Outcome Radar - March 30, 2026

Today's analysis: 67 near entry, 1 near acceleration, 16 near cap. Total 84 signals.

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Outcome Radar - Nightly Defined Outcome Intelligence - March 30, 2026

HOW TO USE THIS REPORT

A quick walkthrough of every feature in your nightly Outcome Radar™ report
Step 1 of 8

Welcome to Outcome Radar

Every night, Outcome Radar™ scans the entire universe of Defined Outcome ETFs and surfaces the ones that matter most.

Three fund providers are tracked and color-coded throughout:

Innovator™ First Trust™ AllianzIM™
Outcome Radar™ is for informational & educational purposes only. Not investment advice.
📡
OUTCOME RADAR
NIGHTLY DEFINED OUTCOME INTELLIGENCE
Step 2 of 8

The Stats Bar & Market Data

Five key numbers at the top give you an instant pulse check. Scan these first every time you open the report.

Near Entry tells you how many ETFs are near their starting price — fund has reset or is back to its original starting point which could provide more favorable risk/reward characteristics. Near Cap flags funds hitting their ceiling.

Below that, T-Bill yields are your risk-free benchmark, and Implied Volatility shows conditions for each tracked index.

Pro Tip: A higher "Near Entry" count could provide more compelling longer term or tactical opportunities!
Outcome Radar™ is for informational & educational purposes only. Not investment advice.
278
ETFs Analyzed
72
Near Entry
2
Uncapped
3
Accel. Zone
19
Near Cap
Step 3 of 8

The Opportunity Score

The flagship feature — a proprietary that goes up to a 10.0 composite metric ranking every ETF by mathematical favorability based on the 3 metrics.

It combines three factors: Excess Upside (cap yield minus T-Bill rate), Cap Probability (likelihood of reaching the cap), and Buffer Quality (how much protection remains).

Use the colored filter pills to instantly filter the entire report by score threshold.

Quick Filter: Click "≥7" for top-tier only. "Show All" resets.
Outcome Radar™ is for informational & educational purposes only. Not investment advice.
★ OPPORTUNITY SCORE
≥7 ≥5 ≥2 ≥0 <0 N/A Show All
Step 4 of 8

Filters & Search Tools

The toolbar gives you powerful filtering. All filters work in combination to narrow results.

Provider — Toggle Innovator™, First Trust™, or AllianzIM™ on/off.

Status — Target Range, Extended Range, Near Entry, Accel Zone, Near Cap.

Period — Quarterly, Semi-Annual, Annual, or 2-Year.

Plus ticker search and Data Heavy / Lite toggle.

Pro Tip #1: If an ETF does not fall into any category it WILL NOT show up in the ticker search.
Pro Tip #2: Data Lite removes a lot of the statistics and when used with the Target and Extended Ranges allows for a much quicker analysis.
Outcome Radar™ is for informational & educational purposes only. Not investment advice.
Provider
Innovator™ × First Trust™ × AllianzIM™ ×
Status
✓ Target Range ✓ Extended Range
🔍 Search ticker
Step 5 of 8

The Near Entry Table

The most actionable section. ETFs here are near their starting price — giving you full cap upside with full buffer protection.

Click any column header to sort. Sorting by Score descending is the fastest way to find top opportunities.

Look for: Scores 7+, high cap yield, high probability, and intact buffers (low DBB).
Outcome Radar™ is for informational & educational purposes only. Not investment advice.
🎯 Near Original Entry 50
StatusTickerScoreCap Yld
ExtendedKJAN10.0~20.8%
TargetIJAN8.4~17.9%
Step 6 of 8

ETF Outcome Profiler

All calculations are estimates and are after fees.

Click any ETF row to open a slide-in detail panel showing the complete picture:

Outcome Profile — Visual cap ceiling, buffer zone, and current index position.

Key Metrics — Cap Used, Buffer Used, Cap Yield, Probability, Score.

Provider Link — Direct link to the fund's page for more info.

