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.

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Maximum five tickers. Scores measure evidence alignment, not the probability of a gain.

Strongest evidence alignment SMX 47/100

The highest composite alignment across pressure, participation, trend fit and volatility.

Widest priced move SMX 96.7%

The largest near-term move currently implied by the retained chain.

Strongest participation SMX 48/100

The most active setup relative to open interest and contract-level flow.

Cleanest evidence SMX A · 95/100

The comparison member with the strongest underlying, chain, quote and volatility coverage.

Side-by-side evidence

One scale, comparable inputs

1 current setups
Ticker Read Conviction Pressure Participation Volatility Trend fit Expected move Put-call Volume/OI Evidence
SMXSMX (Security Matters) Public Limited Company Class A Ordinary Shares Volatility 47 64 48 96 0 96.7% 0.20 0.36 A95/100
Volatility

SMX

SMX (Security Matters) Public Limited Company Class A Ordinary Shares

47
Priced range 0.53–31.33
Pressure
64
Participation
48
Trend fit
0
Reference IV
5.22

Options imply 0.53 to 31.33. Max pain at 20.00 sits inside that range, 25.5% above spot.

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