× 16.3
P $465Aug 31mid $3.45IV 27%
384× 10.1
C $400Sep 11mid $82.70IV 52%
180× 13.8

Heuristic only. Volume ÷ OI ≥ 3 or volume ≥ 5,000 flagged as unusual. Refreshes every minute.

Technicals
RSI 1478.2Overbought
MACD24.64Bear cross
SMA 20458.37
SMA 50415.13
SMA 200430.75
Boll. Upper556.64
Boll. Lower360.1
ATR 1416.97
Vol (30d ann.)52.9%
YTD+2.42%
Support / Resistance
Resistance
  • R1$487.53
  • R2$513.73
Support
  • S1$436.74
  • S2$409.58
  • S3$400.01
  • S4$397.15
Sentiment + Options
Biasbullish (+3)
52w range posn69.6%
Above 200-day SMA
Above 50-day SMA
+17.1% over 50d
Options · front-month
Put/Call OI0.82
IV30 ATM20.7%
Top call wall$502.53K OI
Top put wall$4902K OI
Fundamentals
Market cap$3.58T
P/E (TTM)26.83
Forward P/E20.45
EPS (TTM)17.97
Beta1.1
Div yield76.00%
Profit margin40.3%
ROE34.0%
Rev growth17.7%
EPS growth31.7%
Debt/Equity29.12
Free cash flow$16.55B
52w high$553.72
52w low$349.2
Analysts target$569.56(53)
Short % float1.10%
Business summary

Microsoft Corporation, a technology company, develops and supports a portfolio of technology solutions for individuals and businesses worldwide. Its products include operating systems, server applications, business solution applications, software development tools, desktop and server management tools, and video games; and devices, such as PCs, tablets, gaming and entertainment consoles, other intelligent devices, and related accessories. The company's Productivity and Business Processes segment offers Microsoft 365 Commercial, Enterprise Mobility + Security, Power BI, Exchange, SharePoint, Mic

Generated 8/18/2026, 6:35:37 PM · source: ai