Outcome Radar - April 17, 2026
Today's analysis: 5 near entry, 6 near acceleration, 35 near cap. Total 49 signals.
21 of 25 funds are working through the middle of their outcome periods — exactly what you'd expect from the defensive anchor of a conservative allocation. Just 1 fund is back in Target/Extended Range, while the 3 funds approaching their caps are worth a closer look for existing holders weighing roll timing before remaining upside narrows further. For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Extended Range |
AIOOSPY100% Protection |
AllianzIM™ | ~0.0% | ~99.1% | 75 | ~-1.1% | ~17% Partic. | N/A |
Protection
Range
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | Innovator™ | ~0.1% | ~93.3% | 14 | ~-6.7% | ~3.7% | >95% | ||
| Near Cap | Innovator™ | ~0.6% | ~93.7% | 45 | ~-6.3% | ~4.9% | >95% | ||
| Near Cap | Innovator™ | ~1.2% | ~85.2% | 75 | ~-14.8% | ~6.0% | >95% |
53 of 64 funds are mid-period tonight, which is exactly what you'd expect from the most widely-held buffer structure on the shelf. Only 2 sit in Target/Extended Range, while the more pressing conversation is at the other end — 9 funds are Near Cap, and existing holders there should be evaluating roll timing before remaining upside gets any thinner. For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Extended Range |
IMAREFA15% Buffer Annual |
Innovator™ | ~15.0% | ~13.9% | 318 | 0.0% | ~17.2% | ~19% | |
| Extended Range |
IFEBEFA15% Buffer Annual |
Innovator™ | ~11.8% | ~15.3% | 290 | ~-1.6% | ~14.9% | ~27% |
Annual
Range
Annual
Range
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | BMAYSPY9% Buffer Annual |
Innovator™ | ~0.2% | ~12.7% | 14 | ~-15.4% | ~5.0% | >95% | |
| Near Cap | Innovator™ | ~0.5% | ~16.5% | 14 | ~-13.6% | ~11.7% | >95% | ||
| Near Cap | KMAYIWM15% Buffer Annual |
Innovator™ | ~0.1% | ~22.9% | 14 | ~-15.8% | ~1.6% | >95% | |
| Near Cap | NMAYQQQ15% Buffer Annual |
Innovator™ | ~0.1% | ~22.2% | 14 | ~-14.7% | ~1.6% | >95% | |
| Near Cap | PMAYSPY15% Buffer Annual |
Innovator™ | ~0.1% | ~20.6% | 14 | ~-12.2% | ~2.9% | >95% | |
| Near Cap | BJUNSPY9% Buffer Annual |
Innovator™ | ~1.5% | ~10.7% | 45 | ~-12.9% | ~12.1% | >95% | |
| Near Cap | KJUNIWM15% Buffer Annual |
Innovator™ | ~0.8% | ~21.4% | 45 | ~-14.1% | ~6.3% | >95% | |
| Near Cap | NJUNQQQ15% Buffer Annual |
Innovator™ | ~1.1% | ~18.6% | 45 | ~-12.5% | ~9.3% | >95% | |
| Near Cap | PJUNSPY15% Buffer Annual |
Innovator™ | ~1.0% | ~18.1% | 45 | ~-10.5% | ~7.9% | >95% |
Annual
Annual
Annual
Annual
Annual
Annual
Annual
Annual
Nothing is sitting near starting levels across all 88 funds tonight — zero in Target/Extended Range. The dominant story is 76 funds spread through mid-period across a mix of underlying indexes, while the 12 Near Cap names are worth a closer look for existing holders weighing whether roll considerations make sense before remaining upside narrows further. For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | DAPRSPY25% Buffer Annual |
First Trust™ | ~0.0% | ~30.4% | 1 | ~-17.0% | ~0.0% | >95% | |
| Near Cap | FAPRSPY10% Buffer Annual |
First Trust™ | ~0.0% | ~16.9% | 1 | ~-15.6% | ~0.0% | >95% | |
| Near Cap | GAPRSPY15% Buffer Annual |
First Trust™ | ~0.0% | ~23.1% | 1 | ~-13.1% | ~0.0% | >95% | |
| Near Cap | QCAPQQQ20% Buffer Annual |
First Trust™ | ~0.0% | ~31.5% | 1 | ~-13.1% | ~10.9% | >95% | |
| Near Cap | MAYTSPY10% Buffer Annual |
AllianzIM™ | ~0.3% | ~14.1% | 14 | ~-14.8% | ~9.1% | >95% | |
| Near Cap | DMAYSPY25% Buffer Annual |
