The highest composite alignment across pressure, participation, trend fit and volatility.
Options Research
Compare current setups
Put up to five tickers on the same scale. The comparison separates directional pressure, participation, volatility, trend agreement and data quality.
The largest near-term move currently implied by the retained chain.
The most active setup relative to open interest and contract-level flow.
The comparison member with the strongest underlying, chain, quote and volatility coverage.
Side-by-side evidence
One scale, comparable inputs
| Ticker | Read | Conviction | Pressure | Participation | Volatility | Trend fit | Expected move | Put-call | Volume/OI | Evidence |
|---|---|---|---|---|---|---|---|---|---|---|
| GEVGE Vernova LLC | Mixed | 45 | -13 | 43 | 71 | 90 | 6.9% | 1.04 | 0.14 | B79/100 |
Mixed
45GEV
GE Vernova LLC
Priced range
921.64–1058.94
- Pressure
- -13
- Participation
- 43
- Trend fit
- 90
- Reference IV
- 0.62
Options imply 921.64 to 1058.94. Max pain at 1000.00 sits inside that range, 1.0% above spot.
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