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Contract cost = premium × 100 multiplier0dte
0DTE (Intraday)CALLAMD$152.5ATM
SIMULATEDNear Entry
2026-06-30 · 0d · 0DTE (Intraday)
Score
/100
Premium / share$1.94
Total contract cost (×100)$194
Max loss$194
Direction80
Liquidity90
Pricing
Bid$1.91
Ask$1.98
Mid$1.94
Spread3.6%
Vol1,770
OI3,888
IV62.3%
Break-even$154.44
Greeks
ModelΔ0.50
Γ0.080
Θ-1.00
ν0.03
Risk
Alert time02:49 PM
Stop loss$1.57
Stop %-19%
Risk/contract$37
Why selected
- ·Trend aligned (bullish)
- ·Delta 0.50 fits 0d horizon
- ·Strong liquidity (tight spread, deep OI)
- · Heavy theta decay — short time to expiration.
PUTAAPL$230ATM
SIMULATEDConfirmed
2026-06-30 · 0d · 0DTE (Intraday)
Score
/100
Premium / share$2.85
Total contract cost (×100)$285
Max loss$285
Direction87
Liquidity88
Pricing
Bid$2.81
Ask$2.89
Mid$2.85
Spread2.8%
Vol1,419
OI2,525
IV41.0%
Break-even$227.15
Greeks
ModelΔ-0.62
Γ0.077
Θ-0.92
ν0.04
Risk
Alert time02:49 PM
Stop loss$2.31
Stop %-19%
Risk/contract$54
Why selected
- ·Trend aligned (bearish)
- ·Delta 0.62 fits 0d horizon
- ·Strong liquidity (tight spread, deep OI)
- · Heavy theta decay — short time to expiration.
1-3
1–3 daysCALLGOOGL$175ATM
SIMULATEDConfirmed
2026-07-01 · 1d · 1–3 days
Score
/100
Premium / share$1.40
Total contract cost (×100)$140
Max loss$140
Direction80
Liquidity96
Pricing
Bid$1.38
Ask$1.43
Mid$1.40
Spread3.6%
Vol5,447
OI9,884
IV40.8%
Break-even$176.40
Greeks
ModelΔ0.48
Γ0.107
Θ-0.76
ν0.04
Risk
Alert time02:49 PM
Stop loss$1.14
Stop %-19%
Risk/contract$26
Why selected
- ·Trend aligned (bullish)
- ·Delta 0.49 fits 1d horizon
- ·Strong liquidity (tight spread, deep OI)
- · Heavy theta decay — short time to expiration.
- · Elevated IV — premium may decay quickly after a catalyst.
PUTAAPL$227.5ATM
SIMULATEDConfirmed
2026-07-01 · 1d · 1–3 days
Score
/100
Premium / share$1.47
Total contract cost (×100)$147
Max loss$147
Direction90
Liquidity95
Pricing
Bid$1.46
Ask$1.49
Mid$1.47
Spread2%
Vol2,149
OI6,520
IV40.0%
Break-even$226.03
Greeks
ModelΔ-0.42
Γ0.082
Θ-0.92
ν0.05
Risk
Alert time02:49 PM
Stop loss$1.19
Stop %-19%
Risk/contract$28
Why selected
- ·Trend aligned (bearish)
- ·Delta 0.42 fits 1d horizon
- ·Strong liquidity (tight spread, deep OI)
- · Heavy theta decay — short time to expiration.
4-14
4–14 daysCALLGOOGL$177.5OTM
SIMULATEDConfirmed
2026-07-10 · 10d · 4–14 days
Score
/100
Premium / share$2.92
Total contract cost (×100)$292
Max loss$292
Direction82
Liquidity95
Pricing
Bid$2.86
Ask$2.99
Mid$2.92
Spread4.4%
Vol4,247
OI7,656
IV34.8%
Break-even$180.42
Greeks
ModelΔ0.41
Γ0.039
Θ-0.20
ν0.11
Risk
Alert time02:49 PM
Stop loss$2.02
Stop %-31%
Risk/contract$90
Why selected
- ·Trend aligned (bullish)
- ·Delta 0.41 fits 10d horizon
- ·Strong liquidity (tight spread, deep OI)
- · Elevated IV — premium may decay quickly after a catalyst.