Close the panel with the × button, clicking outside, or pressing Escape.
Outcome Radar™ is for informational & educational purposes only. Not investment advice.
KJAN
Innovator ETFs™ · IWM – 15% Buffer
Extended Range
Modeled Outcome Profile at Expiration
BUFFER -14.2% START -0.8% CAP +15.7% FUND Fund Return (%) Index Return (%)
Target Range
Extended Range
Loss Zone
Before Fees
After Fees
~3%
% Cap Used
~5%
% Buffer Used
10.0
Score
Step 7 of 8

Report Sections & Dashboard

The report is organized into color-coded sections from most to least actionable. Below the tables, the Intelligence Dashboard provides advanced analytics.

Asymmetry Ratio — Upside vs downside on a ±10% move. 15x means $15 gain per $1 risk.

Upcoming Resets — ETFs approaching their reset date for new caps/buffers.

Top Cap Yield — Pure ranking by annualized cap yield.

Outcome Radar™ is for informational & educational purposes only. Not investment advice.
🎯 Near Original Entry
💎 Ultra Buffer Sweet Spot
⚡ Uncapped Buffer
🚀 Acceleration
📈 Near Cap
Step 8 of 8

You're Ready

That's everything! Here's a quick nightly workflow:

1. Check the Stats Bar — glance at Near Entry count.

2. Use Score Filters — click "≥7" for top-tier.

3. Scan Near Entry — sort by Score descending.

4. Open ETF Outcome Profiler — review outcome profile & key metrics.

5. Check the Dashboard — asymmetry ratios & upcoming resets.

Close this tutorial and the ? button at the bottom right will always be there if you need it again.
Outcome Radar™ is for informational & educational purposes only. The Opportunity Score is model-based and not predictive of future performance. Not investment advice.
YOU'RE ALL SET
Close this overlay and start exploring the report.
278
ETFs Analyzed
67
Near Entry
2
Uncapped
1
Accel. Zone
16
Near Cap
1 Mo T-Bill
3.74%
3 Mo T-Bill
3.73%
6 Mo T-Bill
3.75%
12 Mo T-Bill
3.77%
SPY IV
25.3%
QQQ IV
28.8%
IWM IV
33.7%
EFA IV
28.4%
EEM IV
38.1%
RSP IV
23.7%
★ Opportunity Score*
≥7 ≥5 ≥2 ≥0 <0 N/A Show All
Show Details ▼
Provider:
Innovator × | First Trust × | AllianzIM ×
Status:
✓ Target Range × | ✓ Extended Range ×
✓ Near Entry × | ⚡ Uncapped × | Accel Zone × | Near Cap ×
Period:
✓ Quarterly × | ✓ Semi-Annual × | ✓ Annual × | ✓ 2-Year ×
Showing all ETFs
Intelligence Dashboard

Asymmetry Ratio

Fund upside ÷ downside on a ±10% index move · 0.50% floor ±10% Index
# Ticker Idx Ret. Up 10% Dn 10% Ratio
1 TDEC +1.9% +11.6% -0.6% 18.9x
2 EJAN +0.1% +10.8% -0.7% 16.0x
3 YDEC -1.4% +8.9% -0.6% 14.6x
4 KJAN -2.7% +8.0% -0.6% 13.5x
5 IJAN -2.0% +8.6% -0.6% 13.4x
6 QMAG -3.3% +6.3% -0.5% 12.6x
7 GSEP -4.8% +6.1% -0.5% 12.3x
8 GOCT -4.9% +6.1% -0.5% 12.2x
9 POCT -5.1% +6.0% -0.5% 12.1x
10 KDEC -3.7% +6.3% -0.5% 11.8x

Upcoming Resets

31 within 8 days
AAPR1d
Innv0.00%
AIOO1d
AIM
APOC1d
Innv+3.36%
APRT1d
AIM+2.36%
APRW1d
AIM+0.07%
ARLU1d
AIM
BALT1d
Innv+2.10%
BAPR1d
Innv+2.82%
DDNQ1d
Innv+9.00%
DDSQ1d
Innv+5.19%
EALT1d
Innv+11.35%
EAPR1d
Innv+0.11%
EBUF1d
Innv+2.21%
FLAO1d
AIM+11.13%
IAPR1d
Innv+1.03%
IBUF1d
Innv+2.42%
KAPR1d
Innv+0.19%
NAPR1d
Innv+0.02%
PAPR1d
Innv+0.34%
QBSF1d
AIM+2.33%
QBUF1d
Innv+4.06%
QTAP1d
Innv+0.01%
RBUF1d
Innv+4.01%
SIXO1d
AIM+7.28%
UAPR1d
Innv+0.32%
XBAP1d
Innv0.00%
XDQQ1d
Innv+18.97%
XDSQ1d
Innv+14.69%
XTAP1d
Innv+0.02%
ZALT1d
Innv+3.06%
ZAPR1d
Innv+0.02%
Volume Traded 2026-03-30
#1BALT604.3KINNV · SPY
#2ZALT449.0KINNV · SPY
#3GJAN215.0KFT · SPY
#4BJUL205.5KINNV · SPY
#5FAUG200.9KFT · SPY
#6PAPR176.8KINNV · SPY
#7ZAUG161.1KINNV · SPY
#8GSEP153.5KFT · SPY
#9EAPR103.2KINNV · EEM
#10PJUL92.4KINNV · SPY

