Amid the chaos in the markets, the relevance of option expiries during a week like this tends to be rather low. The relative impact of the expiries is extremely minimal when traders are more focused on broader market sentiment and headline risks during this period. Those are the more pertinent factors in driving price action, heavily outweighing that of any push and pull from this. It’s one of those weeks that you only get once every few years, so yeah.
For more information on how to use this data, you may refer to this post here.
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