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Supply & Demand Scenario Watchlist โ€” 2026-08-30

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Mark each card Accurate / Mixed / Incorrect as you manually backtest. Marks are saved in this browser only โ€” export to keep a durable record or aggregate across days.
Generated: 2026-08-30 09:00 AM EDT America/New_York
Price source: latest downloaded market price; timestamp-aware overrides only
Final report filter: setup grades A+ and above, minimum T1 R:R 1:2.50
Entry-confirmation score is intentionally reserved for backtesting/trade review, not watchlist inclusion.
Latest OHLCV bar seen: 2026-08-28 03:55 PM EDT (5M regular-session source)
Latest price uses the newest downloaded bar for proximity; the Alpaca feed is 15-min delayed, so it trails the live tape by ~15-20 min. Zones are built from regular-session candles only. Candidates are excluded entirely while current price is inside any active zone because that state is unresolved consolidation/chop. Stale quote overrides are ignored when downloaded bars are newer.
Final setups
21
All candidates
176
Bullish / bearish
6 / 15
Avg. distance
2.12%

Mag7 โ€” Next-Day Signal Summary

Core names at a glance for tomorrow, whether or not they made the final list. ๐ŸŸข = setup carries a backtest-validated edge (Textbook geometry / Steady momentum โ€” the strongest cells in the backtest); ๐ŸŸก = setup present, no validated edge; โšช = no setup near price.
NameSignal / leanBest next-day setupValidated edgeNearest S/DWeekly / RS
AAPL
$320.13
๐ŸŸก putsDemand Breakdown / Continuation โ€” Puts โ†’ puts @ $319.05 ยท R:R 1:6.00 (developing)
zone $319.05โ€“$319.55 ยท grade B
TextbookS $320.71 / D $319.55bullish wk
lagging QQQ by -0.6% over 20d
AMZN
$266.16
๐ŸŸข putsSupply Rejection โ€” Puts โ†’ puts @ $267.24 ยท R:R 1:0.25 โ˜… final list
zone $267.24โ€“$269.58 ยท grade B
Textbook Steady mom.S $267.24 / D $265.30bullish wk
lagging QQQ by -6.0% over 20d
GOOGL
$346.20
๐ŸŸก callsDemand Reversal / Hold โ€” Calls โ†’ calls @ $341.04 ยท R:R 1:1.49 (developing)
zone $338.52โ€“$341.04 ยท grade B
Steady mom.S $357.61 / D $341.04bearish-leaning wk
lagging QQQ by -6.8% over 20d
META
$578.35
๐ŸŸข puts ยท trend-alignedSupply Rejection โ€” Puts โ†’ puts @ $585.61 ยท R:R 1:0.07 โ˜… final list
zone $585.61โ€“$614.65 ยท grade B
Textbook Steady mom.S $585.61 / D $575.97bearish wk
lagging QQQ by -0.3% over 20d
MSFT
$513.05
๐ŸŸก calls ยท trend-alignedDemand Reversal / Hold โ€” Calls โ†’ calls @ $496.36 ยท R:R 1:0.17 (developing)
zone $493.34โ€“$496.36 ยท grade B
Steady mom.S $516.47 / D $505.50bullish wk
leading QQQ by +6.4% over 20d
NVDA
$217.88
๐ŸŸก putsSupply Rejection โ€” Puts โ†’ puts @ $226.10 ยท R:R 1:0.50 (developing)
zone $226.10โ€“$231.50 ยท grade B
Steady mom.S $218.40 / D $211.05bullish wk
leading QQQ by +4.2% over 20d
TSLA
$348.12
๐ŸŸข puts ยท trend-alignedSupply Rejection โ€” Puts โ†’ puts @ $351.19 ยท R:R 1:0.07 โ˜… final list
zone $351.19โ€“$358.80 ยท grade B
Textbook Steady mom.S $351.19 / D $347.33bearish wk
leading QQQ by +7.9% over 20d
Excellent: 1:4+ Strong: 1:2.5โ€“1:3.99 Acceptable: 1:2.0โ€“1:2.49 Watch only: 1:1.5โ€“1:1.99 Poor: <1:1.5

