Long butterfly sizing: pick bullish or bearish and a target return, and it sizes the wings, then shows the debit, max-profit strike, both breakevens, and the odds of finishing in the profit zone.
For buying options: dollar profit per stock move, the historical odds of hitting your target return, and the theta and gamma you pay, by VIX / MA / RSI regime.
Live long-options setups (buying calls and puts) ranked by their historical win rate.
Every option print executed on the exchange floor over the past 7 days: the human-brokered, mostly institutional trades, with size, volume/OI, and a bull or bear read on each.
Every strike and expiration for any liquid US ticker with bid/ask, IV, volume, and open interest, plus filters for delta, premium, IV, spread, and liquidity.
Set your probability of profit and see the live price band a ticker has held through every option expiration in the next 45 days, by VIX / MA / RSI regime.
Live premium-selling setups (credit spreads, covered calls) ranked by their historical win rate.
A front-ratio spread scanner: the net credit you take in, the strike where max profit peaks, the Danger Level, and the historical odds of finishing in profit, by regime.