Below is every panel inside the QuantriumFlow Options Terminal — the structure, flow, volatility, regime, and setup signals that drive every decision in the six-mode workflow.
Setup panel
Trade Setups
SE zones (A/B/C/D grades) plus U1–U6 confirmation signals. Two-layer entry framework with breakeven and target rules.
Six U-setups (U1–U6) cover bullish/bearish breakouts, pullbacks, compression and hedge reclaims — every state has a name and a rule.
Each card shows trigger, target, stop and R:R upfront. SPY confirmation badge gates the trade. Mechanical inputs, not opinions — the same setup is shown to every subscriber.
Quantum-graded (A/B/C/D) and SPY-cross-checked. STRICT filter mode hides anything below B-grade so noise never reaches your screen.
Regime panel
Market Overview
Scanner of every tracked ticker — dealer positioning, IV rank, P/C ratio, relative volume — sortable, filterable, fast.
The full tracked universe across Index, Tech, Comm, Cons Cyc, ETFs, Bonds, Commodities, Vol, Currency — sortable by any column.
Quick-filter chips for High IV, Bullish Flow, Bearish, Big Movers, Low IV, Short Gamma — pre-built scans that match how traders actually think.
Dealer column flips between all-expirations and 0-DTE so you see structural positioning AND today's hedging in one click.
Structure panel
Structure Levels
Floor, resistance, dealer walls, hedge zones (H1±) and SGP — a modeled view of where institutional positioning is likely concentrated.
Resistance and Support stacks ranked by importance — Dealer Wall, DW 2nd, DW 3rd, SGP Floor, Floor 2nd, Support Band — with star-rated conviction.
Distance-from-price displayed on every level so you know exactly how much room is left before structure flips.
Updates intraday as positioning is re-modeled. Levels anchor when structure freezes — useful as an estimated map of where the institutional book is likely to react.
Structure panel
GEX Levels
Gamma-exposure profile across strikes. See where dealers are likely to hedge, where flow tends to get pinned, where it tends to get amplified.
Net GEX across every strike, with Call Walls (+GEX) and Put Walls (−GEX) called out at the bottom in stack-rank order.
Hedge Levels: HVL (zero-gamma), Transition Zone, and Call/Put walls — modeled price levels where dealer hedging pressure is likely to concentrate.
0-DTE toggle isolates today's gamma so you focus on the dealer book most relevant to the next session.
Setup panel
Quantum Nodes
Proprietary node-scoring across regime, confluence, distance, path, and pivot. The grade behind every setup.
Three node histograms: DP Index (Dealer Positioning), Smart Flow (Directional Bias), GDP Index (Gamma Decay Pressure).
Each panel returns a directional verdict — Bullish / Neutral / Bearish — with a strength rating that survives the next bar.
Drives the A/B/C/D grade on every Trade Setup. When all three align, conviction is highest; when they conflict, the setup blocks.
Flow panel
Smart Flow
Directional-positioning score derived from aggregate open interest and dealer gamma. Reads institutional intent from where the book is, not print-by-print.
Aggregates open interest and dealer-gamma exposure across the strike chain into a single directional score — bullish, neutral, or bearish.
Weights strikes closer to spot more heavily so the read reflects where hedging pressure is most likely to bite.
Cross-references against structure: heavy positioning at a Dealer Wall reads very differently than the same score in open air.
Volatility panel
IV Environment
Six-tier classification (DEPRESSED → EXTREME) with 1-year percentile context. Premium-selling vs directional regime at a glance.
ATM 30d IV plus 1/2/3/4 week percentile breakdowns — shows whether near-dated vol is rich or cheap relative to its own history.
IV Rank for 1 month and 1 year so you see the regime shift before it hits headlines.
Term structure across 10d–1y with VOL OF VOL, IV/HV, and ex-earnings IV — the inputs of an actual options desk.
Volatility panel
IV Surface
Volatility surface across expirations and strikes — see skew, term-structure twists, and where options are mispriced.
Full-surface visualisation across expirations and strikes — skew and term-structure shape in one view.
Spot rich/cheap pockets that don’t show up on a single-strike IV chart.
Critical when sizing premium-selling or calendar-based plays.
Structure panel
Key Levels
Cross-panel confluence summary. The levels you absolutely cannot miss today.
Aggregates Floor, Resistance, Dealer Wall, Hedge Zones into one ranked list.
Confluence stars (★) flag levels confirmed by multiple panels.
Updates intraday so the daily plan stays anchored to live structure.
Structure panel
Structure Table
Sortable level table with proximity, confluence, and direction.
Every level on a sortable grid — proximity, confluence score, direction, source panel.
Filter to LONG-only or SHORT-only when you want fast asymmetric reads.
Pairs naturally with the Trade Setups panel for entry stacking.
Flow panel
Options Flow
Aggregate flow analytics — unusual volume/OI vs baseline, premium concentration, and directional bias across the chain.
Unusual volume and OI activity vs the ticker's own baseline — surfaces where today's positioning materially diverges from recent history.
Premium concentration by strike and expiry so you see where dollar-weighted flow is actually landing.
Container view for the derived flow analytics that also feed Smart Flow and Flow Greeks. No raw print stream — options data is 15-min delayed and shown as aggregate metrics only.
Flow panel
Put/Call Ratio
Volume-based sentiment with regime-aware bands. Trend-confirmation, not contrarian noise.
P/C volume against 1d, 5d and 30d baselines so you see the rate of change, not just the level.
Regime-aware thresholds — bullish below 0.7, bearish above 1.3 — calibrated for the active tape.
Pairs with Smart Flow to confirm whether sentiment is one-sided money or just option-shop noise.
Regime panel
Structure Strength Index (SSI)
One conviction score for the day’s structural setup — weights hedge concentration, recency, and cross-panel confluence.