Quick View

SectionSymbolContractScenarioSetup GradeCurrent PriceZoneDistanceT1 R:RR:R RangeTarget Ladder
FutureCRMPutsDemand Breakdown / Continuation โ€” PutsA+$256.484H/1H demand $250.11โ€“$252.512.48%1:6.00T1 1:18.33 โ†’ T3 1:25.47T1: 1D/4H/3H/2H/90m/1H demand @ 206.11 (RR 18.33, fresh, tests 0, quality 21.5) | T2: 1D/4H/3H/2H/90m/1H demand @ 198.41 (RR 21.54, fresh, tests 0, quality 18.3) | T3: 1D/4H/3H/2H/90m/1H demand @ 188.99 (RR 25.47, fresh, tests 0, quality 17.4) | T4: 1D/4H/3H/2H/90m/1H demand @ 181.50 (RR 28.59, fresh, tests 0, quality 16.8) | T5: 4H/3H/1H demand @ 175.75 (RR 30.98, fresh, tests 0, quality 15.3)
FutureASTSPutsSupply Rejection โ€” PutsA+$58.091D/4H/3H/2H/1H supply $59.85โ€“$61.633.03%1:2.55T1 1:2.55 โ†’ T3 1:5.47T1: 1D demand @ 49.08 (RR 2.55, fresh, tests 0, quality 16.1) | T2: 1D demand @ 41.93 (RR 4.56, fresh, tests 0, quality 15.6) | T3: 1D demand @ 38.72 (RR 5.47, fresh, tests 0, quality 13.9)
FutureRBLXCallsSupply Breakout / Continuation โ€” CallsA+$38.581D/4H/3H/2H/90m/1H supply $38.70โ€“$40.194.17%1:6.00T1 1:6.52 โ†’ T3 1:9.95T1: 4H/3H/2H/90m/1H supply @ 49.90 (RR 6.52, fresh, tests 0, quality 16.8) | T2: 1D/4H/2H/90m/1H supply @ 52.45 (RR 8.23, fresh, tests 0, quality 17.0) | T3: 2H/90m/1H supply @ 55.02 (RR 9.95, one_test, tests 1, quality 9.5) | T4: 1D/4H/3H/2H/90m/1H supply @ 55.81 (RR 10.48, fresh, tests 0, quality 17.3) | T5: 3H/2H/1H supply @ 59.63 (RR 13.05, fresh, tests 0, quality 14.2)
Near-TermQQQCallsSupply Breakout / Continuation โ€” CallsA+$716.254H/3H supply $719.76โ€“$721.630.75%1:4.40T1 1:4.40 โ†’ T2 1:7.56T1: 1D/4H/3H/2H/90m/1H supply @ 729.85 (RR 4.40, fresh, tests 0, quality 20.0) | T2: 1D/4H/3H/2H/90m/1H supply @ 735.76 (RR 7.56, fresh, tests 0, quality 18.4)
FutureCOSTPutsDemand Breakdown / Continuation โ€” PutsA+$946.001D/4H/3H/2H/90m/1H demand $907.21โ€“$924.884.10%1:2.61T1 1:2.61T1: 1D demand @ 861.14 (RR 2.61, fresh, tests 0, quality 14.5)
Near-TermSMCICallsDemand Reversal / Hold โ€” CallsB$37.041D/4H/3H/2H/90m/1H demand $34.09โ€“$36.491.48%1:0.29T1 1:0.29 โ†’ T3 1:2.78T1: 1D/4H/3H/2H/90m/1H supply @ 37.91 (RR 0.29, fresh, tests 0, quality 16.7) | T2: 1D/4H/3H/2H/90m/1H supply @ 43.81 (RR 2.29, fresh, tests 0, quality 18.0) | T3: 1D/4H/3H/2H/90m/1H supply @ 45.23 (RR 2.78, fresh, tests 0, quality 18.6) | T4: 1D/4H/3H/2H/90m/1H supply @ 48.76 (RR 3.97, fresh, tests 0, quality 18.1) | T5: 1D supply @ 57.63 (RR 6.98, fresh, tests 0, quality 15.7)
Near-TermUBERPutsSupply Rejection โ€” PutsB$78.821D/4H/3H/2H/90m/1H supply $79.16โ€“$81.960.43%1:0.10T1 1:0.10 โ†’ T3 1:0.98T1: 2H/90m demand @ 78.52 (RR 0.10, fresh, tests 0, quality 10.2) | T2: 1D/4H/3H/2H/90m/1H demand @ 77.66 (RR 0.37, fresh, tests 0, quality 16.8) | T3: 1D/4H/3H/2H/90m/1H demand @ 75.75 (RR 0.98, fresh, tests 0, quality 17.8) | T4: 4H/2H/90m demand @ 70.91 (RR 2.52, fresh, tests 0, quality 17.4) | T5: 90m/1H demand @ 70.13 (RR 2.77, fresh, tests 0, quality 10.8)
Near-TermSHOPPutsSupply Rejection โ€” PutsB$152.894H/3H/2H/90m/1H supply $153.59โ€“$156.490.46%1:0.35T1 1:0.35 โ†’ T3 1:8.89T1: 3H demand @ 151.62 (RR 0.35, fresh, tests 0, quality 11.1) | T2: 1D/4H/3H/2H/90m/1H demand @ 149.81 (RR 0.86, fresh, tests 0, quality 17.2) | T3: 2H/90m/1H demand @ 120.89 (RR 8.89, fresh, tests 0, quality 14.3) | T4: 4H/2H/90m/1H demand @ 117.80 (RR 9.75, fresh, tests 0, quality 16.2) | T5: 1D/4H/3H/2H/90m/1H demand @ 114.24 (RR 10.74, fresh, tests 0, quality 19.5)
Near-TermMETAPutsSupply Rejection โ€” PutsB$578.351D/4H/3H/2H/90m/1H supply $585.61โ€“$614.651.26%1:0.07T1 1:0.07 โ†’ T3 1:0.33T1: 2H/90m demand @ 575.97 (RR 0.07, fresh, tests 0, quality 10.1) | T2: 4H/3H/2H/90m/1H demand @ 571.13 (RR 0.20, fresh, tests 0, quality 14.9) | T3: 4H/3H/2H/90m/1H demand @ 566.46 (RR 0.33, one_test, tests 1, quality 11.4) | T4: 1H demand @ 559.70 (RR 0.51, fresh, tests 0, quality 8.9) | T5: 1H demand @ 556.16 (RR 0.61, one_test, tests 1, quality 4.8, soft obstacle: low_quality)
FutureCOINPutsSupply Rejection โ€” PutsB$178.351D/4H/3H/2H/90m/1H supply $183.27โ€“$199.872.76%1:0.05T1 1:0.05 โ†’ T3 1:1.40T1: 90m/1H demand @ 177.17 (RR 0.05, fresh, tests 0, quality 10.1) | T2: 1D/4H/3H/2H/1H demand @ 173.00 (RR 0.25, fresh, tests 0, quality 20.4) | T3: 1D/4H/3H/2H/90m/1H demand @ 148.18 (RR 1.40, fresh, tests 0, quality 20.0) | T4: 4H/2H/1H demand @ 140.93 (RR 1.74, multiple_tests, tests 3, quality 10.6)
Near-TermTSLAPutsSupply Rejection โ€” PutsB$348.124H/3H/2H/90m/1H supply $351.19โ€“$358.800.88%1:0.07T1 1:0.07 โ†’ T3 1:3.45T1: 1D/4H/3H/2H/90m/1H demand @ 347.33 (RR 0.07, fresh, tests 0, quality 17.7) | T2: 1D/4H/3H/2H/90m/1H demand @ 319.53 (RR 2.68, fresh, tests 0, quality 18.6) | T3: 1D/4H/3H/2H/90m/1H demand @ 311.21 (RR 3.45, fresh, tests 0, quality 17.2)
Near-TermUBERCallsDemand Reversal / Hold โ€” CallsB$78.821D/4H/3H/2H/90m/1H demand $76.20โ€“$77.661.47%1:0.13T1 1:0.13 โ†’ T3 1:1.42T1: 1D/4H/3H/2H/90m/1H supply @ 79.16 (RR 0.13, fresh, tests 0, quality 17.0) | T2: 2H/90m/1H supply @ 81.98 (RR 1.21, multiple_tests, tests 3, quality 6.1) | T3: 3H/2H/90m/1H supply @ 82.54 (RR 1.42, fresh, tests 0, quality 13.1) | T4: 90m/1H supply @ 83.64 (RR 1.84, fresh, tests 0, quality 11.4) | T5: 1H supply @ 85.04 (RR 2.37, one_test, tests 1, quality 5.2, soft obstacle: low_quality)
FutureSMCIPutsSupply Rejection โ€” PutsB$37.041D/4H/3H/2H/90m/1H supply $37.91โ€“$40.502.35%1:0.16T1 1:0.16 โ†’ T3 1:2.39T1: 1D/4H/3H/2H/90m/1H demand @ 36.49 (RR 0.16, fresh, tests 0, quality 19.8) | T2: 1D/4H/3H/2H/90m/1H demand @ 32.02 (RR 1.45, fresh, tests 0, quality 21.6) | T3: 1D/4H/3H/2H/90m/1H demand @ 28.78 (RR 2.39, fresh, tests 0, quality 18.5) | T4: 4H/3H/2H/90m/1H demand @ 25.48 (RR 3.34, fresh, tests 0, quality 20.5) | T5: 3H demand @ 24.19 (RR 3.71, fresh, tests 0, quality 10.8)
FutureMSTRPutsSupply Rejection โ€” PutsB$127.944H/3H/2H/90m/1H supply $132.00โ€“$139.783.17%1:0.07T1 1:0.07 โ†’ T3 1:0.65T1: 90m/1H demand @ 127.10 (RR 0.07, fresh, tests 0, quality 9.4) | T2: 1D/4H/3H/2H/90m/1H demand @ 123.82 (RR 0.35, fresh, tests 0, quality 20.0) | T3: 4H/3H/2H/90m/1H demand @ 120.28 (RR 0.65, one_test, tests 1, quality 13.2) | T4: 4H/3H/2H/90m/1H demand @ 112.33 (RR 1.32, fresh, tests 0, quality 17.7) | T5: 90m/1H demand @ 103.56 (RR 2.06, fresh, tests 0, quality 10.2)
Near-TermAMZNPutsSupply Rejection โ€” PutsB$266.164H/3H/2H/90m/1H supply $267.24โ€“$269.580.41%1:0.25T1 1:0.25 โ†’ T3 1:10.77T1: 90m/1H demand @ 265.30 (RR 0.25, fresh, tests 0, quality 10.2) | T2: 1D/4H/3H/2H/90m/1H demand @ 259.23 (RR 2.03, fresh, tests 0, quality 18.7) | T3: 1D/3H/90m/1H demand @ 229.31 (RR 10.77, fresh, tests 0, quality 18.9) | T4: 4H/3H/2H demand @ 225.23 (RR 11.97, fresh, tests 0, quality 17.2) | T5: 4H/3H/2H/90m/1H demand @ 221.79 (RR 12.97, fresh, tests 0, quality 15.9)
Near-TermSHOPCallsDemand Reversal / Hold โ€” CallsB$152.893H demand $150.15โ€“$151.620.83%1:0.26T1 1:0.26 โ†’ T3 1:5.31T1: 4H/3H/2H/90m/1H supply @ 153.59 (RR 0.26, fresh, tests 0, quality 15.4) | T2: 1D/1H supply @ 157.99 (RR 1.86, multiple_tests, tests 2, quality 8.0) | T3: 1D supply @ 167.44 (RR 5.31, fresh, tests 0, quality 16.6) | T4: 1D supply @ 179.01 (RR 9.53, one_test, tests 1, quality 10.7)
FutureTSLAPutsSupply Rejection โ€” PutsB$348.124H/3H/2H/90m/1H supply $362.88โ€“$366.504.24%1:0.04T1 1:0.04 โ†’ T3 1:2.01T1: 1D/4H/3H/2H/90m/1H demand @ 347.33 (RR 0.04, fresh, tests 0, quality 17.7) | T2: 1D/4H/3H/2H/90m/1H demand @ 319.53 (RR 1.55, fresh, tests 0, quality 18.6) | T3: 1D/4H/3H/2H/90m/1H demand @ 311.21 (RR 2.01, fresh, tests 0, quality 17.2)
Near-TermHIMSPutsSupply Rejection โ€” PutsB$28.881H supply $29.45โ€“$29.841.97%1:1.07T1 1:1.07 โ†’ T3 1:3.33T1: 1D/4H/3H/2H/90m demand @ 27.85 (RR 1.07, fresh, tests 0, quality 18.3) | T2: 2H/90m demand @ 26.64 (RR 2.33, fresh, tests 0, quality 9.7) | T3: 4H/3H/2H demand @ 25.68 (RR 3.33, fresh, tests 0, quality 13.6) | T4: 1D/4H/3H/2H/90m demand @ 23.88 (RR 5.21, fresh, tests 0, quality 18.1) | T5: 4H/3H/2H/90m/1H demand @ 23.07 (RR 6.05, fresh, tests 0, quality 15.8)
FutureRKLBPutsSupply Rejection โ€” PutsB$64.521D/4H/3H/2H/1H supply $66.91โ€“$67.753.70%1:2.22T1 1:2.22 โ†’ T3 1:4.79T1: 4H/3H/2H/90m/1H demand @ 57.36 (RR 2.22, fresh, tests 0, quality 16.5) | T2: 1D demand @ 56.10 (RR 2.61, fresh, tests 0, quality 15.8) | T3: 1D demand @ 49.05 (RR 4.79, fresh, tests 0, quality 13.9) | T4: 1D demand @ 41.90 (RR 7.00, fresh, tests 0, quality 13.6) | T5: 1D demand @ 40.30 (RR 7.50, one_test, tests 1, quality 10.3)
Near-TermRKLBPutsSupply Rejection โ€” PutsB$64.521H supply $65.44โ€“$65.891.43%1:5.23T1 1:5.23 โ†’ T3 1:11.29T1: 4H/3H/2H/90m/1H demand @ 57.36 (RR 5.23, fresh, tests 0, quality 16.5) | T2: 1D demand @ 56.10 (RR 6.15, fresh, tests 0, quality 15.8) | T3: 1D demand @ 49.05 (RR 11.29, fresh, tests 0, quality 13.9) | T4: 1D demand @ 41.90 (RR 16.51, fresh, tests 0, quality 13.6) | T5: 1D demand @ 40.30 (RR 17.68, one_test, tests 1, quality 10.3)

