The highest composite alignment across pressure, participation, trend fit and volatility.
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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 |
|---|---|---|---|---|---|---|---|---|---|---|
| MFCManulife Financial Corp | Bullish | 50 | 64 | 46 | 47 | 34 | 5.4% | 0.26 | 0.27 | A99/100 |
Bullish
50MFC
Manulife Financial Corp
Priced range
41.30–46.04
- Pressure
- 64
- Participation
- 46
- Trend fit
- 34
- Reference IV
- 0.36
Options imply 41.30 to 46.04. Max pain at 40.00 lies outside the priced range, so it is a weak near-term anchor.
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