MAXP Options Trader
Trading tools for the MAXP Discord community
A comprehensive trading platform powered by the Schwab API, designed to help you make informed trading decisions.
Features:
• CSP Ranking - Rank and score stocks for Cash-Secured Put entry opportunities with configurable weights and signal filters
• Option Yield Analysis - Analyze option yields over time with customizable filters (strike range, delta range)
• Macro Economic Dashboard - Monitor market conditions with composite scores and regime indicators
Get started by analyzing option yields, ranking stocks for CSP opportunities, or exploring the macro dashboard.
Macro Economic Dashboard
Configure Macro Component Weights
×📖 Macro Signal Guide
×Understanding Macro Indicators
The Macro Economic Dashboard combines technical indicators and liquidity metrics to provide a comprehensive view of market conditions. This composite score helps inform trading decisions, especially for Cash-Secured Put (CSP) strategies.
Technical Components
Measures the health of major market indices using EMA trends. Higher scores indicate strong bullish trends across indices. Lower scores suggest bearish conditions.
VIX measures market fear/volatility. Lower VIX = calmer markets = higher score. VIX spikes indicate market stress and reduce the score.
Measures credit market conditions by comparing high-yield (HYG) to investment-grade (LQD) bonds. Rising ratio indicates flight to quality and credit stress.
Liquidity Indicators
Standing Repo Facility borrowing. $0B = healthy, higher values = liquidity stress.
Overnight reverse repurchase agreements. Lower values can indicate liquidity stress.
Total reserves of depository institutions. Declining reserves can signal liquidity tightening.
Commercial paper spread. Wider spreads indicate credit/liquidity stress.
10Y-2Y Treasury spread. Inverted curve (negative) signals potential recession.
The composite score combines Technical Input (Index Health, Volatility, Credit) with Liquidity Input. Liquidity acts as a "master brake" - if liquidity is STRESSED, the composite regime becomes RISK_OFF regardless of technical signals.
Technical Indicators
×Liquidity Indicators
×📊 VIX Levels For 2025-2026
×Portfolio allocation guidelines based on VIX (Volatility Index) levels. Adjust your cash/invested split according to market volatility conditions.
📊 VIX Levels For 2025-2026
×Portfolio allocation guidelines based on VIX (Volatility Index) levels. Adjust your cash/invested split according to market volatility conditions.
📊 VIX Levels For 2025-2026
×Portfolio allocation guidelines based on VIX (Volatility Index) levels. Adjust your cash/invested split according to market volatility conditions.
Copyright © 2024 MAXP Options Trader. All rights reserved.
Disclaimer: This application is for educational and informational purposes only. It does not provide financial, investment, or trading advice. All calculations, rankings, and analytics are hypothetical and based on publicly available or user-provided data. No trades are executed through this app, and the app does not access or manage any user brokerage accounts. Use at your own risk.
Support the Project (Optional)
This app represents over 150 hours of development time so far, plus about $150/month spent on hosting, compute, and AI tooling to get it where it is today.
If you find this tool useful and want to help support ongoing development, you can make an optional donation here (never required):
Venmo: @ayang2012
Zelle: ayang2012@gmail.com
Wise: @aarony274
Your support helps keep the project running — thank you!