Top Cap Yield

Rem. Cap ÷ Days × 365 · Min 30 days Annualized
# Ticker Rem. Cap Days Yield Grade
1 SIXZ +10.04% 31d 118.2% D
2 SIXD +10.67% 62d 62.8% D
3 IMAY +5.17% 31d 60.9% B
4 FHDG +7.45% 46d 59.1% N/A
5 FMAY +7.28% 46d 57.8% B
6 QMMY +6.98% 46d 55.4% A
7 BMAY +4.62% 31d 54.4% B
8 QTJL +13.38% 92d 53.1% N/A
9 MAYT +4.40% 31d 51.8% B
10 QTOC +24.30% 184d 48.2% N/A

Implied Volatility — Reset Cap Outlook

1Y History
VIX 25.34 +31% above avg → Higher SPY reset caps expected VXN 28.83 +26% above avg → Higher QQQ reset caps expected RVX 33.65 +40% above avg → Higher IWM reset caps expected
🎯 Near Original Entry 50
Status Ticker Provider Score* Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Target
Range
BALTSPY20% Buffer Quarterly
Innovator ~2.1% ~13.7% 1 ~766% ~0%
Target
Range
IBUFEFA10% Buffer Quarterly
Innovator 0.0 ~2.4% ~8.1% 1 ~-0.1% ~883% ~0%
Target
Range
QBUFQQQ10% Buffer Quarterly
Innovator ~4.1% ~1.2% 1 ~1482% >95%
Target
Range
RBUFIWM10% Buffer Quarterly
Innovator 0.0 ~4.0% ~7.5% 1 ~-0.0% ~1464% ~0%
Target
Range
SIXOSPY10% Buffer 6-Month
AllianzIM 0.0 ~7.3% ~5.2% 1 ~2657% >95%
Target
Range
ZALTSPY10% Buffer Quarterly
Innovator ~3.1% ~2.9% 1 ~1117% ~0%
Target
Range
SQMXSPY50% Buffer Quarterly
First Trust -0.3 ~3.2% ~15.3% 80 ~14.6% ~30%
Target
Range
XSEPSPY15% Buffer Annual
First Trust 1.5 ~9.4% ~10.5% 172 ~-0.2% ~20.1% ~15%
Target
Range
OCTWSPY20% Buffer Annual
AllianzIM 2.1 ~10.5% ~15.8% 184 ~20.9% ~14%
Target
Range
XOCTSPY15% Buffer Annual
First Trust 1.8 ~10.3% ~10.6% 200 ~-0.1% ~18.8% ~16%
Target
Range
GNOVSPY15% Buffer Annual
First Trust 4.2 ~13.6% ~11.6% 235 ~21.1% ~14%
Target
Range
XNOVSPY15% Buffer Annual
First Trust 2.5 ~10.7% ~11.0% 235 ~-0.4% ~16.6% ~18%
Target
Range
KDECIWM15% Buffer Annual
Innovator 7.0 ~17.8% ~11.4% 245 ~-0.3% ~26.5% ~9%
Target
Range
DECMSPY50% Buffer Annual
First Trust ~7.1% ~46.9% 263 ~9.9% ~21%
Target
Range
RSDERSP10% Buffer Annual
First Trust 5.7 ~15.1% ~7.9% 263 ~21.0% ~15%
Target
Range
YDECEFA15% Buffer Annual
First Trust 6.7 ~13.4% ~13.9% 263 ~18.5% ~20%
Target
Range
GMARSPY15% Buffer Annual
First Trust 6.3 ~14.6% ~13.2% 354 ~15.1% ~20%
Target
Range
RSMRRSP10% Buffer Annual
First Trust 8.0 ~17.5% ~8.5% 354 ~-0.4% ~18.0% ~17%
Target
Range
XMARSPY15% Buffer Annual
First Trust 4.8 ~12.5% ~13.0% 354 ~12.9% ~23%
Extended
Range
AIOOSPY100% Protection
AllianzIM ~0.0% ~100.0% 1 ~-0.2% ~25% Partic. ~0%
Extended
Range
FAUGSPY10% Buffer Annual
First Trust 4.4 ~13.2% ~7.3% 144 ~-1.1% ~33.5% ~10%
Extended
Range
GAUGSPY15% Buffer Annual