Final / Actionable Setups

๐Ÿ“‰ CRM โ€” Demand Breakdown / Continuation โ€” Puts

Setup Grade A+ Steady momentum Puts
269.33263.87258.41252.95247.49Demand 250.11โ€“252.51Supply 257.90โ€“267.82Current 256.4808/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$256.48
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
2.48% โ€ข $6.36 โ€ข 0.59ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$10.87
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
80.8 (overbought)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Momentum: RSI leaning against the break (backtest: 32% win, +0.09 avg R)
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-12-02 (94d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-12-02 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
approaching demand with weakness โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
4H/1H demand
$250.11โ€“$252.51
Tight core (where 2 zones align): $251.72โ€“$251.96 โ€” precise level to watch inside the zone.
T1 R:R
1:6.00
Demand top / risk area
$252.51
Demand bottom / breakdown
$250.11
Target ladder:
TierZoneR:RFresh
T11D/4H/3H/2H/90m/1H demand @ 206.111:18.33Fresh
T21D/4H/3H/2H/90m/1H demand @ 198.411:21.54Fresh
T31D/4H/3H/2H/90m/1H demand @ 188.991:25.47Fresh
Puts confirmation checklist
  • โ–ก 5M close below demand
  • โ–ก hold/retest below zone
  • โ–ก volume expands on break or continuation
  • โ–ก below 9EMA/VWAP
  • โ–ก lower-low or lower-high structure
๐Ÿ“‰ Break Below Demand $250.11 (Bearish): If we BREAK below the 4H demand zone below $250.11 and prices maintain below the open price, holding the 9EMA & VWAP as resistance and forming lower lows, I'll be closely monitoring the strength of the market for potential continuation to the downside. I'll be interested in playing it short, targeting the 1D demand zone identified at $206.11, holding below the 9EMA.
Daily trend: CRM is in a bullish daily trend (Bullish HH/HL), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): CRM weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 70.2).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +35.0% over 20d (CRM +39.1% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 1 is 4.63x daily ATR away with elevated volume support -- more likely to need multiple days than one. Trade geometry: $6.37 approach to the trigger, $2.40 zone thickness (the stop), $44.00 runway to the next zone -- 18.3:1 at the trigger, 4.63x daily ATR total. Not textbook geometry: the approach alone burns 0.59x daily ATR before entry; the full move is 4.63x daily ATR -- more than a typical day delivers. Prior momentum: steady and aligned with the trade direction -- the backtest's best continuation profile (+0.55 avg R when paired with textbook geometry).

๐Ÿ“‰ ASTS โ€” Supply Rejection โ€” Puts

Setup Grade A+ Steady momentum Reversal: 1:3 runway Puts
62.1160.3658.6256.8755.12Demand 55.60โ€“60.65Supply 59.85โ€“61.63Current 58.0908/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$58.09
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
3.03% โ€ข $1.76 โ€ข 0.44ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$3.96
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
39.2 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-09 (71d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-09 report, so neither pays the earnings IV premium.
Volume / movement context
absorption possible
approaching supply grinding โ€ข gap into demand
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/1H supply
$59.85โ€“$61.63
Tight core (where 8 zones align): $61.06โ€“$61.19 โ€” precise level to watch inside the zone.
T1 R:R
1:2.55
Supply top / failure
$61.63
Supply bottom / rejection
$59.85
Target ladder:
TierZoneR:RFresh
T11D demand @ 49.081:2.55Fresh
T21D demand @ 41.931:4.56Fresh
T31D demand @ 38.721:5.47Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $59.85 (Bearish): If price tests & holds below the 1D supply zone at $59.85โ€“$61.63 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $49.08, holding the trade as long as price stays below the 9EMA.
Daily trend: ASTS is in a range-bound/mixed daily trend (Mixed / Transition), trading below its 20-day average and below its 50-day average.
Weekly trend (HTF): ASTS weekly trend is bearish (price below its 10-wk avg and below its 30-wk avg, weekly RSI 43.0).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข lagging QQQ by -5.7% over 20d (ASTS -1.6% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 1 is 2.28x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $1.76 to reach the zone, $1.78 zone thickness (the base you're standing on; stop beyond its far side), $10.77 runway to the target -- 6.0:1. Expected move: a sharp rejection off the zone running the full $10.77 to $49.08 -- a long 6.0:1. Bigger reward, but this 1:3 avenue was ~breakeven in backtest, so it needs the bounce to really extend, not just tag the zone.

๐Ÿ“ˆ RBLX โ€” Supply Breakout / Continuation โ€” Calls

Setup Grade A+ Steady momentum Calls
40.3739.7339.0938.4437.80Demand 37.99โ€“38.28Supply 38.70โ€“40.19Current 38.5808/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$38.58
as of 2026-08-28 07:40 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
4.17% โ€ข $1.61 โ€ข 0.96ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$1.67
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
42.4 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Momentum: RSI leaning against the break (backtest: 32% win, +0.09 avg R)
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-10-29 (60d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-10-29 report, so neither pays the earnings IV premium.
Volume / movement context
volume expansion with direction
approaching supply with strength โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/90m/1H supply
$38.70โ€“$40.19
Tight core (where 9 zones align): $38.92โ€“$39.20 โ€” precise level to watch inside the zone.
T1 R:R
1:6.00
Supply bottom / risk area
$38.70
Supply top / breakout
$40.19
Target ladder:
TierZoneR:RFresh
T14H/3H/2H/90m/1H supply @ 49.901:6.52Fresh
T21D/4H/2H/90m/1H supply @ 52.451:8.23Fresh
T32H/90m/1H supply @ 55.021:9.951 test
Calls confirmation checklist
  • โ–ก 5M close above supply
  • โ–ก hold/retest above zone
  • โ–ก volume expands on break or continuation
  • โ–ก above 9EMA/VWAP
  • โ–ก higher-high or higher-low structure
๐Ÿ“ˆ Break Above Supply Zone @ $40.19 (Bullish): If price breaks above the 1D supply zone identified at $38.70โ€“$40.19 and holds above the open, VWAP, and 9EMA, I'll watch for higher highs and strong bullish structure. If volume confirms the breakout, I'll consider entering a call position. My target will be the 4H supply zone identified at $49.90, holding the trade as long as price continues to respect the 9EMA as support.
Daily trend: RBLX is in a range-bound/mixed daily trend (Mixed / Transition), trading above its 20-day average and below its 50-day average.
Weekly trend (HTF): RBLX weekly trend is bearish (price below its 10-wk avg and below its 30-wk avg, weekly RSI 40.3).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +4.1% over 20d (RBLX +8.2% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 1 is 6.76x daily ATR away with elevated volume support -- more likely to need multiple days than one. Trade geometry: $1.61 approach to the trigger, $1.49 zone thickness (the stop), $9.71 runway to the next zone -- 6.5:1 at the trigger, 6.76x daily ATR total. Not textbook geometry: the approach alone burns 0.96x daily ATR before entry; the full move is 6.76x daily ATR -- more than a typical day delivers. Prior momentum: steady and aligned with the trade direction -- the backtest's best continuation profile (+0.55 avg R when paired with textbook geometry).

