Whales with a lot of money to spend have taken a noticeably bullish stance on Wells Fargo.
Looking at options history for Wells Fargo (NYSE:WFC) we detected 17 trades.
If we consider the specifics of each trade, it is accurate to state that 47% of the investors opened trades with bullish expectations and 47% with bearish.
From the overall spotted trades, 3 are puts, for a total amount of $311,740 and 14, calls, for a total amount of $694,617.
Projected Price Targets
Analyzing the Volume and Open Interest in these contracts, it seems that the big players have been eyeing a price window from $45.0 to $67.5 for Wells Fargo during the past quarter.
Volume & Open Interest Trends
Looking at the volume and open interest is a powerful move while trading options. This data can help you track the liquidity and interest for Wells Fargo's options for a given strike price. Below, we can observe the evolution of the volume and open interest of calls and puts, respectively, for all of Wells Fargo's whale trades within a strike price range from $45.0 to $67.5 in the last 30 days.
Wells Fargo Call and Put Volume: 30-Day Overview
Noteworthy Options Activity:
Symbol | PUT/CALL | Trade Type | Sentiment | Exp. Date | Ask | Bid | Price | Strike Price | Total Trade Price | Open Interest | Volume |
---|
WFC | PUT | TRADE | BEARISH | 01/17/25 | $3.5 | $3.45 | $3.5 | $57.50 | $175.0K | 4.9K | 0 |
WFC | PUT | SWEEP | BULLISH | 06/20/25 | $3.6 | $3.6 | $3.6 | $55.00 | $102.2K | 1.8K | 0 |
WFC | CALL | TRADE | BEARISH | 01/17/25 | $15.0 | $14.95 | $14.95 | $45.00 | $74.7K | 17.0K | 0 |
WFC | CALL | SWEEP | BULLISH | 01/17/25 | $9.0 | $8.9 | $9.0 | $52.50 | $73.8K | 13.3K | 2 |
WFC | CALL | SWEEP | BULLISH | 10/18/24 | $4.05 | $4.05 | $4.05 | $57.50 | $67.0K | 1.1K | 71 |
About Wells Fargo
Wells Fargo is one of the largest banks in the United States, with approximately $1.9 trillion in balance sheet assets. The company has four primary segments: consumer banking, commercial banking, corporate and investment banking, and wealth and investment management. It is almost entirely focused on the U.S.
Present Market Standing of Wells Fargo
Trading volume stands at 4,671,708, with WFC's price down by -0.54%, positioned at $58.69.
RSI indicators show the stock to be is currently neutral between overbought and oversold.
Earnings announcement expected in 17 days.
Professional Analyst Ratings for Wells Fargo
1 market experts have recently issued ratings for this stock, with a consensus target price of $70.0.
Options are a riskier asset compared to just trading the stock, but they have higher profit potential. Serious options traders manage this risk by educating themselves daily, scaling in and out of trades, following more than one indicator, and following the markets closely.
有大量資金可以花的大戶對富國銀行採取了明顯的看漲立場。
查看富國銀行(紐約證券交易所代碼:WFC)的期權歷史記錄,我們發現了17筆交易。
如果我們考慮每筆交易的具體情況,可以準確地說,47%的投資者以看漲的預期開啓交易,47%的投資者持看跌預期。
在已發現的全部交易中,有3筆是看跌期權,總額爲311,740美元,14筆是看漲期權,總額爲694,617美元。
預計價格目標
分析這些合約的交易量和未平倉合約,看來大型企業一直在關注富國銀行在過去一個季度的價格範圍從45.0美元到67.5美元不等。
交易量和未平倉合約趨勢
交易期權時,查看交易量和未平倉合約是一個強有力的舉動。這些數據可以幫助您跟蹤富國銀行期權在給定行使價下的流動性和利息。下面,我們可以分別觀察富國銀行所有鯨魚交易的看漲期權和未平倉合約在過去30天內在45.0美元至67.5美元之間的行使價區間內的變化。
富國銀行看漲期權和看跌期權交易量:30天概述
值得注意的期權活動:
Symbol | PUT/CALL | Trade Type | Sentiment | Exp. Date | Ask | Bid | Price | Strike Price | Total Trade Price | Open Interest | Volume |
---|
WFC | PUT | TRADE | BEARISH | 01/17/25 | $3.5 | $3.45 | $3.5 | $57.50 | $175.0K | 4.9K | 0 |
WFC | PUT | SWEEP | BULLISH | 06/20/25 | $3.6 | $3.6 | $3.6 | $55.00 | $102.2K | 1.8K | 0 |
WFC | CALL | TRADE | BEARISH | 01/17/25 | $15.0 | $14.95 | $14.95 | $45.00 | $74.7K | 17.0K | 0 |
WFC | CALL | SWEEP | BULLISH | 01/17/25 | $9.0 | $8.9 | $9.0 | $52.50 | $73.8K | 13.3K | 2 |
WFC | CALL | SWEEP | BULLISH | 10/18/24 | $4.05 | $4.05 | $4.05 | $57.50 | $67.0K | 1.1K | 71 |
關於富國銀行
富國銀行是美國最大的銀行之一,擁有約1.9萬億美元的資產負債表資產。該公司有四個主要部門:個人銀行、商業銀行、企業和投資銀行以及財富和投資管理。它幾乎完全集中在美國
富國銀行目前的市場狀況
交易量爲4,671,708美元,WFC的價格下跌了-0.54%,爲58.69美元。
RSI指標顯示,該股目前在超買和超賣之間處於中立狀態。
預計將在17天后公佈業績。
富國銀行的專業分析師評級
1位市場專家最近發佈了該股的評級,共識目標價爲70.0美元。
與僅交易股票相比,期權是一種風險更高的資產,但它們具有更高的獲利潛力。嚴肅的期權交易者通過每天自我教育、擴大交易規模、關注多個指標以及密切關注市場來管理這種風險。