First Trust 3.9 ~10.3% ~11.9% 144 ~-1.5% ~26.0% ~15%
Extended
Range
QMAGQQQ15% Buffer Annual
First Trust 4.6 ~13.0% ~11.2% 144 ~-0.9% ~32.9% ~9%
Extended
Range
BSEPSPY9% Buffer Annual
Innovator 4.7 ~14.7% ~6.5% 154 ~-0.7% ~34.9% ~9%
Extended
Range
NSEPQQQ15% Buffer Annual
Innovator 5.5 ~12.5% ~11.8% 154 ~-1.4% ~29.6% ~11%
Extended
Range
PSEPSPY15% Buffer Annual
Innovator 3.9 ~10.3% ~11.9% 154 ~-1.3% ~24.5% ~15%
Extended
Range
SEPTSPY10% Buffer Annual
AllianzIM 4.6 ~13.9% ~7.4% 154 ~-0.8% ~33.0% ~10%
Extended
Range
SEPWSPY20% Buffer Annual
AllianzIM 3.4 ~8.6% ~16.7% 154 ~-1.6% ~20.3% ~18%
Extended
Range
GSEPSPY15% Buffer Annual
First Trust 2.9 ~12.1% ~11.2% 172 ~25.7% ~12%
Extended
Range
RSSERSP10% Buffer Annual
First Trust 5.2 ~12.7% ~7.7% 172 ~-1.8% ~26.9% ~14%
Extended
Range
SEPMSPY50% Buffer Annual
First Trust -0.9 ~5.9% ~43.7% 172 ~-1.0% ~12.6% ~21%
Extended
Range
POCTSPY15% Buffer Annual
Innovator 3.0 ~12.8% ~11.2% 184 ~25.4% ~12%
Extended
Range
GOCTSPY15% Buffer Annual
First Trust 3.2 ~12.9% ~11.3% 200 ~23.6% ~13%
Extended
Range
OCTMSPY50% Buffer Annual
First Trust -1.1 ~6.2% ~40.0% 200 ~-0.8% ~11.2% ~22%
Extended
Range
QCOCQQQ10% Buffer Annual
First Trust 2.4 ~13.6% ~14.4% 200 ~24.9% ~9%
Extended
Range
KNOVIWM15% Buffer Annual
Innovator 7.0 ~17.0% ~11.4% 215 ~-1.2% ~28.8% ~9%
Extended
Range
FNOVSPY10% Buffer Annual
First Trust 5.2 ~17.8% ~7.0% 235 ~27.6% ~10%
Extended
Range
NOVMSPY50% Buffer Annual
First Trust -1.4 ~5.9% ~55.1% 235 ~-1.1% ~9.2% ~25%
Extended
Range
QMNVQQQ15% Buffer Annual
First Trust 5.8 ~17.3% ~10.9% 235 ~26.9% ~9%
Extended
Range
IDECEFA15% Buffer Annual
Innovator 7.6 ~16.3% ~12.8% 245 ~-1.1% ~24.3% ~13%
Extended
Range
TDECEEM10% Buffer Annual
First Trust 10.0 ~19.3% ~11.1% 263 ~-0.6% ~26.8% ~15%
Extended
Range
EJANEEM15% Buffer Annual
Innovator 10.0 ~15.2% ~15.6% 276 ~20.1% ~21%
Extended
Range
IJANEFA15% Buffer Annual
Innovator 6.7 ~14.4% ~13.7% 276 ~19.1% ~18%
Extended
Range
KJANIWM15% Buffer Annual
Innovator 8.8 ~18.1% ~13.2% 276 ~23.9% ~12%
Extended
Range
JANMSPY50% Buffer Annual
First Trust ~7.7% ~41.3% 291 ~9.7% ~19%
Extended
Range
FEBMSPY50% Buffer Annual
First Trust ~7.8% ~43.2% 326 ~8.8% ~21%
Extended
Range
FMARSPY10% Buffer Annual
First Trust 7.5 ~18.2% ~8.4% 354 ~18.7% ~16%
Extended
Range
MARMSPY50% Buffer Annual
First Trust -1.1 ~6.2% ~76.5% 354 ~-0.8% ~6.4% ~32%
Extended
Range
TMAREEM10% Buffer Annual
First Trust 10.0 ~30.4% ~9.0% 354 ~31.3% ~5%
Extended
Range
YMAREFA15% Buffer Annual
First Trust 8.9 ~14.9% ~14.6% 354 ~-0.9% ~15.4% ~22%
