Terminal
SPY
SPY
769.10
+0.21%
Price
125 sessions shownTechnicals
from daily closesRSI · 14 day
73.2
Avg true range · 14d
0.87%
Volatility · 20d annualised
13.6%
Trend · 20d vs 50d
Up
vs 20-day average
1.23%
vs 50-day average
2.49%
vs 200-day average
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200-day average
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Internals
where it sits, and how hard it is being traded52-week low
629.28
52-week high
779.37
Volume vs its 20-day avg
0.72×
Beta vs the market
1.02
Sitting 93% of the way up its 52-week range (629.28 → 779.37)
Swings
prices it actually turned at — highest or lowest of the surrounding 11 sessionsTurned down · Jun 15
756.68
Turned down · Jul 15
755.58
Turned down · Aug 5
776.85
Turned up · Jun 26
716.58
Turned up · Jul 8
739.51
Turned up · Jul 29
729.10
Fundamentals
P/E
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Fwd P/E
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P/S
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P/B
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EV/EBITDA
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ROE
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ROA
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Gross margin
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Net margin
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Debt / equity
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Rev growth
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EPS growth
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Options flow
biggest bets on the tape, by money committed24% of $276M went to calls, across 29 contracts
Calls $65.4MPuts $210.2M
PUT$785$23.1M
strike · expires Aug 21, 2026 (1d)premium
PUT$780$21.1M
strike · expires Aug 21, 2026 (1d)premium
PUT$770$19.2M
strike · expires todaypremium
PUT$760$17.8M
strike · expires Sep 11, 2026 (22d)premium
PUT$784$14.4M
strike · expires Aug 21, 2026 (1d)premium
CALL$770$11.6M
strike · expires todaypremium
PUT$769$11.2M
strike · expires todaypremium
CALL$763$10.4M
strike · expires Aug 21, 2026 (1d)premium
Every figure here is measured from live market data as of Aug 19, 08:08 PM. Nothing is estimated or filled in — where a figure shows — the source had no value for it, and a section you don’t see had no data at all. This describes what the market has already done. It is not a forecast, and not financial advice.