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BIG Options Strategy Regime Scanner

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BIG OPTIONS STRATEGY REGIME SCANNER
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OVERVIEW

The BIG Options Strategy Regime Scanner is a quantitative regime detection framework designed to identify optimal entry conditions for directional and convexity-based options strategies. This indicator analyzes market structure (trend), volatility environment (VIX), and momentum (RSI) to classify markets into distinct trading regimes and signal appropriate options deployment strategies.

The indicator was developed specifically for systematic options traders who require objective, rule-based regime identification rather than discretionary interpretation. It integrates institutional volatility metrics with technical momentum filters to produce high-probability entry signals for three core strategies: Call Tail Convexity, Put Tail Convexity, and Bull Put Income.


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CORE METHODOLOGY
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• Regime Detection Logic

The indicator operates on a three-factor regime classification system:

1. Trend Filter – Identifies directional bias using SMA 200 as the primary trend delimiter. Position relative to this level determines bull/bear regime classification.

2. Volatility Environment – Uses VIX (CBOE Volatility Index) thresholds to categorize market conditions:
• Low Vol: VIX < 17 (favors premium buying / convexity strategies)
• Mid Vol: VIX 17-22 (transition zone, tactical income strategies)
• High Vol: VIX ≥ 22 (risk-off, defensive positioning)

3. Momentum Confirmation – RSI(14) provides tactical entry timing to avoid premature signals and improve entry quality.


• Strategy Deployment Rules

Call Tail Entry (Bull Convexity)
Triggers when:
- Close > SMA 200 (bull trend confirmed)
- VIX < 17 (low volatility, cheap premium)
- RSI < 45 (tactical pullback for entry)

Context: This regime identifies periods where upside convexity is underpriced. Appropriate for OTM call buying or call spreads designed to capture trend acceleration during low-vol environments.

Put Tail Entry (Bear Convexity)
Triggers when:
- Close < SMA 200 (bear trend confirmed)
- VIX < 17 (low volatility, cheap premium)
- RSI > 65 (tactical bounce for entry)

Context: Signals opportunities to buy downside protection or OTM puts during complacent market conditions. Designed for convexity-seeking traders anticipating volatility expansion in bearish structures.

Bull Put Income
Triggers when:
- Close > SMA 200 (bull trend confirmed)
- VIX 17-20 (mid-range volatility, elevated premium)
- Close > SMA 50 (short-term strength)

Context: Identifies favorable conditions for selling OTM put spreads or cash-secured puts. Targets premium collection in constructive markets with sufficient volatility to generate income but not excessive tail risk.


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VISUAL COMPONENTS
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• Chart Signals
- Purple Triangle (below bar) = Call Tail Entry
- Red Triangle (above bar) = Put Tail Entry
- Green Triangle (below bar) = Bull Put Income

• Background Coloring
Chart background dynamically highlights active signals with semi-transparent overlays:
- Purple = Call Tail active
- Red = Put Tail active
- Green = Bull Put Income active

• Strategy Table
Top-right table displays real-time strategy status:
- Strategy name
- Condition Met (✅/❌)
- Color-coded for quick visual scan

• Moving Averages
- SMA 50 (Orange) – Short-term trend filter
- SMA 200 (Blue) – Primary trend delimiter


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KEY FEATURES
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- Multi-timeframe flexibility – Works on Daily, 4H, 1H timeframes for different deployment horizons
- No repainting – All signals confirm on bar close
- Institutional volatility integration – Uses VIX directly from CBOE data feed
- Clean visual hierarchy – Minimal clutter, maximum signal clarity
- Regime-aware strategy allocation – Matches strategy type to market environment


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HOW TO USE
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1. Apply to target underlying – Works on indices (SPX, NDX, RUT), equity ETFs (SPY, QQQ, IWM), or individual equities with liquid options markets.

2. Monitor regime table – Top-right table shows which strategies are currently valid based on real-time conditions.

3. Execute on signal confirmation – When triangle appears + table shows ✅, deploy corresponding options strategy.

4. Timeframe considerations:
• Daily = Swing options (30-60 DTE typical)
• 4H = Shorter-duration tactical (14-30 DTE)
• 1H = Ultra-short-term (0-7 DTE, requires precision execution)

5. Combine with position sizing rules – This indicator identifies when to deploy strategies, not how much. Use appropriate risk management and position sizing frameworks.


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LIMITATIONS
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- VIX dependency – Signals are calibrated for US equity volatility regimes. May require recalibration for other asset classes.

- No options-specific calculations – This indicator identifies favorable regimes but does not calculate Greeks, IV percentile, or specific strike selection. Traders must perform their own options analysis.

- Trend-following bias – The 200-day SMA filter creates a structural bias toward trend-following systems. May underperform in mean-reverting, range-bound markets.

- Signal frequency – Depending on market conditions, signals may be infrequent. This is by design to maintain signal quality over quantity.


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TECHNICAL SPECIFICATIONS
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- Pine Script v5
- Non-repainting (signals confirmed on close)
- Multi-security data feed (VIX via
Pine Script®
request.security()
)
- Maximum 500 labels supported
- Real-time table updates with color-coded status indicators


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NOTES
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This indicator is designed as a decision-support tool for experienced options traders. It provides objective regime classification and timing signals but does not constitute financial advice or a complete trading system. Always perform independent analysis and risk assessment before deploying options strategies.

Appropriate for traders familiar with:
- Volatility term structure
- Options Greeks and pricing dynamics
- Position construction (spreads, naked positions, hedged structures)
- Capital allocation and risk management


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Developed for systematic options deployment based on quantitative regime detection.

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