๐Ÿ“ˆ QQQ โ€” Supply Breakout / Continuation โ€” Calls

Setup Grade A+ Calls
725.56722.58719.61716.63713.65Demand 715.09โ€“716.32Supply 719.76โ€“721.63Current 716.2508/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$716.25
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
0.75% โ€ข $5.37 โ€ข 0.64ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$8.41
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
51.9 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Momentum: RSI neutral -- no momentum tailwind (backtest: 33% win, -0.02 avg R)
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
none upcoming
No earnings on the calendar for this name (normal for ETFs), so no IV-crush exposure to price in.
Volume / movement context
absorption possible
below supply no trigger โ€ข gap into demand
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
4H/3H supply
$719.76โ€“$721.63
T1 R:R
1:4.40
Supply bottom / risk area
$719.76
Supply top / breakout
$721.63
Target ladder:
TierZoneR:RFresh
T11D/4H/3H/2H/90m/1H supply @ 729.851:4.40Fresh
T21D/4H/3H/2H/90m/1H supply @ 735.761:7.56Fresh
Calls confirmation checklist
  • โ–ก 5M close above supply
  • โ–ก hold/retest above zone
  • โ–ก volume expands on break or continuation
  • โ–ก above 9EMA/VWAP
  • โ–ก higher-high or higher-low structure
๐Ÿ“ˆ Break Above Supply Zone @ $721.63 (Bullish): If price breaks above the 4H supply zone identified at $719.76โ€“$721.63 and holds above the open, VWAP, and 9EMA, I'll watch for higher highs and strong bullish structure. If volume confirms the breakout, I'll consider entering a call position. My target will be the 1D supply zone identified at $729.85, holding the trade as long as price continues to respect the 9EMA as support.
Daily trend: QQQ is in a range-bound/mixed daily trend (Mixed / Transition), trading below its 20-day average and above its 50-day average.
Weekly trend (HTF): QQQ weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 58.2).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +0.0% over 20d (QQQ +4.1% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 1 is 1.62x daily ATR away with elevated volume support -- more likely to need multiple days than one. Trade geometry: $5.38 approach to the trigger, $1.87 zone thickness (the stop), $8.22 runway to the next zone -- 4.4:1 at the trigger, 1.62x daily ATR total. Not textbook geometry: the approach alone burns 0.64x daily ATR before entry; the full move is 1.62x daily ATR -- more than a typical day delivers.

๐Ÿ“‰ COST โ€” Demand Breakdown / Continuation โ€” Puts

Setup Grade A+ Puts
955.97947.86939.75931.64923.53Demand 925.77โ€“947.74Supply 945.75โ€“947.73Current 946.0008/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$946.00
as of 2026-08-28 05:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
4.10% โ€ข $38.79 โ€ข 2.22ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$17.48
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
48.1 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Momentum: RSI neutral -- no momentum tailwind (backtest: 33% win, -0.02 avg R)
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-09-24 (25d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-09-24 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
above demand no trigger โ€ข gap into supply
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/90m/1H demand
$907.21โ€“$924.88
Tight core (where 19 zones align): $911.33โ€“$911.99 โ€” precise level to watch inside the zone.
T1 R:R
1:2.61
Demand top / risk area
$924.88
Demand bottom / breakdown
$907.21
Target ladder:
TierZoneR:RFresh
T11D demand @ 861.141:2.61Fresh
Puts confirmation checklist
  • โ–ก 5M close below demand
  • โ–ก hold/retest below zone
  • โ–ก volume expands on break or continuation
  • โ–ก below 9EMA/VWAP
  • โ–ก lower-low or lower-high structure
๐Ÿ“‰ Break Below Demand $907.21 (Bearish): If we BREAK below the 1D demand zone below $907.21 and prices maintain below the open price, holding the 9EMA & VWAP as resistance and forming lower lows, I'll be closely monitoring the strength of the market for potential continuation to the downside. I'll be interested in playing it short, targeting the 1D demand zone identified at $861.14, holding below the 9EMA.
Daily trend: COST is in a bearish daily trend (Bearish LH/LL), trading below its 20-day average and above its 50-day average.
Weekly trend (HTF): COST weekly trend is bullish-leaning (price above its 10-wk avg and below its 30-wk avg, weekly RSI 45.5).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข lagging QQQ by -4.8% over 20d (COST -0.7% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 1 is 4.86x daily ATR away with elevated volume support -- more likely to need multiple days than one. Trade geometry: $38.79 approach to the trigger, $17.67 zone thickness (the stop), $46.07 runway to the next zone -- 2.6:1 at the trigger, 4.86x daily ATR total. Not textbook geometry: the approach alone burns 2.22x daily ATR before entry; the full move is 4.86x daily ATR -- more than a typical day delivers.

๐Ÿ“ˆ SMCI โ€” Demand Reversal / Hold โ€” Calls

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Calls
40.7939.7438.6937.6336.58Demand 36.87โ€“37.18Supply 37.91โ€“40.50Current 37.0408/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$37.04
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
1.48% โ€ข $0.55 โ€ข 0.21ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$2.65
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
56.9 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-03 (65d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-03 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
above demand no trigger โ€ข gap into demand
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/90m/1H demand
$34.09โ€“$36.49
Tight core (where 6 zones align): $34.95โ€“$35.31 โ€” precise level to watch inside the zone.
T1 R:R
1:0.29
Demand bottom / failure
$34.09
Demand top / hold area
$36.49
Target ladder:
TierZoneR:RFresh
T11D/4H/3H/2H/90m/1H supply @ 37.911:0.29Fresh
T21D/4H/3H/2H/90m/1H supply @ 43.811:2.29Fresh
T31D/4H/3H/2H/90m/1H supply @ 45.231:2.78Fresh
Calls confirmation checklist
  • โ–ก demand test
  • โ–ก selling volume fades or stabilizes into zone
  • โ–ก reversal candle
  • โ–ก reclaim/hold 9EMA and VWAP
  • โ–ก bullish continuation/RBR
  • โ–ก market context improving
๐Ÿ“ˆ Demand Zone Test $36.49 (Bullish): I'll be observing for a test & bounce at the 1D demand zone identified at $34.09โ€“$36.49. If we HOLD ABOVE this demand zone, the open price, 9EMA, and we see a bullish candlestick pattern, this would be a good opportunity to go long, anticipating a move upwards towards the 1D supply zone identified at $37.91, holding above the 9EMA.
Daily trend: SMCI is in a range-bound/mixed daily trend (Mixed / Transition), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): SMCI weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 55.2).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +26.4% over 20d (SMCI +30.6% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 2 is 2.55x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $0.55 to reach the zone, $2.40 zone thickness (the base you're standing on; stop beyond its far side), $1.42 runway to the target -- 0.6:1. Expected move: hold this thick base and a controlled bounce to $37.91 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ UBER โ€” Supply Rejection โ€” Puts

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Puts
82.3880.8679.3477.8276.30Demand 78.36โ€“78.52Supply 79.16โ€“81.96Current 78.8208/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$78.82
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
0.43% โ€ข $0.34 โ€ข 0.13ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$2.58
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
58.4 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-03 (65d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-03 report, so neither pays the earnings IV premium.
Volume / movement context
absorption possible
below supply no trigger โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/90m/1H supply
$79.16โ€“$81.96
Tight core (where 21 zones align): $81.54โ€“$81.83 โ€” precise level to watch inside the zone.
T1 R:R
1:0.10
Supply top / failure
$81.96
Supply bottom / rejection
$79.16
Target ladder:
TierZoneR:RFresh
T12H/90m demand @ 78.521:0.10Fresh
T21D/4H/3H/2H/90m/1H demand @ 77.661:0.37Fresh
T31D/4H/3H/2H/90m/1H demand @ 75.751:0.98Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $79.16 (Bearish): If price tests & holds below the 1D supply zone at $79.16โ€“$81.96 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $78.52, holding the trade as long as price stays below the 9EMA.
Daily trend: UBER is in a range-bound/mixed daily trend (Mixed / Transition), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): UBER weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 54.1).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +7.9% over 20d (UBER +12.0% vs QQQ +4.1%)
Trade shape: Day-trade-shaped: no qualifying target sits far enough away (>= 1.5x daily ATR) to plan around a multi-day hold. Reversal geometry: $0.34 to reach the zone, $2.80 zone thickness (the base you're standing on; stop beyond its far side), $0.64 runway to the target -- 0.2:1. Expected move: hold this thick base and a controlled bounce to $78.52 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ SHOP โ€” Supply Rejection โ€” Puts

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Puts
157.00155.16153.32151.48149.64Demand 150.15โ€“151.62Supply 153.59โ€“156.49Current 152.8908/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$152.89
as of 2026-08-28 07:10 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
0.46% โ€ข $0.70 โ€ข 0.14ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$4.92
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
61.2 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-03 (65d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-03 report, so neither pays the earnings IV premium.
Volume / movement context
volume expansion with direction
below supply no trigger โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
4H/3H/2H/90m/1H supply
$153.59โ€“$156.49
Tight core (where 12 zones align): $155.21โ€“$155.30 โ€” precise level to watch inside the zone.
T1 R:R
1:0.35
Supply top / failure
$156.49
Supply bottom / rejection
$153.59
Target ladder:
TierZoneR:RFresh
T13H demand @ 151.621:0.35Fresh
T21D/4H/3H/2H/90m/1H demand @ 149.811:0.86Fresh
T32H/90m/1H demand @ 120.891:8.89Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $153.59 (Bearish): If price tests & holds below the 4H supply zone at $153.59โ€“$156.49 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $151.62, holding the trade as long as price stays below the 9EMA.
Daily trend: SHOP is in a range-bound/mixed daily trend (Mixed / Transition), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): SHOP weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 62.9).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +26.4% over 20d (SHOP +30.5% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 3 is 6.5x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $0.70 to reach the zone, $2.90 zone thickness (the base you're standing on; stop beyond its far side), $1.97 runway to the target -- 0.7:1. Expected move: hold this thick base and a controlled bounce to $151.62 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ META โ€” Supply Rejection โ€” Puts