PUTAAPL$225OTM
SIMULATEDConfirmed
2026-07-06 · 6d · 4–14 days
Score
/100
Premium / share$2.44
Total contract cost (×100)$244
Max loss$244
Direction92
Liquidity94
Pricing
Bid$2.38
Ask$2.51
Mid$2.44
Spread5.3%
Vol7,060
OI7,698
IV34.3%
Break-even$222.56
Greeks
ModelΔ-0.35
Γ0.037
Θ-0.30
ν0.11
Risk
Alert time02:49 PM
Stop loss$1.86
Stop %-24%
Risk/contract$58
Why selected
- ·Trend aligned (bearish)
- ·Delta 0.35 fits 6d horizon
- ·Strong liquidity (tight spread, deep OI)
15-45
15–45 daysCALLGOOGL$180OTM
SIMULATEDNear Entry
2026-07-20 · 20d · 15–45 days
Score
/100
Premium / share$2.77
Total contract cost (×100)$277
Max loss$277
Direction77
Liquidity92
Pricing
Bid$2.71
Ask$2.84
Mid$2.77
Spread4.7%
Vol3,171
OI4,590
IV28.9%
Break-even$182.77
Greeks
ModelΔ0.36
Γ0.032
Θ-0.12
ν0.15
Risk
Alert time02:49 PM
Stop loss$1.94
Stop %-30%
Risk/contract$83
Why selected
- ·Trend aligned (bullish)
- ·Strong liquidity (tight spread, deep OI)
- ·Affordable premium (1.6% of spot)
- · Elevated IV — premium may decay quickly after a catalyst.
PUTAAPL$222.5OTM
SIMULATEDNear Entry
2026-07-17 · 17d · 15–45 days
Score
/100
Premium / share$2.93
Total contract cost (×100)$293
Max loss$293
Direction84
Liquidity91
Pricing
Bid$2.86
Ask$3.00
Mid$2.93
Spread4.8%
Vol3,177
OI3,721
IV28.6%
Break-even$219.57
Greeks
ModelΔ-0.31
Γ0.025
Θ-0.14
ν0.17
Risk
Alert time02:49 PM
Stop loss$1.96
Stop %-33%
Risk/contract$97
Why selected
- ·Trend aligned (bearish)
- ·Strong liquidity (tight spread, deep OI)
- ·Affordable premium (1.3% of spot)
46-180
46–180 daysCALLGOOGL$185OTM
SIMULATEDNear Entry
2026-08-21 · 52d · 46–180 days
Score
/100
Premium / share$2.87
Total contract cost (×100)$287
Max loss$287
Direction63
Liquidity87
Pricing
Bid$2.77
Ask$2.97
Mid$2.87
Spread7%
Vol2,646
OI2,816
IV23.7%
Break-even$187.87
Greeks
ModelΔ0.30
Γ0.022
Θ-0.06
ν0.23
Risk
Alert time02:49 PM
Stop loss$1.86
Stop %-35%
Risk/contract$101
Why selected
- ·Trend aligned (bullish)
- ·Strong liquidity (tight spread, deep OI)
- ·Affordable premium (1.6% of spot)
- · Elevated IV — premium may decay quickly after a catalyst.
PUTAVGO$157.5OTM
SIMULATEDWatching
2026-09-18 · 80d · 46–180 days
Score
/100
Premium / share$2.60
Total contract cost (×100)$260
Max loss$260
Direction53
Liquidity82
Pricing
Bid$2.49
Ask$2.72
Mid$2.60
Spread8.8%
Vol1,644
OI2,421
IV28.4%
Break-even$154.90
Greeks
ModelΔ-0.19
Γ0.012
Θ-0.04
ν0.22
Risk
Alert time02:49 PM
Stop loss$1.77
Stop %-32%
Risk/contract$83
Why selected
- ·Strong liquidity (tight spread, deep OI)
- ·Affordable premium (1.5% of spot)
leaps
LEAPS (180d+)CALL · LEAPS (180d+)
No High-Quality Setup — Wait for Confirmation
Filtered: contract did not meet minimum liquidity threshold.
PUT · LEAPS (180d+)
No High-Quality Setup — Wait for Confirmation
Filtered: contract did not meet minimum liquidity threshold.