{"latest_run": "2026-08-12T20:50:00.030871+00:00", "coverage_count": 6123, "result_count": 1, "page": 1, "pages": 1, "filters": {"q": "", "ticker": "DAVA", "sector": "", "industry": "", "direction": "", "min_score": 0, "page": 1}, "summary": {"total": 1, "avg_conviction": 42.81, "avg_conviction_label": "42.8", "bullish": 1, "bearish": 0, "volatility": 0, "mixed": 0, "leader": "DAVA", "leader_score": "43", "leader_direction": "bullish", "leader_direction_label": "Bullish", "leader_tone": "positive", "leader_read": "The strongest current read leans call-side, which is generally constructive if the chart also supports it."}, "charts": {"sectors": [{"ticker__sector": "Technology", "count": 1, "avg_score": "42.81", "sector_label": "Technology", "industry_label": "", "sector_url": "/structure/us/technology/", "industry_url": "", "bar_width": 100.0}], "directions": [{"direction": "bullish", "count": 1, "bar_width": 100.0}], "score_bands": [{"slug": "80-plus", "label": "80+", "min": "80", "max": null, "title": "80+ conviction options signals", "summary": "The strongest current options reads, where pressure, participation, volatility context, and trend fit are most aligned.", "count": 0, "url": "/options/conviction/80-plus/", "bar_width": 0.0}, {"slug": "60-79", "label": "60-79", "min": "60", "max": "80", "title": "60-79 conviction options signals", "summary": "Strong options setups with meaningful evidence, usually worth deeper confirmation in the ticker detail and weekly chart.", "count": 0, "url": "/options/conviction/60-79/", "bar_width": 0.0}, {"slug": "40-59", "label": "40-59", "min": "40", "max": "60", "title": "40-59 conviction options signals", "summary": "Developing options reads where the tape is active, but one or more confirmation layers still need context.", "count": 1, "url": "/options/conviction/40-59/", "bar_width": 100.0}, {"slug": "under-40", "label": "<40", "min": null, "max": "40", "title": "Under 40 conviction options signals", "summary": "Early, mixed, or lower-conviction options reads that can still be useful as watchlist context.", "count": 0, "url": "/options/conviction/under-40/", "bar_width": 0.0}]}, "signals": [{"symbol": "DAVA", "name": "Endava Ltd", "exchange": "NYSE", "country": "US", "currency": "USD", "sector": "Technology", "industry": "Software - Infrastructure", "sector_url": "https://sharemaestro.com/structure/us/technology/", "industry_url": "https://sharemaestro.com/structure/us/technology/software-infrastructure/", "direction": "bullish", "direction_label": "Bullish", "tone": "positive", "conviction_score": 42.81, "options_pressure_score": 78.67, "trend_confirmation_score": 0.0, "speculation_score": 0.74, "volatility_score": 96.0, "edge_label": "Call-side pressure", "insight": "DAVA shows bullish options pressure with a 43/100 conviction score, put-call volume ratio of 0.17, expected move of 30.1%, and Sharemaestro trend signal inactive.", "fetched_at": "2026-08-11T11:44:08.099533+00:00", "snapshot": {"fetched_at": "2026-08-11T11:44:08.099533+00:00", "underlying_price": 2.95, "total_contracts": 26, "call_contracts": 13, "put_contracts": 13, "call_volume": 6, "put_volume": 1, "call_open_interest": 1373, "put_open_interest": 544, "put_call_volume_ratio": 0.16666667, "put_call_open_interest_ratio": 0.39621267, "volume_open_interest_ratio": 0.00365154, "avg_implied_volatility": 1.73190833, "max_pain_strike": 2.5, "expected_move_percent": 30.06594179, "nearest_expiration": "2026-08-21"}, "market": {"latest_close": 2.95, "one_week_change": -1.3377926421404682, "one_week_change_label": "-1.3%", "relative_strength": -57.723262, "fair_value_gap_label": "-88.6%", "trend_signal": "0"}, "premium_flags": [{"label": "Priced move", "value": "30.1%", "detail": "Options are pricing a wider near-term move."}, {"label": "Trend conflict", "value": "0", "detail": "Options positioning is not confirming the underlying trend context."}], "intent": {"slug": "earningsevent-positioning", "label": "Earnings/event positioning", "tone": "warning", "confidence": 82.6, "confidence_label": "83/100", "summary": "Options activity is concentrated around a live event window, so the cleanest read is event positioning rather than pure direction.", "evidence": [{"label": "Notional split", "value": "C 41% / P 59%", "detail": "Estimated gross traded notional uses volume \u00d7 contract multiplier \u00d7 midpoint, or last price when no valid midpoint is available."}, {"label": "Freshness", "value": "0.00", "detail": "Volume divided by open interest across the visible chain."}, {"label": "Trend fit", "value": "0/100", "detail": "Agreement between options pressure and Sharemaestro market context."}, {"label": "Event window", "value": "3 Sep", "detail": "Matched earnings event is 21 days away."}], "watchouts": ["Aggregate chain data does not identify trade aggressor or opening versus closing activity; call/put concentration is not proof of market direction."]}, "flow_divergence": {"label": "Bullish flow against weak price", "tone": "warning", "score": 39.5, "score_label": "40/100", "summary": "Options are leaning call-side while the stock is down on the week, a divergence that needs price confirmation.", "metrics": [{"label": "Options pressure", "value": "+79"}, {"label": "1W price", "value": "-1.3%"}, {"label": "Call premium", "value": "41%"}, {"label": "Put premium", "value": "59%"}]}, "conviction_clusters": [{"label": "Puts \u00b7 91+ days \u00b7 OTM", "tone": "negative", "volume": 1, "open_interest": 35, "premium": 42.5, "premium_label": "$42", "premium_share": 58.62068965517241, "weighted_strike": 2.5, "avg_iv": 0.95144, "max_voi": 0.02857143, "why": "puts cluster with 1 contracts traded, $42 estimated gross traded notional, and 59% of visible notional."}, {"label": "Calls \u00b7 46-90 days \u00b7 OTM", "tone": "positive", "volume": 6, "open_interest": 825, "premium": 30.0, "premium_label": "$30", "premium_share": 41.37931034482759, "weighted_strike": 7.083333333333333, "avg_iv": 0.9254233333333334, "max_voi": 0.08196721, "why": "calls cluster with 6 contracts traded, $30 estimated gross traded notional, and 41% of visible notional."}], "why_this_matters": "Earnings/event positioning matters because it connects the options headline to the actual evidence: $72 of estimated gross traded notional, puts \u00b7 91+ days \u00b7 otm, and a bullish flow against weak price backdrop. Use it as a research priority signal, then validate the chart, liquidity, event calendar, and risk before acting.", "detail_url": "https://sharemaestro.com/options/ticker/4f357a92-f341-4e5e-9e41-12635a2024c4/", "research_links": {"chart": "/terminal/4f357a92-f341-4e5e-9e41-12635a2024c4/", "report": "/terminal/4f357a92-f341-4e5e-9e41-12635a2024c4/report/", "factor": "/factors/ticker/4f357a92-f341-4e5e-9e41-12635a2024c4/"}}], "disclaimer": "Educational market research only. Not financial, investment, trading, tax, or legal advice."}