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Puts
590.65585.37580.10574.82569.54Demand 573.88โ€“575.97Supply 578.28โ€“580.92Current 578.3508/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$578.35
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
1.26% โ€ข $7.29 โ€ข 0.39ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$18.68
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
49.6 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-10-28 (59d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-10-28 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
below supply no trigger โ€ข gap into supply
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/90m/1H supply
$585.61โ€“$614.65
Tight core (where 27 zones align): $591.49โ€“$591.70 โ€” precise level to watch inside the zone.
T1 R:R
1:0.07
Supply top / failure
$614.65
Supply bottom / rejection
$585.61
Target ladder:
TierZoneR:RFresh
T12H/90m demand @ 575.971:0.07Fresh
T24H/3H/2H/90m/1H demand @ 571.131:0.20Fresh
T34H/3H/2H/90m/1H demand @ 566.461:0.331 test
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $585.61 (Bearish): If price tests & holds below the 1D supply zone at $585.61โ€“$614.65 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $575.97, holding the trade as long as price stays below the 9EMA.
Daily trend: META is in a bearish daily trend (Bearish LH/LL), trading above its 20-day average and below its 50-day average.
Weekly trend (HTF): META weekly trend is bearish (price below its 10-wk avg and below its 30-wk avg, weekly RSI 46.1).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข lagging QQQ by -0.3% over 20d (META +3.8% vs QQQ +4.1%)
Trade shape: Day-trade-shaped: no qualifying target sits far enough away (>= 1.5x daily ATR) to plan around a multi-day hold. Reversal geometry: $7.26 to reach the zone, $29.04 zone thickness (the base you're standing on; stop beyond its far side), $9.64 runway to the target -- 0.3:1. Expected move: hold this thick base and a controlled bounce to $575.97 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ COIN โ€” Supply Rejection โ€” Puts

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Puts
201.77194.87187.97181.06174.16Demand 176.06โ€“177.17Supply 183.27โ€“199.87Current 178.3508/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$178.35
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
2.76% โ€ข $4.92 โ€ข 0.46ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$10.77
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
56.8 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-10-29 (60d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-10-29 report, so neither pays the earnings IV premium.
Volume / movement context
absorption possible
approaching supply grinding โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/90m/1H supply
$183.27โ€“$199.87
Tight core (where 23 zones align): $195.43โ€“$195.47 โ€” precise level to watch inside the zone.
T1 R:R
1:0.05
Supply top / failure
$199.87
Supply bottom / rejection
$183.27
Target ladder:
TierZoneR:RFresh
T190m/1H demand @ 177.171:0.05Fresh
T21D/4H/3H/2H/1H demand @ 173.001:0.25Fresh
T31D/4H/3H/2H/90m/1H demand @ 148.181:1.40Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $183.27 (Bearish): If price tests & holds below the 1D supply zone at $183.27โ€“$199.87 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $177.17, holding the trade as long as price stays below the 9EMA.
Daily trend: COIN is in a bullish daily trend (Bullish HH/HL), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): COIN weekly trend is bullish-leaning (price above its 10-wk avg and above its 30-wk avg, weekly RSI 50.7).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +18.0% over 20d (COIN +22.1% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 3 is 2.8x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $4.92 to reach the zone, $16.60 zone thickness (the base you're standing on; stop beyond its far side), $6.10 runway to the target -- 0.4:1. Expected move: hold this thick base and a controlled bounce to $177.17 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ TSLA โ€” Supply Rejection โ€” Puts

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Puts
361.61351.42341.22331.02320.83Demand 323.64โ€“347.33Supply 351.19โ€“358.80Current 348.1208/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$348.12
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
0.88% โ€ข $3.06 โ€ข 0.25ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$12.43
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
50.9 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-10-21 (52d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-10-21 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
approaching supply grinding โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
4H/3H/2H/90m/1H supply
$351.19โ€“$358.80
Tight core (where 15 zones align): $354.59โ€“$354.68 โ€” precise level to watch inside the zone.
T1 R:R
1:0.07
Supply top / failure
$358.80
Supply bottom / rejection
$351.19
Target ladder:
TierZoneR:RFresh
T11D/4H/3H/2H/90m/1H demand @ 347.331:0.07Fresh
T21D/4H/3H/2H/90m/1H demand @ 319.531:2.68Fresh
T31D/4H/3H/2H/90m/1H demand @ 311.211:3.45Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $351.19 (Bearish): If price tests & holds below the 4H supply zone at $351.19โ€“$358.80 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $347.33, holding the trade as long as price stays below the 9EMA.
Daily trend: TSLA is in a bullish daily trend (Bullish HH/HL), trading above its 20-day average and below its 50-day average.
Weekly trend (HTF): TSLA weekly trend is bearish (price below its 10-wk avg and below its 30-wk avg, weekly RSI 44.7).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +7.9% over 20d (TSLA +12.1% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 2 is 2.3x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $3.07 to reach the zone, $7.61 zone thickness (the base you're standing on; stop beyond its far side), $3.86 runway to the target -- 0.5:1. Expected move: hold this thick base and a controlled bounce to $347.33 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“ˆ UBER โ€” Demand Reversal / Hold โ€” Calls

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Calls
82.3880.8679.3477.8276.30Demand 78.36โ€“78.52Supply 79.16โ€“81.96Current 78.8208/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$78.82
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
1.47% โ€ข $1.16 โ€ข 0.45ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$2.58
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
58.4 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-03 (65d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-03 report, so neither pays the earnings IV premium.
Volume / movement context
absorption possible
above demand no trigger โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/90m/1H demand
$76.20โ€“$77.66
Tight core (where 8 zones align): $76.69โ€“$76.89 โ€” precise level to watch inside the zone.
T1 R:R
1:0.13
Demand bottom / failure
$76.20
Demand top / hold area
$77.66
Target ladder:
TierZoneR:RFresh
T11D/4H/3H/2H/90m/1H supply @ 79.161:0.13Fresh
T22H/90m/1H supply @ 81.981:1.213 tests
T33H/2H/90m/1H supply @ 82.541:1.42Fresh
Calls confirmation checklist
  • โ–ก demand test
  • โ–ก selling volume fades or stabilizes into zone
  • โ–ก reversal candle
  • โ–ก reclaim/hold 9EMA and VWAP
  • โ–ก bullish continuation/RBR
  • โ–ก market context improving
๐Ÿ“ˆ Demand Zone Test $77.66 (Bullish): I'll be observing for a test & bounce at the 1D demand zone identified at $76.20โ€“$77.66. If we HOLD ABOVE this demand zone, the open price, 9EMA, and we see a bullish candlestick pattern, this would be a good opportunity to go long, anticipating a move upwards towards the 1D supply zone identified at $79.16, holding above the 9EMA.
Daily trend: UBER is in a range-bound/mixed daily trend (Mixed / Transition), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): UBER weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 54.1).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +7.9% over 20d (UBER +12.0% vs QQQ +4.1%)
Trade shape: Day-trade-shaped: no qualifying target sits far enough away (>= 1.5x daily ATR) to plan around a multi-day hold. Reversal geometry: $1.16 to reach the zone, $1.46 zone thickness (the base you're standing on; stop beyond its far side), $1.50 runway to the target -- 1.0:1. Expected move: hold this thick base and a controlled bounce to $79.16 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ SMCI โ€” Supply Rejection โ€” Puts

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Puts
40.7939.7438.6937.6336.58Demand 36.87โ€“37.18Supply 37.91โ€“40.50Current 37.0408/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$37.04
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
2.35% โ€ข $0.87 โ€ข 0.33ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$2.65
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
56.9 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-03 (65d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-03 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
below supply no trigger โ€ข gap into demand
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/90m/1H supply
$37.91โ€“$40.50
Tight core (where 15 zones align): $40.09โ€“$40.18 โ€” precise level to watch inside the zone.
T1 R:R
1:0.16
Supply top / failure
$40.50
Supply bottom / rejection
$37.91
Target ladder:
TierZoneR:RFresh
T11D/4H/3H/2H/90m/1H demand @ 36.491:0.16Fresh
T21D/4H/3H/2H/90m/1H demand @ 32.021:1.45Fresh
T31D/4H/3H/2H/90m/1H demand @ 28.781:2.39Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $37.91 (Bearish): If price tests & holds below the 1D supply zone at $37.91โ€“$40.50 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $36.49, holding the trade as long as price stays below the 9EMA.
Daily trend: SMCI is in a range-bound/mixed daily trend (Mixed / Transition), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): SMCI weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 55.2).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +26.4% over 20d (SMCI +30.6% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 2 is 1.89x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $0.87 to reach the zone, $2.59 zone thickness (the base you're standing on; stop beyond its far side), $1.42 runway to the target -- 0.6:1. Expected move: hold this thick base and a controlled bounce to $36.49 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ MSTR โ€” Supply Rejection โ€” Puts