Sort by:
BALT 20% Buffer
Quarterly
Target
Range
IBUF 10% Buffer
Quarterly
Target
Range
0.0
QBUF 10% Buffer
Quarterly
Target
Range
RBUF 10% Buffer
Quarterly
Target
Range
0.0
SIXO 10% Buffer
6-Month
Target
Range
0.0
ZALT 10% Buffer
Quarterly
Target
Range
SQMX 50% Buffer
Quarterly
Target
Range
-0.3
XSEP 15% Buffer
Annual
Target
Range
1.5
OCTW 20% Buffer
Annual
Target
Range
2.1
XOCT 15% Buffer
Annual
Target
Range
1.8
GNOV 15% Buffer
Annual
Target
Range
4.2
XNOV 15% Buffer
Annual
Target
Range
2.5
KDEC 15% Buffer
Annual
Target
Range
7.0
DECM 50% Buffer
Annual
Target
Range
RSDE 10% Buffer
Annual
Target
Range
5.7
YDEC 15% Buffer
Annual
Target
Range
6.7
GMAR 15% Buffer
Annual
Target
Range
6.3
RSMR 10% Buffer
Annual
Target
Range
8.0
XMAR 15% Buffer
Annual
Target
Range
4.8
AIOO 100%
Protection
Extended
Range
FAUG 10% Buffer
Annual
Extended
Range
4.4
GAUG 15% Buffer
Annual
Extended
Range
3.9
QMAG 15% Buffer
Annual
Extended
Range
4.6
BSEP 9% Buffer
Annual
Extended
Range
4.7
NSEP 15% Buffer
Annual
Extended
Range
5.5
PSEP 15% Buffer
Annual
Extended
Range
3.9
SEPT 10% Buffer
Annual
Extended
Range
4.6
SEPW 20% Buffer
Annual
Extended
Range
3.4
GSEP 15% Buffer
Annual
Extended
Range
2.9
RSSE 10% Buffer
Annual
Extended
Range
5.2
SEPM 50% Buffer
Annual
Extended
Range
-0.9
POCT 15% Buffer
Annual
Extended
Range
3.0
GOCT 15% Buffer
Annual
Extended
Range
3.2
OCTM 50% Buffer
Annual
Extended
Range
-1.1
QCOC 10% Buffer
Annual
Extended
Range
2.4
KNOV 15% Buffer
Annual
Extended
Range
7.0
FNOV 10% Buffer
Annual
Extended
Range
5.2
NOVM 50% Buffer
Annual
Extended
Range
-1.4
QMNV 15% Buffer
Annual
Extended
Range
5.8
IDEC 15% Buffer
Annual
Extended
Range
7.6
TDEC 10% Buffer
Annual
Extended
Range
10.0
EJAN 15% Buffer
Annual
Extended
Range
10.0
IJAN 15% Buffer
Annual
Extended
Range
6.7
KJAN 15% Buffer
Annual
Extended
Range
8.8
JANM 50% Buffer
Annual
Extended
Range
FEBM 50% Buffer
Annual
Extended
Range
FMAR 10% Buffer
Annual
Extended
Range
7.5
MARM 50% Buffer
Annual
Extended
Range
-1.1
TMAR 10% Buffer
Annual
Extended
Range
10.0
YMAR 15% Buffer
Annual
Extended
Range
8.9
💎 Ultra Buffer Sweet Spot — 30% Protection Zone 3
Status Ticker Provider Score* Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Target
Range
EALTSPY5-15% Buffer Quarterly
Innovator 0.0 ~11.3% ~8.3% 1 ~4143% >95%
Target
Range
FLAOSPY5% Floor 6-Month
AllianzIM 0.0 ~11.1% ~5.0% 1 ~-5.0% ~4062% ~0%
Target
Range
DHDGSPY12% Buffer Quarterly
First Trust ~7.2% ~7.5% 18 ~146% ~1%
Sort by:
EALT 5-15% Buffer
Quarterly
Target
Range
0.0
FLAO 5% Floor
