LEU is in short squeeze territory.
Float: ~15.8M shares
Short Interest: ~2.92M shares (~18.5% of float)
Days to Cover: 2.7–3.4 (based on avg. volume)
Cost to Borrow: >12% APR — elevated friction for short holding
Utilization: 100% — all lendable shares are actively short
Off-Exchange Volume: 52.9% of total daily volume
Average DP activity: trending higher last 5 sessions
Interpretation: Consistent dark pool action + volume spikes = institutional movement. Large buys may be being masked to avoid alerting retail and algos.
Call Volume Surge: ~12,380 contracts vs 3K avg
Put/Call Ratio: 0.6 — bullish bias
IV Rank: ~43%
IV Level: ~79.5% (historically high but not dangerous)
Unusual Flow: Deep OTM calls for July and August being loaded — $180, $200, $250
Current Price: $173.66
Today’s High: $175.65
Breakout Zone: $165–168 (just cleared)
Next Resistance: $180.50 → $186 → $195
Support: $167.20 → $161.80
Volume: Over 1.02M — first major 1M+ session since March
RSI: ~86 — hot but normal in short squeeze scenarios
MACD: Just crossed bullishly on daily
Entry: $170–172
Risk: Stop at $163
Target 1: $180
Target 2: $188–190
Stretch Target: $200+ on gamma ramp if momentum holds
Float: ~15.8M shares
Short Interest: ~2.92M shares (~18.5% of float)
Days to Cover: 2.7–3.4 (based on avg. volume)
Cost to Borrow: >12% APR — elevated friction for short holding
Utilization: 100% — all lendable shares are actively short
Off-Exchange Volume: 52.9% of total daily volume
Average DP activity: trending higher last 5 sessions
Interpretation: Consistent dark pool action + volume spikes = institutional movement. Large buys may be being masked to avoid alerting retail and algos.
Call Volume Surge: ~12,380 contracts vs 3K avg
Put/Call Ratio: 0.6 — bullish bias
IV Rank: ~43%
IV Level: ~79.5% (historically high but not dangerous)
Unusual Flow: Deep OTM calls for July and August being loaded — $180, $200, $250
Current Price: $173.66
Today’s High: $175.65
Breakout Zone: $165–168 (just cleared)
Next Resistance: $180.50 → $186 → $195
Support: $167.20 → $161.80
Volume: Over 1.02M — first major 1M+ session since March
RSI: ~86 — hot but normal in short squeeze scenarios
MACD: Just crossed bullishly on daily
Entry: $170–172
Risk: Stop at $163
Target 1: $180
Target 2: $188–190
Stretch Target: $200+ on gamma ramp if momentum holds
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