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Puts
140.86136.96133.06129.16125.26Demand 126.40โ€“127.10Supply 132.00โ€“139.78Current 127.9408/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$127.94
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
3.17% โ€ข $4.06 โ€ข 0.50ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$8.15
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
63.0 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-10-29 (60d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-10-29 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
below supply no trigger โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
4H/3H/2H/90m/1H supply
$132.00โ€“$139.78
Tight core (where 11 zones align): $138.06โ€“$138.18 โ€” precise level to watch inside the zone.
T1 R:R
1:0.07
Supply top / failure
$139.78
Supply bottom / rejection
$132.00
Target ladder:
TierZoneR:RFresh
T190m/1H demand @ 127.101:0.07Fresh
T21D/4H/3H/2H/90m/1H demand @ 123.821:0.35Fresh
T34H/3H/2H/90m/1H demand @ 120.281:0.651 test
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $132.00 (Bearish): If price tests & holds below the 4H supply zone at $132.00โ€“$139.78 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $127.10, holding the trade as long as price stays below the 9EMA.
Daily trend: MSTR is in a bullish daily trend (Bullish HH/HL), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): MSTR weekly trend is bullish-leaning (price above its 10-wk avg and below its 30-wk avg, weekly RSI 47.5).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +32.3% over 20d (MSTR +36.5% vs QQQ +4.1%)
Trade shape: Day-trade-shaped: no qualifying target sits far enough away (>= 1.5x daily ATR) to plan around a multi-day hold. Reversal geometry: $4.06 to reach the zone, $7.78 zone thickness (the base you're standing on; stop beyond its far side), $4.90 runway to the target -- 0.6:1. Expected move: hold this thick base and a controlled bounce to $127.10 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ AMZN โ€” Supply Rejection โ€” Puts

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Puts
268.34265.51262.67259.83257.00Demand 264.77โ€“265.30Supply 264.44โ€“266.40Current 266.1608/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$266.16
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
0.41% โ€ข $1.09 โ€ข 0.19ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$5.81
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
55.9 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-10-29 (60d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-10-29 report, so neither pays the earnings IV premium.
Volume / movement context
absorption possible
below supply no trigger โ€ข gap into supply
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
4H/3H/2H/90m/1H supply
$267.24โ€“$269.58
Tight core (where 6 zones align): $268.75โ€“$269.24 โ€” precise level to watch inside the zone.
T1 R:R
1:0.25
Supply top / failure
$269.58
Supply bottom / rejection
$267.24
Target ladder:
TierZoneR:RFresh
T190m/1H demand @ 265.301:0.25Fresh
T21D/4H/3H/2H/90m/1H demand @ 259.231:2.03Fresh
T31D/3H/90m/1H demand @ 229.311:10.77Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $267.24 (Bearish): If price tests & holds below the 4H supply zone at $267.24โ€“$269.58 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $265.30, holding the trade as long as price stays below the 9EMA.
Daily trend: AMZN is in a bearish daily trend (Bearish LH/LL), trading below its 20-day average and above its 50-day average.
Weekly trend (HTF): AMZN weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 57.4).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข lagging QQQ by -6.0% over 20d (AMZN -1.9% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 3 is 6.35x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $1.08 to reach the zone, $2.34 zone thickness (the base you're standing on; stop beyond its far side), $1.94 runway to the target -- 0.8:1. Expected move: hold this thick base and a controlled bounce to $265.30 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“ˆ SHOP โ€” Demand Reversal / Hold โ€” Calls

Setup Grade B Textbook geometry Steady momentum Reversal: base-hold Calls
157.00155.16153.32151.48149.64Demand 150.15โ€“151.62Supply 153.59โ€“156.49Current 152.8908/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$152.89
as of 2026-08-28 07:10 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
0.83% โ€ข $1.27 โ€ข 0.26ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$4.92
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
61.2 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-03 (65d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-03 report, so neither pays the earnings IV premium.
Volume / movement context
volume expansion with direction
above demand no trigger โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
3H demand
$150.15โ€“$151.62
T1 R:R
1:0.26
Demand bottom / failure
$150.15
Demand top / hold area
$151.62
Target ladder:
TierZoneR:RFresh
T14H/3H/2H/90m/1H supply @ 153.591:0.26Fresh
T21D/1H supply @ 157.991:1.862 tests
T31D supply @ 167.441:5.31Fresh
Calls confirmation checklist
  • โ–ก demand test
  • โ–ก selling volume fades or stabilizes into zone
  • โ–ก reversal candle
  • โ–ก reclaim/hold 9EMA and VWAP
  • โ–ก bullish continuation/RBR
  • โ–ก market context improving
๐Ÿ“ˆ Demand Zone Test $151.62 (Bullish): I'll be observing for a test & bounce at the 3H demand zone identified at $150.15โ€“$151.62. If we HOLD ABOVE this demand zone, the open price, 9EMA, and we see a bullish candlestick pattern, this would be a good opportunity to go long, anticipating a move upwards towards the 4H supply zone identified at $153.59, holding above the 9EMA.
Daily trend: SHOP is in a range-bound/mixed daily trend (Mixed / Transition), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): SHOP weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 62.9).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +26.4% over 20d (SHOP +30.5% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 3 is 2.95x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $1.27 to reach the zone, $1.47 zone thickness (the base you're standing on; stop beyond its far side), $1.97 runway to the target -- 1.3:1. Expected move: hold this thick base and a controlled bounce to $153.59 nearby -- the validated reversal profile (backtest +0.18 avg R, ~47% win: grinding approach into a thick zone).

๐Ÿ“‰ TSLA โ€” Supply Rejection โ€” Puts

Setup Grade B Steady momentum Reversal: 1:3 runway Puts
361.61351.42341.22331.02320.83Demand 323.64โ€“347.33Supply 351.19โ€“358.80Current 348.1208/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$348.12
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
4.24% โ€ข $14.76 โ€ข 1.19ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$12.43
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
50.9 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-10-21 (52d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-10-21 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
approaching supply grinding โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
4H/3H/2H/90m/1H supply
$362.88โ€“$366.50
Tight core (where 6 zones align): $364.13โ€“$365.99 โ€” precise level to watch inside the zone.
T1 R:R
1:0.04
Supply top / failure
$366.50
Supply bottom / rejection
$362.88
Target ladder:
TierZoneR:RFresh
T11D/4H/3H/2H/90m/1H demand @ 347.331:0.04Fresh
T21D/4H/3H/2H/90m/1H demand @ 319.531:1.55Fresh
T31D/4H/3H/2H/90m/1H demand @ 311.211:2.01Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $362.88 (Bearish): If price tests & holds below the 4H supply zone at $362.88โ€“$366.50 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $347.33, holding the trade as long as price stays below the 9EMA.
Daily trend: TSLA is in a bullish daily trend (Bullish HH/HL), trading above its 20-day average and below its 50-day average.
Weekly trend (HTF): TSLA weekly trend is bearish (price below its 10-wk avg and below its 30-wk avg, weekly RSI 44.7).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +7.9% over 20d (TSLA +12.1% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 2 is 2.3x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $14.76 to reach the zone, $3.62 zone thickness (the base you're standing on; stop beyond its far side), $15.55 runway to the target -- 4.3:1. Expected move: a sharp rejection off the zone running the full $15.55 to $347.33 -- a long 4.3:1. Bigger reward, but this 1:3 avenue was ~breakeven in backtest, so it needs the bounce to really extend, not just tag the zone.