6-Month
Target
Range
0.0
DHDG 12% Buffer
Quarterly
Target
Range
⚡ Uncapped Buffer — Near Threshold Entry 2
Status Ticker Provider Score* Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Target
Range
SEPUSPY15% Uncapped Buffer
AllianzIM -0.7 ~0.0% ~13.1% 154 ~3.5% Spread ~45%
Extended
Range
AUGUSPY15% Uncapped Buffer
AllianzIM 0.1 ~0.0% ~13.6% 123 ~3.3% Spread ~47%
Sort by:
SEPU 15%
Uncapped Buffer
Target
Range
-0.7
AUGU 15%
Uncapped Buffer
Extended
Range
0.1
🛡 100% Principal Protection 7
Status Ticker Provider Score* Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Target
Range
APOCSPY100% Protection
Innovator ~3.4% ~100.0% 1 ~1226% ~0%
Target
Range
JAJLSPY100% Protection
Innovator ~3.4% ~100.1% 92 ~13.5% ~14%
Target
Range
ZOCTSPY100% Protection
Innovator ~5.5% ~99.0% 184 ~-1.0% ~10.9% ~21%
Target
Range
ZNOVSPY100% Protection
Innovator ~6.4% ~99.6% 215 ~-0.4% ~10.9% ~18%
Target
Range
ZDEKSPY100% Protection
Innovator ~6.5% ~99.6% 245 ~-0.4% ~9.7% ~19%
Target
Range
ZJANSPY100% Protection
Innovator ~6.5% ~99.9% 276 ~-0.1% ~8.5% ~22%
Target
Range
TOCTSPY100% Protection
Innovator -0.7 ~11.6% ~98.8% 549 ~-1.2% ~7.7% ~24%
Sort by:
APOC 100%
Protection
Target
Range
JAJL 100%
Protection
Target
Range
ZOCT 100%
Protection
Target
Range
ZNOV 100%
Protection
Target
Range
ZDEK 100%
Protection
Target
Range
ZJAN 100%
Protection
Target
Range
TOCT 100%
Protection
Target
Range
-0.7
↔ Dual Direction — Symmetric Participation Analysis 7
Status Ticker Provider Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Target
Range
DLAGSPYDual Direction 10% Annual
First Trust ~10.7% ~5.5% 144 ~-0.0% ~27.2% ~21%
Target
Range
DDFNSPYDual Direction 15% Annual
Innovator ~10.3% ~8.5% 215 ~17.5% ~27%
Target
Range
DLNVSPYDual Direction 10% Annual
First Trust ~14.2% ~6.3% 235 ~22.1% ~21%
Extended
Range
DDTSSPYDual Direction 10% Annual
Innovator ~11.0% ~6.6% 154 ~-1.6% ~26.1% ~22%
Extended
Range
DDFOSPYDual Direction 15% Annual
Innovator ~8.0% ~9.4% 184 ~-1.0% ~15.9% ~30%
Extended
Range
DDTOSPYDual Direction 10% Annual
Innovator ~13.5% ~5.8% 184 ~26.7% ~19%
Extended
Range
DDFDSPYDual Direction 15% Annual
Innovator ~10.6% ~8.9% 245 ~15.7% ~28%
Sort by:
DLAG Dual
Direction 10% Annual
Target
Range
DDFN Dual
Direction 15% Annual
Target
Range
DLNV Dual
Direction 10% Annual
Target
Range
DDTS Dual
Direction 10% Annual
Extended
Range
DDFO Dual
Direction 15% Annual
Extended
Range
DDTO Dual
Direction 10% Annual
Extended
Range
DDFD Dual
Direction 15% Annual
Extended
Range
🚀 Acceleration Thresholds 3
Trigger Proximity 1