First Trust™ | ~0.7% | ~25.7% | 29 | ~-15.0% | ~8.4% | >95% | |
| Near Cap | FMAYSPY10% Buffer Annual |
First Trust™ | ~1.0% | ~11.4% | 29 | ~-12.3% | ~12.7% | >95% | |
| Near Cap | GMAYSPY15% Buffer Annual |
First Trust™ | ~0.6% | ~17.4% | 29 | ~-10.6% | ~7.9% | >95% | |
| Near Cap | QMMYQQQ15% Buffer Annual |
First Trust™ | ~0.8% | ~18.1% | 29 | ~-12.6% | ~10.7% | >95% | |
| Near Cap | SMAYIWM15% Buffer Annual |
First Trust™ | ~0.6% | ~20.1% | 29 | ~-13.9% | ~7.4% | >95% | |
| Near Cap | XMAYSPY15% Buffer Annual |
First Trust™ | ~0.4% | ~18.8% | 29 | ~-9.2% | ~5.0% | >95% | |
| Near Cap | TJUNEEM10% Buffer Annual |
First Trust™ | ~1.3% | ~18.3% | 63 | ~-14.9% | ~7.8% | >95% |
Annual
Annual
Annual
Annual
Annual
Annual
Annual
Annual
Annual
Annual
Annual
Annual
With 29 of 37 funds working through the middle of their outcome periods, the deep-buffer tier is running exactly as designed — protection layered in, caps accepted, no urgency either direction. Only 2 funds sit in Target/Extended Range, keeping new-period exposure minimal tonight. The more relevant conversation is the 6 funds approaching their caps, where existing holders should be evaluating roll timing before remaining upside narrows further. For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Extended Range |
JANMSPY50% Buffer Annual |
First Trust™ | ~5.3% | ~44.9% | 274 | ~-1.6% | ~7.1% | ~39% | |
| Extended Range |
FEBMSPY50% Buffer Annual |
First Trust™ | ~5.5% | ~46.7% | 309 | ~-1.5% | ~6.5% | ~40% |
Annual
Range
Annual
Range
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | First Trust™ | ~0.0% | ~93.1% | 1 | ~-6.9% | ~0.0% | >95% | ||
| Near Cap | AllianzIM™ | ~0.2% | ~26.1% | 14 | ~-10.6% | ~6.3% | >95% | ||
| Near Cap | Innovator™ | ~0.1% | ~32.9% | 14 | ~-15.7% | ~3.4% | >95% | ||
| Near Cap | First Trust™ | ~0.3% | ~93.7% | 29 | ~-6.3% | ~4.2% | >95% | ||
| Near Cap | AllianzIM™ | ~0.9% | ~23.5% | 45 | ~-9.3% | ~7.1% | >95% | ||
| Near Cap | Innovator™ | ~0.9% | ~31.0% | 45 | ~-14.4% | ~7.2% | >95% |
3 of the 14 uncapped funds are in Target/Extended Range tonight, with 11 settled into mid-period — and given the structure here, mid-period means clients are still fully exposed to wherever the market takes them through expiration. With no funds approaching a cap threshold, roll considerations are off the table entirely; the story for existing holders is simply how much of the outcome period remains and how the buffer is holding up beneath them. For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Thresh.⇅ | Prob. | View |
|---|---|---|---|---|---|---|---|---|---|
| * Near Threshold |
JANIEFA15% Uncapped Buffer |
AllianzIM™ | ~0.0% | ~14.5% | 259 | 0.0% | ~2.4% Spread | N/A | |
| * Near Threshold |
JANUSPY15% Uncapped Buffer |
AllianzIM™ | ~0.0% | ~14.7% | 259 | 0.0% | ~3.7% Spread | N/A | |
| Extended Range |
FEBUSPY15% Uncapped Buffer |
AllianzIM™ | ~0.0% | ~14.5% | 290 | 0.0% | ~3.8% Spread | N/A |
Uncapped Buffer
Threshold
Uncapped Buffer
Threshold
Uncapped Buffer
Range
All 23 Dual Direction funds are mid-period tonight — nothing near its starting level, nothing pressing toward its cap, so roll conversations aren't on the table for existing holders yet. These structures were built for ambiguity, and right now they're simply absorbing it, with every fund still working through the middle stretch of its outcome period where both the buffer and the upside mechanics remain fully intact. For informational purposes, not investment advice.