๐Ÿ“‰ HIMS โ€” Supply Rejection โ€” Puts

Setup Grade B Steady momentum Reversal: 1:3 runway Puts
31.7830.4629.1427.8226.50Demand 26.86โ€“27.85Supply 29.45โ€“29.84Current 28.8808/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$28.88
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
1.97% โ€ข $0.57 โ€ข 0.25ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$2.26
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
45.6 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-09 (71d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-09 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
approaching supply grinding โ€ข no meaningful gap
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1H supply
$29.45โ€“$29.84
T1 R:R
1:1.07
Supply top / failure
$29.84
Supply bottom / rejection
$29.45
Target ladder:
TierZoneR:RFresh
T11D/4H/3H/2H/90m demand @ 27.851:1.07Fresh
T22H/90m demand @ 26.641:2.33Fresh
T34H/3H/2H demand @ 25.681:3.33Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $29.45 (Bearish): If price tests & holds below the 1H supply zone at $29.45โ€“$29.84 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $27.85, holding the trade as long as price stays below the 9EMA.
Daily trend: HIMS is in a range-bound/mixed daily trend (Mixed / Transition), trading below its 20-day average and below its 50-day average.
Weekly trend (HTF): HIMS weekly trend is bearish-leaning (price below its 10-wk avg and above its 30-wk avg, weekly RSI 49.1).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข lagging QQQ by -0.3% over 20d (HIMS +3.9% vs QQQ +4.1%)
Trade shape: Day-trade-shaped: no qualifying target sits far enough away (>= 1.5x daily ATR) to plan around a multi-day hold. Reversal geometry: $0.57 to reach the zone, $0.39 zone thickness (the base you're standing on; stop beyond its far side), $1.60 runway to the target -- 4.1:1. Expected move: a sharp rejection off the zone running the full $1.60 to $27.85 -- a long 4.1:1. Bigger reward, but this 1:3 avenue was ~breakeven in backtest, so it needs the bounce to really extend, not just tag the zone.

๐Ÿ“‰ RKLB โ€” Supply Rejection โ€” Puts

Setup Grade B Reversal: 1:3 runway Puts
67.0965.8564.6063.3662.12Demand 62.46โ€“66.13Supply 65.44โ€“65.89Current 64.5208/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$64.52
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
3.70% โ€ข $2.39 โ€ข 0.56ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$4.28
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
35.3 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-09 (71d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-09 report, so neither pays the earnings IV premium.
Volume / movement context
absorption possible
approaching supply with strength โ€ข gap into demand
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1D/4H/3H/2H/1H supply
$66.91โ€“$67.75
Tight core (where 6 zones align): $67.47โ€“$67.57 โ€” precise level to watch inside the zone.
T1 R:R
1:2.22
Supply top / failure
$67.75
Supply bottom / rejection
$66.91
Target ladder:
TierZoneR:RFresh
T14H/3H/2H/90m/1H demand @ 57.361:2.22Fresh
T21D demand @ 56.101:2.61Fresh
T31D demand @ 49.051:4.79Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $66.91 (Bearish): If price tests & holds below the 1D supply zone at $66.91โ€“$67.75 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $57.36, holding the trade as long as price stays below the 9EMA.
Daily trend: RKLB is in a range-bound/mixed daily trend (Mixed / Transition), trading below its 20-day average and below its 50-day average.
Weekly trend (HTF): RKLB weekly trend is bearish (price below its 10-wk avg and below its 30-wk avg, weekly RSI 44.2).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข lagging QQQ by -5.0% over 20d (RKLB -0.9% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 1 is 1.67x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $2.39 to reach the zone, $0.84 zone thickness (the base you're standing on; stop beyond its far side), $9.55 runway to the target -- 11.4:1. Expected move: a sharp rejection off the zone running the full $9.55 to $57.36 -- a long 11.4:1. Bigger reward, but this 1:3 avenue was ~breakeven in backtest, so it needs the bounce to really extend, not just tag the zone.

๐Ÿ“‰ RKLB โ€” Supply Rejection โ€” Puts

Setup Grade B Reversal: 1:3 runway Puts
67.0965.8564.6063.3662.12Demand 62.46โ€“66.13Supply 65.44โ€“65.89Current 64.5208/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$64.52
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
1.43% โ€ข $0.92 โ€ข 0.22ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$4.28
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
35.3 (neutral)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-11-09 (71d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-11-09 report, so neither pays the earnings IV premium.
Volume / movement context
absorption possible
approaching supply with strength โ€ข gap into demand
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
1H supply
$65.44โ€“$65.89
T1 R:R
1:5.23
Supply top / failure
$65.89
Supply bottom / rejection
$65.44
Target ladder:
TierZoneR:RFresh
T14H/3H/2H/90m/1H demand @ 57.361:5.23Fresh
T21D demand @ 56.101:6.15Fresh
T31D demand @ 49.051:11.29Fresh
Puts confirmation checklist
  • โ–ก supply test
  • โ–ก rejection candle
  • โ–ก lose/hold below 9EMA and VWAP
  • โ–ก bearish continuation/DBD
  • โ–ก downside volume response
  • โ–ก market context weakening
๐Ÿ“‰ Supply Zone Rejection @ $65.44 (Bearish): If price tests & holds below the 1H supply zone at $65.44โ€“$65.89 and rejects it while staying below the 9EMA, VWAP, and the open price, I'll monitor for lower lows forming on the 5-minute chart. If volume supports the downside move, that confirms bearish pressure. With all confirmations in place, I'll look to enter a put position targeting the demand zone below at $57.36, holding the trade as long as price stays below the 9EMA.
Daily trend: RKLB is in a range-bound/mixed daily trend (Mixed / Transition), trading below its 20-day average and below its 50-day average.
Weekly trend (HTF): RKLB weekly trend is bearish (price below its 10-wk avg and below its 30-wk avg, weekly RSI 44.2).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข lagging QQQ by -5.0% over 20d (RKLB -0.9% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 1 is 1.67x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $0.92 to reach the zone, $0.45 zone thickness (the base you're standing on; stop beyond its far side), $8.08 runway to the target -- 18.0:1. Expected move: a sharp rejection off the zone running the full $8.08 to $57.36 -- a long 18.0:1. Bigger reward, but this 1:3 avenue was ~breakeven in backtest, so it needs the bounce to really extend, not just tag the zone.

๐Ÿ“ˆ NOW โ€” Demand Reversal / Hold โ€” Calls

Setup Grade B Reversal: 1:3 runway Calls
156.04151.14146.25141.35136.45Demand 142.02โ€“143.66Supply 153.19โ€“154.69Current 143.1308/28 09:3008/28 15:559EMAVWAP
Latest price ~15-min delayed
$143.13
as of 2026-08-28 07:55 PM EDT โ€” Aftermarket. Alpaca feed is 15-min delayed, so this trails the live tape by ~15-20 min; treat it as approximate for proximity, confirm the live number in your broker.
Distance to zone
3.24% โ€ข $4.64 โ€ข 0.74ร— ATR
How far price is from the zone, in percent, dollars, and multiples of daily ATR. The ATR multiple is the most useful -- under ~0.3x the zone is right here; a large multiple means price has to travel a lot of a typical day just to arrive.
Daily ATR
$6.23
Average daily price range over the last 14 sessions -- use it to judge how far a target really is in real terms, not just percent.
Daily RSI (14)
72.7 (overbought)
Relative Strength Index over the last 14 daily sessions -- 70+ is often read as overbought, 30 or below as oversold. Informational only, not used to grade or filter setups.
Expiry to trade (0.40 delta)
day 2026-09-04 (5 DTE)  |  swing 2026-09-11 (12 DTE)
Standardized targets (5 DTE day / 14 DTE swing), snapped to the expiries this name actually lists -- Friday-only names may land further from target than the large caps.
Earnings / IV crush
2026-10-28 (59d) โ€” clear
Both your day expiry (2026-09-04) and swing expiry (2026-09-11) land before the 2026-10-28 report, so neither pays the earnings IV premium.
Volume / movement context
high volume
approaching demand with weakness โ€ข gap into demand
Is volume confirming the move? "volume expansion with direction" backtested best (+0.16 avg R); "absorption possible" was negative (-0.04) -- the move is being faded. This is the part of movement context that actually carries an edge.
Zone
4H/3H/2H/90m/1H demand
$135.20โ€“$138.50
Tight core (where 8 zones align): $137.13โ€“$137.56 โ€” precise level to watch inside the zone.
T1 R:R
1:1.27
Demand bottom / failure
$135.20
Demand top / hold area
$138.50
Target ladder:
TierZoneR:RFresh
T11D supply @ 153.191:1.27Fresh
T21D supply @ 156.681:1.71Fresh
T31D supply @ 173.011:3.77Fresh
Calls confirmation checklist
  • โ–ก demand test
  • โ–ก selling volume fades or stabilizes into zone
  • โ–ก reversal candle
  • โ–ก reclaim/hold 9EMA and VWAP
  • โ–ก bullish continuation/RBR
  • โ–ก market context improving
๐Ÿ“ˆ Demand Zone Test $138.50 (Bullish): I'll be observing for a test & bounce at the 4H demand zone identified at $135.20โ€“$138.50. If we HOLD ABOVE this demand zone, the open price, 9EMA, and we see a bullish candlestick pattern, this would be a good opportunity to go long, anticipating a move upwards towards the 1D supply zone identified at $153.19, holding above the 9EMA.
Daily trend: NOW is in a bullish daily trend (Bullish HH/HL), trading above its 20-day average and above its 50-day average.
Weekly trend (HTF): NOW weekly trend is bullish (price above its 10-wk avg and above its 30-wk avg, weekly RSI 64.0).
Market / rel. strength: Market regime: SPY bullish, QQQ mixed โ€ข leading QQQ by +26.0% over 20d (NOW +30.1% vs QQQ +4.1%)
Trade shape: Swing-shaped: target 1 is 1.62x daily ATR away with elevated volume support -- more likely to need multiple days than one. Reversal geometry: $4.63 to reach the zone, $3.30 zone thickness (the base you're standing on; stop beyond its far side), $14.69 runway to the target -- 4.5:1. Expected move: a sharp rejection off the zone running the full $14.69 to $153.19 -- a long 4.5:1. Bigger reward, but this 1:3 avenue was ~breakeven in backtest, so it needs the bounce to really extend, not just tag the zone.

