$NET Long

110
Entry: 200.89
Stop: 192.79
Target: 208.81

Signals (at entry):
Flow: Call/Put Vol Ratio: 3, Net Δ: 765.21

IV Skew (Put/Call): 0.89

Max Pain: 230.00

Due to the bullish option sentiment, a long trade was opened with a 1:1 risk.

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