All 26 Specialty funds are mid-period tonight — no funds near their starting levels, none approaching their caps. With accelerated and shorter-cycle structures, these products reset more frequently than standard annual buffers, so the current mid-period clustering reflects a category that's simply between inflection points rather than stalled — the next round of roll decisions will arrive sooner than most advisors expect. For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Accel Zone | QTOCQQQ3x Accelerated |
Innovator™ | ~9.9% | ~0.0% | 167 | — | ~21.6% | ~35% | |
| Accel Zone | XBOCSPY2x Accelerated |
Innovator™ | ~5.8% | ~9.0% | 167 | 0.0% | ~12.7% | ~30% | |
| Accel Zone | XTOCSPY2x Accelerated |
Innovator™ | ~7.7% | ~0.0% | 167 | — | ~16.8% | ~35% | |
| Accel Zone | QTAPQQQ3x Accelerated |
Innovator™ | ~13.7% | ~0.0% | 349 | — | ~14.4% | ~35% | |
| Accel Zone | XBAPSPY2x Accelerated |
Innovator™ | ~9.9% | ~9.0% | 349 | 0.0% | ~10.3% | ~35% | |
| Accel Zone | XTAPSPY2x Accelerated |
Innovator™ | ~12.2% | ~0.0% | 349 | — | ~12.8% | ~50% |
Accelerated
Accelerated
Accelerated
Accelerated
Accelerated
Accelerated
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Prob.⇅ | View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | QTJLQQQ3x Accelerated |
Innovator™ | ~2.9% | ~0.0% | 75 | — | ~14.3% | ~50% | |
| Near Cap | XBJLSPY2x Accelerated |
Innovator™ | ~1.9% | ~9.0% | 75 | 0.0% | ~9.2% | ~50% | |
| Near Cap | XDQQQQQ2x Accelerated |
Innovator™ | ~3.2% | ~0.0% | 75 | — | ~15.6% | ~50% | |
| Near Cap | XDSQSPY2x Accelerated |
Innovator™ | ~3.0% | ~0.0% | 75 | — | ~14.6% | ~35% | |
| Near Cap | XTJLSPY2x Accelerated |
Innovator™ | ~2.4% | ~0.0% | 75 | — | ~11.5% | ~50% |
Accelerated
Accelerated
Accelerated
Accelerated
Accelerated
Independent Research & Trademark Notices
Innovator™, First Trust™, and AllianzIM™ are trademarks of their respective owners. Outcome Radar is an independent research publication and is not affiliated with, sponsored by, or endorsed by these or any other fund providers.
This publication is provided for informational and educational purposes only and does not constitute personalized investment advice, a recommendation to buy or sell any security, or an offer of advisory services. Investment decisions should be made based on an investor’s specific objectives and risk tolerance.
All probability estimates are model-based, hypothetical, and are not predictive of future results. Mathematical observations are based on current market data and modeled outcomes at expiration; they do not account for intra-period volatility or secondary market liquidity.
© 2026 Outcome Radar. All Rights Reserved.
Top 10 Widget (Dropdown Switcher) — A single box that holds three different “Top 10” views. Use the dropdown in the widget header to switch between them:
• Closest to Target Range (default) — The 10 ETFs trading closest to their ideal entry band. An ETF showing In Range is currently inside the optimal entry zone for its period type (annual, 6-month, or quarterly). Amber means within 0.25% of the band; red is further away. Ranked by absolute distance from the band.
• Asymmetry Ratio — Measures how much upside vs. downside a fund offers on a standardized ±10% index move from today. A ratio of 5x means the fund gains 5x more than it loses. Higher is better. Funds with fewer than 30 days remaining or non-standard structures are excluded.
• Top Cap Yield — The 10 ETFs with the highest annualized remaining cap. Cap Yield normalizes different time horizons so a fund with 60 days left can be compared to one with 300 days left. Grade reflects overall attractiveness.
Upcoming Resets — ETFs resetting within the next 8 days. At reset the fund starts a new outcome period with a fresh cap and buffer — an important decision point for holders.
Volume Traded (Treemap) — The 10 most actively traded ETFs from the prior session, sized by volume. Click any box to jump directly to that ETF’s row.
Implied Volatility Chart — A 1-year history of VIX (S&P 500), VXN (Nasdaq), and RVX (Russell 2000) implied volatility. Current values are calculated using options volatility models at the end of the day. Higher IV means higher reset caps ahead — useful context for timing new positions.
• Green chip — Exact match: same underlying index and same buffer %, freshly reset. Hover / tap for “Same buffer & index, just reset”.
• Amber chip with ∼ — Partial match: same underlying index, different buffer. Hover / tap shows which buffer the candidate has (e.g., “10% buf”).
• No chip — No suitable replacement exists in the current report.
Click the chip to jump directly to that suggested ETF’s row, so you can compare side-by-side before rolling.
Near Cap — ETFs nearing their maximum return. Upside is limited; each entry shows a Roll Option chip with a suggested replacement ETF.
Acceleration Zone — Leveraged ETFs (2x/3x) with multiplied upside. Position relative to the trigger threshold is key.
Dual Direction — ETFs that participate in both up and down index moves. Symmetry analysis matters here.
All Others — The rest of the ETF universe for that tab’s buffer type. Collapsed by default — expand to see every fund with basic metrics.