Identifies funds within 1% of the mathematical participation trigger for accelerated upside.
Status Ticker Provider Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Accel Zone
XTAPSPY2x Accelerated
Innovator ~0.0% ~0.0% 1 ~7.3% ~90%
Sort by:
XTAP 2x
Accelerated
Accel Zone
Max Cap Proximity 2
Identifies funds currently priced near their maximum stated potential return for the outcome period. Additional upside is mathematically limited.
Status Ticker Provider Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Near Cap
QTAPQQQ3x Accelerated
Innovator ~0.0% ~0.0% 1 ~3.7% ~90%
Near Cap
XBAPSPY2x Accelerated
Innovator ~0.0% ~9.0% 1 ~0.0% ~90%
Sort by:
QTAP 3x
Accelerated
Near Cap
XBAP 2x
Accelerated
Near Cap
▲ Near Cap — At or Near Maximum Period Return 13
Status Ticker Provider Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Near Cap
AAPRSPY100% Protection
Innovator ~0.0% ~84.3% 1 ~-15.7% Uncapped >95%
Near Cap
APRWSPY20% Buffer Annual
AllianzIM ~0.1% ~19.3% 1 ~-9.9% ~25.6% >95%
Near Cap
EAPREEM15% Buffer Annual
Innovator ~0.1% ~19.2% 1 ~-12.9% ~40.2% >95%
Near Cap
IAPREFA15% Buffer Annual
Innovator ~1.0% ~13.2% 1 ~-13.0% ~376% >95%
Near Cap
KAPRIWM15% Buffer Annual
Innovator ~0.2% ~14.0% 1 ~-15.2% ~69.3% >95%
Near Cap
NAPRQQQ15% Buffer Annual
Innovator ~0.0% ~15.1% 1 ~-13.5% ~7.3% >95%
Near Cap
PAPRSPY15% Buffer Annual
Innovator ~0.3% ~13.9% 1 ~-10.9% ~124% >95%
Near Cap
UAPRSPY30% Ultra Buffer
Innovator ~0.3% ~27.2% 1 ~-15.3% ~117% >95%
Near Cap
ZAPRSPY100% Protection
Innovator ~0.0% ~92.9% 1 ~-7.1% ~7.3% >95%
Near Cap
APXMSPY100% Buffer Annual
First Trust ~0.1% ~93.3% 18 ~-6.7% ~3.0% >95%
Near Cap
DAPRSPY25% Buffer Annual
First Trust ~0.9% ~25.5% 18 ~-16.2% ~19.3% >95%
Near Cap
GAPRSPY15% Buffer Annual
First Trust ~1.1% ~17.1% 18 ~-12.1% ~22.3% >95%
Near Cap
QCAPQQQ10% Buffer Annual
First Trust ~0.8% ~23.9% 18 ~-12.4% ~15.8% >95%
Sort by:
AAPR 100%
Protection
Near Cap
APRW 20% Buffer
Annual
Near Cap
EAPR 15% Buffer
Annual
Near Cap
IAPR 15% Buffer
Annual
Near Cap
KAPR 15% Buffer
Annual
Near Cap
NAPR 15% Buffer
Annual
Near Cap
PAPR 15% Buffer
Annual
Near Cap
UAPR 30% Ultra
Buffer
Near Cap
ZAPR 100%
Protection
Near Cap
APXM 100% Buffer
Annual
Near Cap
DAPR 25% Buffer
Annual
Near Cap
GAPR 15% Buffer
Annual
Near Cap
QCAP 10% Buffer
Annual
Near Cap
↔⚠ Dual Direction Warnings 1
Status Ticker Provider Rem.
Cap
Rem.
Buf
Days DBB Cap
Yld
Prob. View
Near Cap
DDNQQQQDual Direction 5% Quarterly
Innovator ~9.0% ~5.0% 1 ~3285% ~0%
Sort by:
DDNQ Dual
Direction 5% Quarterly
Near Cap

