Communication Services

Fox Corp (FOXA) options and signal

Figures as of 28 Sep 2026

FOXA is Fox Corp, a Communication Services name the model ranks every trading day. The options figures are from the close on 28 Sep 2026. The model's figures are from 25 Sep 2026, one trading day behind the latest, as the Free plan shows them. Every model figure is paper trading.

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At a glance

FigureValueDate
IV rank89 of 10028 Sep
At the money IV43.8%28 Sep
Priced move to 16 Oct11.0% down, 8.9% up28 Sep
Call wall and put wall65 and 5528 Sep
Signal and the desk's viewNo signal, view bullish25 Sep
Last close63.0628 Sep
Next report29 Oct 202628 Sep

Options Snapshot

FOXA's IV rank is 89 of 100 on 28 Sep 2026.

FigureValue
IV rank89 of 100
At the money IV43.8%, near month, 18 days
Put/call ratio, open interest0.51
Call open interest, strikes captured near the price27,500 contracts
Put open interest, strikes captured near the price13,900 contracts
Cost to trade at the moneyFair, 37.1% of the option's mid price

IV rank is where the at the money IV sits among FOXA's own weekly readings, 0 the lowest and 100 the highest.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Priced Range

On 28 Sep 2026, FOXA options priced a move of 11.0 percent down and 8.9 percent up by 16 Oct 2026.

ExpiryDaysDownUpRange
16 Oct 20261811.0%8.9%56.14 to 68.69
20 Nov 20265315.1%15.9%53.55 to 73.06
18 Dec 20268116.3%18.7%52.76 to 74.86
15 Jan 202710921.1%21.1%49.76 to 76.36
19 Mar 202717228.9%28.4%44.86 to 80.96
16 Apr 202720031.9%31.9%42.96 to 83.16

The range is one standard deviation either side of the close of 63.06, as the option prices imply it.

A priced move restates option prices at the close and says nothing certain about where the price goes.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Gamma Map

On 28 Sep 2026, FOXA's call wall is the 65 strike and its put wall is the 55 strike.

FigureValue
Call wall, most open call gamma65
Put wall, most open put gamma55
Net dollar gamma, calls minus puts$1.99 million
Total dollar gamma, both sides$4.59 million
Close63.06

Dollar gamma is stated for a one percent move in the price.

Net is calls minus puts under the standard convention, not a record of who holds the contracts.

Net gamma changes sign at 3 strikes, so no single flip strike is named.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Volatility History

On 28 Sep 2026, FOXA's at the money IV is 43.8 percent against 20 day realized volatility of 28.0 percent.

FigureValue
At the money IV43.8%
Realized volatility, 20 trading days28.0%
Realized volatility, 60 trading days31.6%
IV against its own weekly recordHigh, in the top fifth
Weekly readings on record386, from 15 Mar 2019
Weeks the price moved more than the one week priced move24.6% of 252 weeks

Realized volatility is worked out from the daily closes the desk holds, not from the option chain.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Volatility Weather

On 28 Sep 2026, FOXA's at the money IV runs from 43.8 percent at 18 days to 43.0 percent at 200 days.

Days to expiryAt the money IV
1843.8%
5340.9%
8137.9%
10938.6%
17241.9%
20043.0%

Near and far expiries price about the same volatility, a flat term structure.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Volatility Smile

On 28 Sep 2026, at the 53 day expiry, FOXA's IV ten percent below the price sits 16.9 points above at the money IV.

Strike areaImplied volatilityAgainst at the money
10% below the price57.8%+16.9 points
At the money40.9%0.0 points
10% above the price43.3%+2.4 points

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Volatility Surface

On 28 Sep 2026, FOXA's surface spans 6 expiries out to 200 days, with IV from 35.3 to 50.8 percent near the price.

FigureValue
Expiries captured6
Nearest expiry16 Oct 2026, 18 days
Farthest expiry16 Apr 2027, 200 days
Points within 10% of the price, 7 days out or more9
Lowest IV among them35.3%
Highest IV among them50.8%

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Expiry Ladder

On 28 Sep 2026, FOXA has 6 captured expiries, from 16 Oct 2026 to 16 Apr 2027.

ExpiryDaysAt the money IVCall open interestPut open interest
16 Oct 20261843.8%6,6554,740
20 Nov 20265340.9%7,415565
18 Dec 20268137.9%5,1141,452
15 Jan 202710938.6%7,2007,169
19 Mar 202717241.9%1,05815
16 Apr 202720043.0%565

Open interest is summed over the strikes captured near the price on each expiry.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Strike Table

On 28 Sep 2026, FOXA's largest open interest sits at the 65 strike, with 9,676 contracts across the captured expiries.

StrikeCall open interestPut open interestTotal
658,1321,5449,676
502,0405,6277,667
552,8724,7267,598
706,3414186,759
453,0106243,634
752,467122,479

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Since Yesterday

From 25 Sep 2026 to 28 Sep 2026, FOXA's at the money IV moved from 45.7 percent to 43.8 percent.

Figure25 Sep28 SepChange
At the money IV45.7%43.8%-1.9 points
Open interest, strikes captured near the price43,46641,444-2,022
Put/call ratio, open interest0.580.51-0.07

Open interest changes cannot identify buyers or sellers.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Changed Hands

On 28 Sep 2026, 6,288 FOXA option contracts traded, 1.0 times its own recent average.

