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Universal Option Suitability Master

Universal Option Suitability Master (IC-S)
Overview
Options trading is often less about "direction" and more about Volatility and Market Structure. The Universal Option Suitability Master is a comprehensive quantitative dashboard designed to help traders identify the mathematically optimal time to enter five of the most popular options strategies.
Instead of guessing if the "premium is worth the risk," this tool analyzes the market through three distinct pillars—Volatility, Trend Strength, and Range Consistency—to provide a real-time Suitability Score (0-100%).
The Three Pillars of Suitability
This indicator calculates a weighted score based on three core metrics:
Volatility Pillar (IV Rank): Measures current historical volatility relative to the last 252 trading days. It tells you if options are currently "expensive" (selling environment) or "cheap" (buying environment).
Trend Pillar (ADX): Evaluates the strength of the current trend. Neutral strategies (like Iron Condors) require a low ADX, while directional spreads require a high ADX.
Range Pillar (Choppiness Index): Determines if price action is staying within a consolidated range or preparing for a breakout.
Supported Strategies
You can toggle between five different strategy modes in the settings. The entire dashboard and math engine will update instantly to reflect that strategy’s specific requirements:
Sell Iron Condor: A neutral income strategy. Optimal when IV is high, trends are weak, and the market is choppy.
Buy Iron Condor: A range-breakout play. Optimal when IV is cheap and a new trend is emerging from a tight range.
Straddle: A pure volatility bet. Optimal when IV is at extreme lows and trend strength is high (anticipating a massive move regardless of direction).
Credit Spreads: A trend-following income play. Optimal when IV is high and the trend is clearly established.
Calendar Spreads: A "Time & Vol" play. Optimal when the market is flat and IV is at historical lows, betting on a future rise in volatility.
Key Features
Interactive Dashboard: Features a clean table in the top-right corner with hover-tooltips explaining every metric.
Multi-Strategy Background Scanner: The script monitors all 5 strategies simultaneously. You can set alerts for the "Optimal" zone of any strategy, even if you don't have it currently selected.
Visual Suitability Histogram: High-visibility columns colored by "Optimal" (Green), "Fair" (Orange), and "Avoid" (Red) zones.
Strategy Tips: Includes dynamic entry tips and brief explanations of each strategy's logic directly on the UI.
How to Use
Select your target strategy in the Input settings.
Check the Suitability Score: A score above 70% indicates a mathematically "Optimal" environment for that specific trade.
Review the Pillars: Use the dashboard to see if the score is being driven by high premium (IVR) or market structure (ADX/Chop).
Set Alerts: Use the built-in alert conditions to be notified the moment a high-probability setup occurs on your favorite ticker.
Disclaimer
This indicator is for educational and informational purposes only. Options trading involves significant risk. The "Suitability Score" is a mathematical model based on historical data and does not guarantee future results. Always practice proper risk management.
Overview
Options trading is often less about "direction" and more about Volatility and Market Structure. The Universal Option Suitability Master is a comprehensive quantitative dashboard designed to help traders identify the mathematically optimal time to enter five of the most popular options strategies.
Instead of guessing if the "premium is worth the risk," this tool analyzes the market through three distinct pillars—Volatility, Trend Strength, and Range Consistency—to provide a real-time Suitability Score (0-100%).
The Three Pillars of Suitability
This indicator calculates a weighted score based on three core metrics:
Volatility Pillar (IV Rank): Measures current historical volatility relative to the last 252 trading days. It tells you if options are currently "expensive" (selling environment) or "cheap" (buying environment).
Trend Pillar (ADX): Evaluates the strength of the current trend. Neutral strategies (like Iron Condors) require a low ADX, while directional spreads require a high ADX.
Range Pillar (Choppiness Index): Determines if price action is staying within a consolidated range or preparing for a breakout.
Supported Strategies
You can toggle between five different strategy modes in the settings. The entire dashboard and math engine will update instantly to reflect that strategy’s specific requirements:
Sell Iron Condor: A neutral income strategy. Optimal when IV is high, trends are weak, and the market is choppy.
Buy Iron Condor: A range-breakout play. Optimal when IV is cheap and a new trend is emerging from a tight range.
Straddle: A pure volatility bet. Optimal when IV is at extreme lows and trend strength is high (anticipating a massive move regardless of direction).
Credit Spreads: A trend-following income play. Optimal when IV is high and the trend is clearly established.
Calendar Spreads: A "Time & Vol" play. Optimal when the market is flat and IV is at historical lows, betting on a future rise in volatility.
Key Features
Interactive Dashboard: Features a clean table in the top-right corner with hover-tooltips explaining every metric.
Multi-Strategy Background Scanner: The script monitors all 5 strategies simultaneously. You can set alerts for the "Optimal" zone of any strategy, even if you don't have it currently selected.
Visual Suitability Histogram: High-visibility columns colored by "Optimal" (Green), "Fair" (Orange), and "Avoid" (Red) zones.
Strategy Tips: Includes dynamic entry tips and brief explanations of each strategy's logic directly on the UI.
How to Use
Select your target strategy in the Input settings.
Check the Suitability Score: A score above 70% indicates a mathematically "Optimal" environment for that specific trade.
Review the Pillars: Use the dashboard to see if the score is being driven by high premium (IVR) or market structure (ADX/Chop).
Set Alerts: Use the built-in alert conditions to be notified the moment a high-probability setup occurs on your favorite ticker.
Disclaimer
This indicator is for educational and informational purposes only. Options trading involves significant risk. The "Suitability Score" is a mathematical model based on historical data and does not guarantee future results. Always practice proper risk management.
开源脚本
秉承TradingView的精神,该脚本的作者将其开源,以便交易者可以查看和验证其功能。向作者致敬!您可以免费使用该脚本,但请记住,重新发布代码须遵守我们的网站规则。
免责声明
这些信息和出版物并非旨在提供,也不构成TradingView提供或认可的任何形式的财务、投资、交易或其他类型的建议或推荐。请阅读使用条款了解更多信息。
开源脚本
秉承TradingView的精神,该脚本的作者将其开源,以便交易者可以查看和验证其功能。向作者致敬!您可以免费使用该脚本,但请记住,重新发布代码须遵守我们的网站规则。
免责声明
这些信息和出版物并非旨在提供,也不构成TradingView提供或认可的任何形式的财务、投资、交易或其他类型的建议或推荐。请阅读使用条款了解更多信息。