File: AIGFinancialsCLIPPED · 2026-06-30
AIG
American International GroupSector benchmark XLF
74.53
−0.8%
±3.2%into Jul 272.15–76.91±5.1%monthly70.76–78.30Pullback · —Knife · —Momentum · —DP short-vol · 26% ▾ easing
Price · 6 months · daily
6m high85.41
6m low71.00
Vol vs 20d avg0.7× · quiet
Off 52-wk high-12.8%
Dark pool FINRA · T+1
Short-vol ratio26% · easing
Off-exchange share28%
vs own 1-yr (z)-1.2
Sector RS vs XLF
−8.6%vs XLF · 63 sessions
AIG vs XLF · 3m−8.6%
AIG vs XLF · 6m−9.9%
ratio of closes, rebased — a relative read, not a peer percentile
Gamma profile CBOE delayed
Call wall78.00
Zero-gamma74.50
Put wall74.00
Spot vs zero-γ0.0% above
Dealer posturelong gamma · dampens moves
nearest expiry 2026-07-02 · heuristics · full profile →
Auto-note //Holding above zero-gamma (74.50) — dealer hedging dampens moves above it. The 78.00 call wall is the nearest-expiry ceiling heuristic; 74.00 is the floor. Options price ±3.2% into Jul 2. Dark-pool short volume at 26% and easing vs its 20-day.
Composed from the nightly pipelines — every panel degrades independently when its dataset is missing. Heuristics labeled as heuristics; not investment advice.