FigureValue
Calls traded2,837
Puts traded3,451
Against its recent average1.0 times
Busier than5 of its last 20 trading days
Open interest, whole chain44,174 contracts
Volume to open interest0.14
Unusual volume flagNo

Traded volume and open interest are shown side by side and never combined. Open interest changes cannot identify buyers or sellers.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Positioning Replay

The replay holds 33 trading days of FOXA's option positioning, from 11 Aug 2026 to 28 Sep 2026.

DateCloseNet dollar gammaTop call strikeTop put strike
11 Aug 202662.14$1.97 million6055
21 Sep 202664.79$2.27 million6565
28 Sep 202663.06$1.99 million6555

Each frame restates one nightly capture. Net is calls minus puts, a convention, not who holds the contracts.

From the option chain at the close on 28 Sep 2026. Current on every plan.

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Read-out

On 25 Sep 2026 the desk's view of FOXA was bullish, paper trading.

FigureValue
SideBullish at 45 trading days, no signal
Level above the close63.57, the swing high of 18 Sep 2026
Level below the close62.93, the swing low of 10 Sep 2026, a close past it runs against the view
The chartSits against the view
Strategy familyCash-secured put (sell a put below the price)
Price targetNone. The desk has no price model.

The levels are prices the shares turned at on the chart, with the date of each.

Paper trading. The model's figures from 25 Sep 2026, one trading day behind, as the Free plan shows them.

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Rank by Timeframe

On 25 Sep 2026 FOXA sat at the 70th percentile of the model's 45 trading day ranking, paper trading.

TimeframePercentileSide
10 trading days61 of 100Neutral
20 trading days50 of 100Neutral
45 trading days70 of 100Neutral

100 is the top of the ranking. A name in the middle three fifths is neutral.

Paper trading. The model's figures from 25 Sep 2026, one trading day behind, as the Free plan shows them.

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Timeframe Agreement

On 25 Sep 2026 FOXA's near timeframes were neutral and its long timeframe was neutral, paper trading.

GroupTimeframesSideOn that side
Near10 day, 20 dayNeutral0 of 2
Long45 dayNeutral0 of 1

Paper trading. The model's figures from 25 Sep 2026, one trading day behind, as the Free plan shows them.

Open Timeframe Agreement in RingMasterThe Timeframe Agreement guide

Signal History

On 25 Sep 2026 FOXA had carried no signal for at least 18 trading days, paper trading.

Trading daySignal45 day percentile
25 Sep 2026None70 of 100
24 Sep 2026None76 of 100
23 Sep 2026None88 of 100
22 Sep 2026None74 of 100
21 Sep 2026None31 of 100
18 Sep 2026None43 of 100
17 Sep 2026None40 of 100
16 Sep 2026None82 of 100

Paper trading. The model's figures from 25 Sep 2026, one trading day behind, as the Free plan shows them.

Open Signal History in RingMasterThe Signal History guide

Sector Split

On 25 Sep 2026, 10 of 37 Communication Services names were bullish and 12 were bearish, paper trading.

SectorNamesBullishBearishNeutral
Communication Services37101215

Paper trading. The model's figures from 25 Sep 2026, one trading day behind, as the Free plan shows them.

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Price Chart

FOXA closed at 63.06 on 28 Sep 2026.

FigureValue
Last close63.06
Change over 5 trading days-2.7%
Change over 21 trading days-6.2%
Change over 63 trading days+25.1%
Change over 252 trading days+4.7%
52 week high76.39
52 week low48.34
20 day moving average65.44
50 day moving average63.88
200 day moving average63.34
RSI, 14 days42

Worked out from the desk's own daily bars, adjusted for share splits.

From the daily bars through 28 Sep 2026. Current on every plan.

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Earnings Radar

FOXA reports next on 29 Oct 2026, a date worked out from past quarters.

FigureValue
Next report29 Oct 2026, before the open
DateWorked out from past quarters
Move after the report of 29 Jul 2026-0.2%
Move after the report of 30 Apr 2026-0.2%
Move after the report of 28 Jan 2026+1.0%
Move after the report of 12 May 2025+4.3%

Earnings calendar as of 28 Sep 2026. Current on every plan.

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Short Volume

On 25 Sep 2026, 57.4 percent of FOXA's reported volume at the covered venues was marked short.

FigureValue
Short sale share, 25 Sep57.4%
Five day average57.9%
52 week median58.6%

Short sale volume counts trades marked short at the covered venues, mostly off exchange. It is not the same as short interest.

Short volume as of 25 Sep 2026. Current on every plan.

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Seasonality

In the 7 Septembers on record, FOXA's average change was minus 0.8 percent, and it rose in 42.9 percent of them.

MonthAverage changeMiddle changeShare of years upYears
September-0.8%-0.1%42.9%7
October-1.5%-0.9%28.6%7
November+4.8%+8.8%71.4%7

Each figure is a month end to month end change in past years. A past month says nothing certain about the next one.

Monthly history through 28 Sep 2026. Current on every plan.

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Questions

What is FOXA's IV rank?
FOXA's IV rank is 89 of 100 on 28 Sep 2026.
What move are FOXA options pricing?
On 28 Sep 2026, FOXA options priced a move of 11.0 percent down and 8.9 percent up by 16 Oct 2026.
Where are FOXA's call wall and put wall?
On 28 Sep 2026, FOXA's call wall is the 65 strike and its put wall is the 55 strike.
What was the desk's latest view of FOXA on the Free plan?
On 25 Sep 2026 the desk's view of FOXA was bullish, paper trading.
When does FOXA report earnings next?
FOXA reports next on 29 Oct 2026, a date worked out from past quarters.

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