Short Put Screener

A simple, smart workflow for institutional-grade equity options.

Stock and ETF option screening with a consistent path from shortlist to contract rating and portfolio allocation.

Built for retail options sellers on US stocks and ETFs who want high-quality structure that is easy to use.

Method

Structure like a pro desk, made easy to use

Market focus

US stocks + ETFs

Why our system works

AI optimized

Many tools start with a complex control panel. We reverse that flow: first qualified finalists, then focused decisions based on your rules. This makes the process faster, clearer, and more consistent. We deliberately focus only on the next expiration cycle and scan Monthly, Weekly, and M/W/F series for the strongest candidates. Every 15 minutes, we refresh data across more than 12,000 stocks and ETFs, analyze their option chains, and create a top selection using an AI-optimized algorithm.

Screener

  • No configuration overload with endless parameters.
  • Pre-qualified options generated by an AI-optimized algorithm.
  • Final selection based on your risk and return preferences.
  • Warnings and hard exclusions remove weak setups early.
  • The focus is on decisions, not tool operation.

Analyzer Engine

  • A simple traffic-light system gives a clear first assessment in seconds.
  • Signals visualize risk and quality factors at a glance.
  • Reliable input for the next step in portfolio management.

Portfolio Planner

  • Capital and sector allocation are explicit, visible, and controllable.
  • Focus on portfolio impact instead of isolated single-trade decisions.
  • Especially important for ETF setups: diversification over concentration risk.
  • Rebalancing support makes the process repeatable and disciplined.
  • Contract decisions are translated into clean portfolio actions.

Start with your dream before your first setup

Dream Builder turns your personal goals into a clear visual target and links them to a realistic capital path.

Use Planner to make risks visible early and manage portfolio decisions with more control

If you want to manage beyond single contracts and steer at portfolio level, the key value is allocation visibility. Planner is designed for exactly that: not more features for feature count, but better control over diversification, sector weights, and concentration risk.

Example: ETF Sector Mix

SPY and TQQQ can look diversified at ticker level, but their sector concentration can still overlap heavily.

SPY/TQQQ sector-mix example
  • Information Technology: 31.2%
  • Financials: 12.8%
  • Health Care: 11.6%
  • Consumer Discretionary: 10.2%
  • Communication Services: 8.9%
  • Other Sectors: 25.3%

Important:sector allocation becomes significantly harder to judge when ETF exposure is combined with individual stocks and options positions in the same portfolio.

What you get in your first 15 minutes

Set your risk boundaries, review ranked opportunities, inspect contract quality, and build a first allocation draft with clear next actions.

Guided experience

The guided tour walks you through each module and highlights what matters at every step. Clear page logic keeps the workflow structured and decision-focused from start to finish.

Risk-first decisions

Warnings, Delta, BE-Distance and liquidity are visible in one consistent decision flow.

Risk mode

Low Risk Mode sets conservative guardrails for beginners and reduces complexity through a clear risk-first structure.

Cash model

Choose between Cash Secured and Margin / Naked depending on your capital model and complexity tolerance.

Wheel Strategy Explained

Our core focus: the difficult put leg

We focus the wheel where outcomes are decided: selecting high-quality cash-secured put setups and fitting them into a portfolio plan before assignment risk occurs. The covered-call leg then stays intentionally simple and rules-based.

Beyond Black-Scholes algorithms

Additional Black-Scholes signal block

We complement core risk checks with a Black-Scholes context signal to assess strike pressure under implied volatility.

  • No standalone model dependency: Delta, BE-Distance, liquidity and warnings stay primary.
  • Contract-level context: expected volatility range and strike pressure become visible.
  • Clear signal output: one consistent context line for fast and confident contract review.
Open Black-Scholes Guide

Pricing (Taxes are calculated and added at checkout.)

Recommended for active investors: Premium Bundle yearly plan.

Premium Bundle

Most PopularSave $158/year with annual billing
$790
per year

1Click:ScreenerAnalyzerPlanner

Bundle
Screener + Analyzer

$666
per year

1Click:ScreenerAnalyzer

Bundle
Screener + Planner

$666
per year

1Click:ScreenerPlanner

Bundle
Analyzer + Planner

$666
per year
Show single module pricing

Screener

$333
per year

For focused candidate selection

Analyzer

$333
per year

For deeper contract review

Planner

$333
per year

For allocation control and rebalancing

Risk and legal note

Short Put Screener is an analytics and comparison service. It does not provide personal investment advice or buy/sell recommendations.