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📊 Weekly Scoreboard: Jul 24-30 Top Flags
🥇 $CORZ 09/18 $18C · option +79.9%
🥈 BRUN 11/20 $20C · option +57.1%
🥉 SIMO 08/21 $240C · option +53.2%
14/39 of last week's flags closed green the next session.
Every flag scored. Nothing deleted. See more on Robinflow.
The 🥇 flag, as posted:
https://t.co/98KwgUQu5O
🧩 STRATEGY ALERT
$3.9M net debit on a $6.7M $GOOGL call spread across 2 linked trades: bought the Nov $410s, sold the Nov $470s.
A bullish bet paying up to 7.8x its cost if GOOGL climbs 32% to $470 by Nov 20, with risk limited to what was paid.
🚨 OPTIONS ALERT
$220K in $BTDR calls expiring Aug 2026 (28 days), swept at the ask.
Almost all of today's volume in this contract came through this sweep.
🧩 STRATEGY ALERT
$5.1M net credit on a $9.4M $MTZ call spread across 2 linked trades: the $250 and $290 strikes, expiring Aug 21.
Both legs crossed near the middle of their quoted markets, so the tape does not show which side initiated. The strikes are $40 apart, so the risk is defined either way.
🧩 STRATEGY ALERT
$13M net credit on a $18.9M $MSFT call credit spread across 2 linked trades: sold the Oct $500s, bought the Oct $570s.
A bearish income position that keeps the premium collected as long as MSFT stays below $500 (8% above today's price), with losses capped at $62.33 per share by the $570 strike. It expires before the Oct 27 earnings report, making it a run-up bet, not an earnings bet.
🧩 STRATEGY ALERT
$11.3M $INTC call credit spread across 2 linked trades: sold the Nov $85s, bought the Nov $140s, net credit.
A bearish income position that keeps the premium collected as long as INTC stays below $85 (7% below today's price), with risk capped at $140.