share_log

PDD Holdings's Options Frenzy: What You Need to Know

PDD Holdings's Options Frenzy: What You Need to Know

pdd holdings的期權狂熱:你需要知道的
Benzinga ·  02:00

Whales with a lot of money to spend have taken a noticeably bullish stance on PDD Holdings.

有大量資金的鯨魚對pdd holdings採取了明顯看好的立場。

Looking at options history for PDD Holdings (NASDAQ:PDD) we detected 104 trades.

查看pdd holdings(納斯達克:PDD)的期權歷史,我們檢測到104筆交易。

If we consider the specifics of each trade, it is accurate to state that 49% of the investors opened trades with bullish expectations and 39% with bearish.

如果我們考慮每筆交易的具體情況,可以準確地說,49%的投資者持有看好期望,39%持有看淡。

From the overall spotted trades, 21 are puts, for a total amount of $2,224,901 and 83, calls, for a total amount of $9,801,050.

從所有識別到的交易中,有21筆看跌期權,總金額爲$2,224,901,83筆看漲期權,總額爲$9,801,050。

Expected Price Movements

預期價格波動

Based on the trading activity, it appears that the significant investors are aiming for a price territory stretching from $100.0 to $230.0 for PDD Holdings over the recent three months.

根據交易活動,顯示重要投資者的目標價格區間爲$100.0至$230.0,涉及pdd holdings在最近三個月的交易。

Volume & Open Interest Development

成交量和持倉量的評估是期權交易中的一個關鍵步驟。這些指標揭示了阿里巴巴集團(Alibaba Gr Hldgs)特定執行價格期權的流動性和投資者興趣。下面的數據可視化了在過去30天內,阿里巴巴集團(Alibaba Gr Hldgs)在執行價格在74.0美元到120.0美元區間內的看漲看跌期權中,成交量和持倉量的波動情況。

Assessing the volume and open interest is a strategic step in options trading. These metrics shed light on the liquidity and investor interest in PDD Holdings's options at specified strike prices. The forthcoming data visualizes the fluctuation in volume and open interest for both calls and puts, linked to PDD Holdings's substantial trades, within a strike price spectrum from $100.0 to $230.0 over the preceding 30 days.

評估成交量和未平倉合約是期權交易中的戰略步驟。這些指標揭示了pdd holdings在特定行權價的期權上的流動性和投資者興趣。接下來的數據展示了在前30天內,涉及pdd holdings大宗交易的看漲期權和看跌期權的成交量和未平倉合約的波動,行權價格範圍從$100.0至$230.0。

PDD Holdings Option Activity Analysis: Last 30 Days

pdd holdings 期權活動分析:過去30天

1728064836_0.png

Biggest Options Spotted:

最大的期權交易:

Symbol PUT/CALL Trade Type Sentiment Exp. Date Ask Bid Price Strike Price Total Trade Price Open Interest Volume
PDD CALL TRADE NEUTRAL 11/01/24 $9.35 $8.8 $9.1 $155.00 $910.0K 696 2.0K
PDD CALL SWEEP BULLISH 11/15/24 $7.5 $7.4 $7.5 $165.00 $675.0K 6.8K 14.8K
PDD CALL SWEEP NEUTRAL 01/16/26 $22.0 $21.9 $21.92 $200.00 $320.2K 2.1K 1.5K
PDD CALL TRADE NEUTRAL 12/20/24 $29.8 $29.6 $29.7 $130.00 $297.0K 4.8K 206
PDD CALL TRADE BULLISH 12/20/24 $54.7 $54.35 $54.7 $100.00 $273.5K 3.0K 174
標的 看跌/看漲 交易類型 情緒 到期日 賣盤 買盤 價格 執行價格 總交易價格 未平倉合約數量 成交量
PDD 看漲 交易 中立 11/01/24 $9.35 $ 8.8 $9.1 $155.00 910.0千美元 696 2.0K
PDD 看漲 SWEEP 看好 11/15/24 $7.5 $7.4 $7.5 165.00美元 $675.0K 6.8K 14.8千
PDD 看漲 SWEEP 中立 01/16/26 $22.0 $21.9 $21.92 $320.2K 2.1K 1.5K
PDD 看漲 交易 中立 12/20/24 $29.8 $29.6 $29.7 $130.00 $297.0K 4.8千 206
PDD 看漲 交易 看好 12/20/24 54.7 $54.35 54.7 $100.00。 $273.5K 3.0K 174

About PDD Holdings

關於pdd holdings

PDD Holdings is a multinational commerce group that owns and operates a portfolio of businesses. PDD aims to bring more businesses and people into the digital economy so that local communities and small businesses can benefit from the increased productivity and new opportunities. PDD has built a network of sourcing, logistics, and fulfillment capabilities that support its underlying businesses.

PDD Holdings是一家跨國商業集團,擁有和經營一系列業務。PDD的目標是將更多的企業和人們引入數字經濟,從而使當地社區和小企業能從增加的生產率和新的機會中受益。PDD建立了一個支持其基礎業務的採購、物流和履行能力網絡。

Where Is PDD Holdings Standing Right Now?

PDD Holdings現在處於什麼狀態?

  • With a volume of 16,894,034, the price of PDD is down -0.16% at $152.38.
  • RSI indicators hint that the underlying stock may be overbought.
  • Next earnings are expected to be released in 53 days.
  • PDD的成交量爲16,894,034,報價爲152.38美元,下跌-0.16%。
  • RSI因子暗示底層股票可能被超買。
  • 下一個收益預計在53天后發佈。

Unusual Options Activity Detected: Smart Money on the Move

檢測到期權異動:智慧資金在行動。

Benzinga Edge's Unusual Options board spots potential market movers before they happen. See what positions big money is taking on your favorite stocks. Click here for access.

Benzinga Edge的期權異動模塊可以提前發現潛在的市場熱點。了解大筆的資金在您喜歡的股票上的倉位變動。點擊這裏獲取訪問權限。

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.

期權與僅交易股票相比是一種更具風險的資產,但它們具有更高的利潤潛力。認真的期權交易者通過每日學習,進出交易,跟隨多個指標並密切關注市場來管理這種風險。

譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
    搶先評論