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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|
QQQ
QQQ
$706.52
-8.58 (-1.20%)
Vol 46.9M · Day 702.81–715.56
QQQ124 bars
2026-01-152026-02-102026-03-092026-04-022026-04-292026-05-262026-06-26543.4598.4653.4708.4759.4
AI deep-dive thesisbullish

QQQ is trading at $706.52 with a bullish price-action signature. RSI 50.7 and position vs. moving averages give the directional tilt.

Strengths
  • â–¸Above SMA50
  • â–¸YTD 15.5%
  • â–¸Liquid options chain
Risks
  • â–¸Range-bound risk
  • â–¸Macro headwinds (broader market)
  • â–¸Earnings-window IV risk
Watch out
Watch the gamma flip on SPX — broader market gamma drives single-name volatility.
Pro · Personalized price alerts

Get a push notification the moment QQQ crosses your level — set "above" for breakouts, "below" for stop-losses. Each alert is one-shot so you're never spammed.

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Gamma exposure · QQQ
spot $706.52 · flip $705 · cw $715 · pw $705
Call GEX Put GEX Aggregate Gamma Flip
Spot $706.52Flip $705
14 strikes shown · 68 total
675695715735740-54.3B-24.3B5.7B35.7B54.3B-291.2-141.28.8158.8291.2Gamma FlipSpotCall WallPut Wall
Tap any two strikes to compare their GEX delta
Options flow · QQQ

Most-active contracts right now

307 unusual
1.8M total ·
813.7KC / 980.1KP· C/P 0.83
C $710Jun 29mid $3.82IV 22%
27.7K× 52.6
C $711Jun 29mid $3.38IV 19%
15.5K× 34.6
C $712Jun 29mid $2.96IV 21%
21.6K× 40.0
C $713Jun 29mid $2.59IV 21%
14.7K× 28.1
C $714Jun 29mid $2.24IV 19%
17.4K× 28.1
C $715Jun 29mid $1.94IV 20%
23.9K× 29.3
C $720Jun 29mid $0.82IV 19%
24.9K× 22.4
P $698Jun 29mid $2.37IV 24%
13.3K× 21.3

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

Technicals
RSI 1450.7Neutral
MACD3.66Bear cross
SMA 20724.16
SMA 50702.1
SMA 200630.66
Boll. Upper756.17
Boll. Lower692.16
ATR 1419.46
Vol (30d ann.)27.7%
YTD+15.51%
Support / Resistance
Resistance
  • R1$721.24
  • R2$747.83
Support
  • S1$694.49
  • S2$685.62
  • S3$608.71
  • S4$605.62
Sentiment + Options
Biasbullish (+4)
52w range posn80.8%
Above 200-day SMA↗
Above 50-day SMA↗
+10.4% over 50d↗
Near 52w high↗
Options · front-month
Put/Call OI2.7
IV30 ATM25.8%
Top call wall$7302K OI
Top put wall$6506K OI
Fundamentals
Market cap—
P/E (TTM)32.44
Forward P/E—
EPS (TTM)—
Beta—
Div yield38.00%
Profit margin—
ROE—
Rev growth—
EPS growth—
Debt/Equity—
Free cash flow—
52w high$748.65
52w low$544.66
Analysts target$—
Short % float—
Business summary

To maintain the correspondence between the composition and weights of the securities in the trust (the "securities") and the stocks in the NASDAQ-100 Index®, the adviser adjusts the securities from time to time to conform to periodic changes in the identity and/or relative weights of index securities. The composition and weighting of the securities portion of a portfolio deposit are also adjusted to conform to changes in the index.

Generated 6/28/2026, 11:38:47 PM · source: fallback

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