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.

The Opportunity Score* and 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.

* The Opportunity Score is a proprietary mathematical model provided for informational comparison purposes only. It is not an indicator of future performance, and different models may produce significantly different results.

Modeled Outcome Profile at Expiration
Target Range
Extended Range
Loss Zone
Before Fees
After Fees
Max Gain
~0%
% Cap Used
~0%
% Buffer Used
How to Use This Report
Start With the Score Filter
The Opportunity Score key at the top controls which ETFs are visible. A higher minimum (like ≥7) surfaces the most mathematically favorable profiles based on modeled outcomes at expiration. Tap "Show All" to clear the filter and see everything. The score is a composite of three components — excess upside vs. T-Bills, cap probability, and buffer quality — and applies only to standard buffered sections. Acceleration, Dual Direction, and Near Cap sections are exempt. All scores are model-based and not predictive of future results.
Intelligence Dashboard
The collapsible dashboard at the top provides a quick snapshot of the most important intelligence. Click the Intelligence Dashboard bar to expand or collapse it.

Asymmetry Ratio — A proprietary indicator that 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.

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.

Top Cap Yield — The 10 ETFs with the highest annualized remaining cap. Cap Yield normalizes different time horizons so you can compare a fund with 60 days left to one with 300 days left on equal footing. Grade reflects overall attractiveness.

Implied Volatility Chart — A 1-year history of VIX (S&P 500), VXN (Nasdaq), and RVX (Russell 2000) implied volatility. Higher IV means higher reset caps ahead — useful context for timing new positions.
Expand Sections That Interest You
Each section is collapsed by default. Click the section header to expand it and see the ETFs inside. Near Cap sections start open since they are time-sensitive alerts.
Sort to Find What Matters
Click any column header on desktop to sort that section. On mobile, use the sort bar below each table. Try sorting by Cap Yield to find the best annualized return potential, or by Days to see what resets soonest.
Use Filters to Narrow Down
The provider, period, and status chips at the top let you isolate specific fund families, time horizons, or signal types. The ticker search box lets you jump straight to a specific ETF.

View Details & Payoff Curves
Click "View" on any ETF to open a side panel with the full payoff curve, key metrics, and position visualization. This shows you exactly where the ETF sits within its outcome period.
Toggle Data Lite Mode
The Data Heavy / Data Lite toggle at the top right simplifies the view by hiding less critical columns. Useful for a quick scan on mobile.

Section Guide
Near Original Entry — Best entry points: ETFs trading closest to their starting price with maximum cap and buffer intact.

Acceleration Zone — Leveraged ETFs (2x/3x) with multiplied upside. Position relative to the trigger threshold is key.

Approaching Cap — ETFs nearing their maximum return. Upside is limited; useful for deciding whether to hold or roll.

Dual Direction — ETFs that participate in both up and down index moves. Score does not apply; symmetry analysis matters instead.

Tap the button again to close
Glossary of Terms
Remaining Cap (Rem. Cap)
The maximum upside return still available before the fund hits its ceiling for the period. Higher = more room to grow.
Remaining Buffer (Rem. Buf)
~15% current level of downside protection by the end of the outcome period.
Days
Calendar days left until the outcome period resets. At reset, the fund starts a new cap and buffer cycle.
DBB (Downside Before Buffer)
The amount of fund loss before the buffer starts.
Cap Yield (Cap Yld)
The remaining cap expressed as an annualized return. Lets you compare ETFs with different time horizons on equal footing.
Probability (Prob.)
Model-estimated likelihood that the index will reach the cap level by expiration. Based on current implied volatility and time remaining.
Opportunity Score
A 0–10 composite derived from three modeled components: (1) Excess Upside vs. T-Bills, (2) Probability of reaching cap at expiration, and (3) Buffer quality. All observations are based on modeled outcomes at expiration and are not predictive of future results. Does not apply to Acceleration, Dual Direction, or Near Cap sections.
Target Range
The fund is trading closest to its starting price minus the fund fee — the ideal entry zone where you get the most cap and the most buffer.
Extended Range
Still near the starting price but slightly outside the tightest zone. Cap and buffer are still largely intact.
Near Cap
The fund is at or near its maximum return for the period. Little upside remains, but downside risk is still present.
Acceleration Zone
Leveraged ETFs (2x or 3x) that multiply index gains above a threshold. Position matters — being near the start or threshold changes the risk/reward.
% Cap Used / % Buffer Used
How much of the original cap or buffer has already been consumed by index movement since the period started.