Ticker Options Intelligence

FOXA options intelligence

Fox Corp Class A options pressure, expected move, strike concentration, and Sharemaestro trend context.

Conviction 49 Market data through 29 Jul 2026 Checked 30 Jul 2026 02:13 · complete available chain

Call-side pressure

Bullish pressure

FOXA currently carries bullish options pressure with a 49/100 conviction score. The nearest-chain expected move is 9.9%, with volume/open-interest participation at 0.00.

Primary read Bullish

Call-side pressure

Expected move 9.9%

Wider near-term move priced

Activity / OI 0.00

Current volume is quieter versus prior open interest

Put-call 0.15

Call-side skew

Trend fit 0

Options are not fully confirming trend

Weekly backdrop -4.0%

RS -18.5

Expected move 9.9%
Put-call volume 0.15
Volume / OI 0.00
Reference IV 0.40
Max pain 50.00
Underlying 55.31
Nearest expiry 21 Aug 2026
Contracts 288

Options Intent Radar

Earnings/event positioning

76/100
Primary intent Earnings/event positioning

Options activity is concentrated around a live event window, so the cleanest read is event positioning rather than pure direction.

Flow vs price divergence Bullish flow against weak price

Options are leaning call-side while the stock is down on the week, a divergence that needs price confirmation.

Why this matters

Earnings/event positioning matters because it connects the options headline to the actual evidence: $73442 of estimated gross traded notional, calls · 91+ days · 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.

Options pressure+80
1W price-4.0%
Call premium94%
Put premium6%
Notional split C 94% / P 6% Estimated gross traded notional uses volume × contract multiplier × midpoint, or last price when no valid midpoint is available.
Freshness 0.00 Volume divided by open interest across the visible chain.
Trend fit 0/100 Agreement between options pressure and Sharemaestro market context.
Event window 4 Aug Matched earnings event is 5 days away.
Aggregate chain data does not identify trade aggressor or opening versus closing activity; call/put concentration is not proof of market direction.
Conviction clusters Calls · 91+ days · OTM
Calls · 91+ days · OTM calls cluster with 75 contracts traded, $41285 estimated gross traded notional, and 56% of visible notional.
$41285
Calls · 22-45 days · OTM calls cluster with 78 contracts traded, $15540 estimated gross traded notional, and 21% of visible notional.
$15540
Calls · 46-90 days · ITM calls cluster with 5 contracts traded, $5860 estimated gross traded notional, and 8% of visible notional.
$5860
Calls · 91+ days · ITM calls cluster with 3 contracts traded, $5220 estimated gross traded notional, and 7% of visible notional.
$5220
Puts · 46-90 days · ATM puts cluster with 10 contracts traded, $2025 estimated gross traded notional, and 3% of visible notional.
$2025

Setup Classification

Opportunity and risk frame

Context, not advice
Warning Volatility expansion

The tape is pricing or displaying unusually elevated activity.

Warning Event-risk setup

Expected move or upcoming earnings makes the setup more event-sensitive.

Negative Options disagreement

Options positioning is not confirming the underlying trend context.

Activity Anomaly

Quiet tape

0

Activity is muted versus this ticker's stored history.

Volume rank0th
Volume/OI rank0th
IV rank0th

Market Context

Underlying confirmation

Sharemaestro weekly
Close55.31
1W-4.0%
RS-18.5
Fair value+17.6%
Options pressure80
Speculation40
Volatility67
Trend fit0

Today Versus Normal

Stored-options context

View history
Expected move 9.9% elevated
30d avg 9.5% · 1 read 100th
90d avg 9.5% · 1 read 100th
180d avg 9.5% · 1 read 100th
IV 0.40 muted
30d avg 0.40 · 1 read 0th
90d avg 0.40 · 1 read 0th
180d avg 0.40 · 1 read 0th
Put-call 0.15 elevated
30d avg 0.10 · 1 read 100th
90d avg 0.10 · 1 read 100th
180d avg 0.10 · 1 read 100th
Volume/OI 0.00 muted
30d avg 0.00 · 1 read 0th
90d avg 0.00 · 1 read 0th
180d avg 0.00 · 1 read 0th

Pressure Trail

Recent pressure and volatility

Open trail
29 Jul 10:15 Bullish
Pressure 88
Move 9.5%
30 Jul 01:13 Bullish
Pressure 80
Move 9.9%

Strike Map

Where activity is clustering

Full strike map
Strike30.00
Calls · V 0 · OI 1
Puts · V 0 · OI 0
Strike35.00
Calls · V 0 · OI 0
Puts · V 0 · OI 3
Strike40.00
Calls · V 0 · OI 0
Puts · V 2 · OI 59
Strike45.00
Calls · V 0 · OI 0
Puts · V 0 · OI 79
Strike50.00
Calls · V 0 · OI 4138
Puts · V 2 · OI 3239
Strike55.00
Calls · V 0 · OI 688
Puts · V 2 · OI 381
Strike60.00
Calls · V 55 · OI 3312
Puts · V 0 · OI 11
Strike65.00
Calls · V 23 · OI 10
Puts · V 0 · OI 1

Term Structure

Expiration activity

Volume and IV
Expiry21 Aug 2026
Contracts22
Avg IV0.40
Put-call0.08
Expiry18 Sep 2026
Contracts30
Avg IV0.39
Put-call2.60
Expiry16 Oct 2026
Contracts30
Avg IV0.37
Put-call-
Expiry20 Nov 2026
Contracts26
Avg IV0.42
Put-call-
Expiry18 Dec 2026
Contracts26
Avg IV0.41
Put-call0.10

Skew

Call/put IV balance

OTM demand
21 Aug 2026Call IV premium
Call IV0.64
Put IV0.38
Skew-0.26
18 Sep 2026Put IV premium
Call IV0.34
Put IV0.44
Skew0.11
16 Oct 2026Balanced skew
Call IV0.45
Put IV0.42
Skew-0.03
20 Nov 2026Balanced skew
Call IV0.41
Put IV0.46
Skew0.05
18 Dec 2026Balanced skew
Call IV0.40
Put IV0.43
Skew0.04

Contract Tape

Most active contracts

Full contract tape
ContractFOXA260821C00060000
SideCall
Expiry21 Aug 2026
Strike60.00
Volume55
OI3312
IV0.42
ContractFOXA261218C00060000
SideCall
Expiry18 Dec 2026
Strike60.00
Volume49
OI6
IV0.37
ContractFOXA270115C00060000
SideCall
Expiry15 Jan 2027
Strike60.00
Volume25
OI586
IV0.39
ContractFOXA260821C00065000
SideCall
Expiry21 Aug 2026
Strike65.00
Volume23
OI10
IV0.64
ContractFOXA260918P00055000
SidePut
Expiry18 Sep 2026
Strike55.00
Volume10
OI637
IV0.44
ContractFOXA261218P00055000
SidePut
Expiry18 Dec 2026
Strike55.00
Volume5
OI2000
IV0.41
ContractFOXA260918C00050000
SideCall
Expiry18 Sep 2026
Strike50.00
Volume3
OI795
IV0.40
ContractFOXA270115C00042000
SideCall
Expiry15 Jan 2027
Strike42.00
Volume3
OI19
IV0.01