Developing Scenario Watchlist

SymbolContractScenarioStatusSetup GradeDistanceT1 R:RR:R Range SummaryFreshnessConfirmation Checklist
NETPutsDemand Breakdown / Continuation โ€” PutsBlocked: nearest zone limits R:RB0.03%1:2.48T1 1:2.48 โ†’ T3 1:10.18Multiple retests (3 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
NFLXCallsDemand Reversal / Hold โ€” CallsAt zone: needs confirmationB0.09%1:6.00T1 1:11.57 โ†’ T3 1:27.76Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
CRWDCallsDemand Reversal / Hold โ€” CallsAt zone: needs confirmationB0.17%1:3.52T1 1:3.52One successful retest (1 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
AAPLCallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RB0.18%1:0.54T1 1:0.54 โ†’ T2 1:18.50Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
AAPLPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.18%1:0.26T1 1:0.26 โ†’ T3 1:4.16One successful retest (1 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
NVDAPutsSupply Rejection โ€” PutsAt zone: needs confirmationB0.24%1:3.50T1 1:3.50 โ†’ T3 1:14.70One successful retest (1 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
NFLXPutsDemand Breakdown / Continuation โ€” PutsAt zone: needs confirmationB0.26%1:6.00T1 1:7.71 โ†’ T3 1:50.43Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
ANETPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.28%1:1.93T1 1:1.93 โ†’ T3 1:9.91Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
RBLXPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.31%1:0.19T1 1:0.19 โ†’ T3 1:1.42Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
AMZNCallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RB0.32%1:0.78T1 1:0.78 โ†’ T3 1:5.65Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
AAPLPutsDemand Breakdown / Continuation โ€” PutsAt zone: needs confirmationB0.34%1:6.00T1 1:7.54 โ†’ T3 1:33.66Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
UBERCallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RB0.38%1:0.74T1 1:0.74 โ†’ T3 1:8.09Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
METACallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RB0.41%1:1.62T1 1:1.62 โ†’ T3 1:14.56Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
QQQPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.49%1:0.73T1 1:0.73 โ†’ T3 1:3.78Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
AMZNPutsDemand Breakdown / Continuation โ€” PutsAt zone: needs confirmationB0.52%1:6.00T1 1:10.45 โ†’ T3 1:74.60Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
QQQCallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RB0.55%1:0.40T1 1:0.40 โ†’ T3 1:2.22Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
SPYPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.55%1:2.42T1 1:2.42 โ†’ T3 1:4.82One successful retest (1 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
UBERPutsDemand Breakdown / Continuation โ€” PutsAt zone: needs confirmationB0.58%1:4.38T1 1:4.38 โ†’ T3 1:46.56Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
SPYCallsSupply Breakout / Continuation โ€” CallsAt zone: needs confirmationB0.59%1:4.33T1 1:4.33 โ†’ T2 1:11.79One successful retest (1 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
MSTRCallsDemand Reversal / Hold โ€” CallsAt zone: needs confirmationB0.66%1:2.64T1 1:2.64 โ†’ T3 1:19.42Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
MSFTPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.67%1:1.60T1 1:1.60 โ†’ T3 1:4.55Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
AAPLCallsSupply Breakout / Continuation โ€” CallsAt zone: needs confirmationB0.70%1:6.00T1 1:10.64One successful retest (1 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
ANETCallsSupply Breakout / Continuation โ€” CallsBlocked: nearest zone limits R:RB0.73%1:0.57T1 1:0.57 โ†’ T3 1:11.56Fresh / untested (0 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
PANWPutsDemand Breakdown / Continuation โ€” PutsNear zone: developingB0.77%1:6.00T1 1:17.09 โ†’ T3 1:54.95Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
SPYPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.77%1:1.47T1 1:1.47 โ†’ T3 1:2.91Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
METAPutsDemand Breakdown / Continuation โ€” PutsBlocked: nearest zone limits R:RB0.77%1:1.32T1 1:1.32 โ†’ T3 1:6.78Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
NVDACallsSupply Breakout / Continuation โ€” CallsNear zone: developingB0.89%1:4.38T1 1:4.38 โ†’ T2 1:9.99One successful retest (1 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
MSFTCallsSupply Breakout / Continuation โ€” CallsNear zone: developingB0.92%1:6.00T1 1:18.15Fresh / untested (0 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
SOFICallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RB0.94%1:1.44T1 1:1.44 โ†’ T3 1:4.82Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
IONQPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.96%1:0.54T1 1:0.54 โ†’ T3 1:5.35Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
SPYCallsSupply Breakout / Continuation โ€” CallsBlocked: nearest zone limits R:RB0.97%1:0.00T1 1:0.00 โ†’ T2 1:0.61Fresh / untested (0 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
ANETPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB0.98%1:0.72T1 1:0.72 โ†’ T3 1:3.71Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
AVGOPutsDemand Breakdown / Continuation โ€” PutsBlocked: nearest zone limits R:RB1.02%1:2.32T1 1:2.32 โ†’ T3 1:14.21Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
COSTPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB1.07%1:0.64T1 1:0.64 โ†’ T2 1:2.59Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
HOODCallsSupply Breakout / Continuation โ€” CallsBlocked: nearest zone limits R:RB1.09%1:0.51T1 1:0.51 โ†’ T3 1:15.58Fresh / untested (0 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
SPYPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RB1.09%1:1.21T1 1:1.21 โ†’ T3 1:2.40Fresh / untested (0 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
SPYCallsSupply Breakout / Continuation โ€” CallsBlocked: nearest zone limits R:RB1.18%1:0.00T1 1:0.00Fresh / untested (0 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
MSTRPutsDemand Breakdown / Continuation โ€” PutsNear zone: developingB1.20%1:3.69T1 1:3.69 โ†’ T3 1:20.10Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
QQQPutsDemand Breakdown / Continuation โ€” PutsBlocked: nearest zone limits R:RB1.23%1:1.46T1 1:1.46 โ†’ T3 1:3.66Fresh / untested (0 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
METACallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RB1.25%1:0.70T1 1:0.70 โ†’ T3 1:6.30Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving

Zone Map / Research Context

SymbolContractScenarioStatusSetup GradeDistanceT1 R:RR:R Range SummaryFreshnessConfirmation Checklist
RBLXPutsDemand Breakdown / Continuation โ€” PutsBlocked: nearest zone limits R:RC1.53%1:0.07T1 1:0.07 โ†’ T3 1:10.66Multiple retests (2 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure
APPCallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RC1.83%1:0.49T1 1:0.49 โ†’ T3 1:2.09Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
APPPutsSupply Rejection โ€” PutsBlocked: nearest zone limits R:RC1.86%1:0.62T1 1:0.62 โ†’ T3 1:1.93Multiple retests (4 tests)Puts: supply test; rejection candle; lose/hold below 9EMA and VWAP; bearish continuation/DBD; downside volume response; market context weakening
APPCallsSupply Breakout / Continuation โ€” CallsFuture scenarioB2.95%1:3.20T1 1:3.20 โ†’ T3 1:5.22Multiple retests (4 tests)Calls: 5M close above supply; hold/retest above zone; volume expands on break or continuation; above 9EMA/VWAP; higher-high or higher-low structure
APPCallsDemand Reversal / Hold โ€” CallsBlocked: nearest zone limits R:RC3.78%1:0.39T1 1:0.39 โ†’ T3 1:1.68Fresh / untested (0 tests)Calls: demand test; selling volume fades or stabilizes into zone; reversal candle; reclaim/hold 9EMA and VWAP; bullish continuation/RBR; market context improving
METAPutsDemand Breakdown / Continuation โ€” PutsBlocked: nearest zone limits R:RC4.09%1:0.00T1 1:0.00One successful retest (1 tests)Puts: 5M close below demand; hold/retest below zone; volume expands on break or continuation; below 9EMA/VWAP; lower-low or lower-high structure

v0.29 separates setup quality from entry confirmation. The watchlist prepares Calls/Puts scenarios, target ladders, R:R tiers, and confirmation checklists; entry-confirmation scoring belongs to backtesting/trade review.