Financial giants have made a conspicuous bullish move on Goldman Sachs Gr. Our analysis of options history for Goldman Sachs Gr (NYSE:GS) revealed 13 unusual trades.
Delving into the details, we found 69% of traders were bullish, while 23% showed bearish tendencies. Out of all the trades we spotted, 6 were puts, with a value of $219,664, and 7 were calls, valued at $304,889.
Projected Price Targets
After evaluating the trading volumes and Open Interest, it's evident that the major market movers are focusing on a price band between $460.0 and $550.0 for Goldman Sachs Gr, spanning the last three months.
Volume & Open Interest Development
Assessing the volume and open interest is a strategic step in options trading. These metrics shed light on the liquidity and investor interest in Goldman Sachs Gr's options at specified strike prices. The forthcoming data visualizes the fluctuation in volume and open interest for both calls and puts, linked to Goldman Sachs Gr's substantial trades, within a strike price spectrum from $460.0 to $550.0 over the preceding 30 days.
Goldman Sachs Gr Option Activity Analysis: Last 30 Days
Biggest Options Spotted:
Symbol | PUT/CALL | Trade Type | Sentiment | Exp. Date | Ask | Bid | Price | Strike Price | Total Trade Price | Open Interest | Volume |
---|
GS | CALL | SWEEP | BEARISH | 10/11/24 | $3.6 | $3.55 | $3.55 | $497.50 | $77.0K | 129 | 172 |
GS | CALL | TRADE | BULLISH | 10/18/24 | $10.7 | $10.5 | $10.7 | $500.00 | $54.5K | 2.7K | 78 |
GS | PUT | SWEEP | BEARISH | 04/17/25 | $21.15 | $20.35 | $20.6 | $460.00 | $47.3K | 12 | 0 |
GS | CALL | SWEEP | BULLISH | 10/18/24 | $0.62 | $0.61 | $0.61 | $550.00 | $41.9K | 4.0K | 696 |
GS | PUT | SWEEP | BULLISH | 10/11/24 | $8.45 | $7.75 | $7.91 | $497.50 | $40.0K | 403 | 53 |
About Goldman Sachs Gr
Goldman Sachs is a leading global investment banking and asset management firm. Approximately 20% of its revenue comes from investment banking, 45% from trading, 20% from asset management and 15% from wealth management and retail financial services. Around 60% of the company's net revenue is generated in the Americas, 15% in Asia, and 25% in Europe, the Middle East, and Africa.
Where Is Goldman Sachs Gr Standing Right Now?
- With a trading volume of 146,068, the price of GS is up by 0.69%, reaching $498.59.
- Current RSI values indicate that the stock is may be approaching overbought.
- Next earnings report is scheduled for 8 days from now.
What Analysts Are Saying About Goldman Sachs Gr
Over the past month, 2 industry analysts have shared their insights on this stock, proposing an average target price of $524.5.
Unusual Options Activity Detected: Smart Money on the Move
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.* An analyst from Oppenheimer persists with their Outperform rating on Goldman Sachs Gr, maintaining a target price of $577. * Maintaining their stance, an analyst from JP Morgan continues to hold a Overweight rating for Goldman Sachs Gr, targeting a price of $472.
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.
金融巨頭對高盛集團採取了明顯的看漲舉動。我們對高盛集團(紐約證券交易所代碼:GS)期權歷史的分析顯示了13筆不尋常的交易。
深入研究細節,我們發現69%的交易者看漲,而23%的交易者表現出看跌趨勢。在我們發現的所有交易中,有6筆是看跌期權,價值219,664美元,7筆是看漲期權,價值304,889美元。
預計價格目標
在評估了交易量和未平倉合約之後,很明顯,主要市場走勢者將注意力集中在高盛集團過去三個月的460.0美元至550.0美元之間的價格區間上。
交易量和未平倉合約的發展
評估交易量和未平倉合約是期權交易的戰略步驟。這些指標揭示了高盛集團按指定行使價計算的期權的流動性和投資者對該期權的興趣。即將發佈的數據可視化了與高盛集團的大量交易相關的看漲期權和看跌期權交易量和未平倉合約的波動,在過去30天內,行使價範圍從460.0美元到550.0美元不等。
高盛集團期權活動分析:過去 30 天
發現的最大選擇:
符號 | 看跌/看漲 | 交易類型 | 情緒 | Exp。日期 | 問 | 出價 | 價格 | 行使價 | 總交易價格 | 未平倉合約 | 音量 |
---|
GS | 打電話 | 掃 | 看跌 | 10/11/24 | 3.6 美元 | 3.55 美元 | 3.55 美元 | 497.50 美元 | 77.0 萬美元 | 129 | 172 |
GS | 打電話 | 貿易 | 看漲 | 10/18/24 | 10.7 美元 | 10.5 美元 | 10.7 美元 | 500.00 美元 | 54.5 萬美元 | 2.7K | 78 |
GS | 放 | 掃 | 看跌 | 04/17/25 | 21.15 美元 | 20.35 美元 | 20.6 美元 | 460.00 美元 | 47.3 萬美元 | 12 | 0 |
GS | 打電話 | 掃 | 看漲 | 10/18/24 | 0.62 美元 | 0.61 美元 | 0.61 美元 | 550.00 美元 | 41.9 萬美元 | 4.0K | 696 |
GS | 放 | 掃 | 看漲 | 10/11/24 | 8.45 美元 | 7.75 美元 | $7.91 | 497.50 美元 | 40.0 萬美元 | 403 | 53 |
關於高盛集團
高盛是一家領先的全球投資銀行和資產管理公司。其收入中約有20%來自投資銀行,45%來自交易,20%來自資產管理,15%來自财富管理和零售金融服務。該公司約60%的淨收入來自美洲,15%來自亞洲,25%來自歐洲、中東和非洲。
高盛集團現在的立場在哪裏?
分析師對高盛集團的看法
在過去的一個月中,兩位行業分析師分享了他們對該股的見解,提出平均目標價爲524.5美元。
檢測到不尋常的期權活動:智能貨幣在移動
Benzinga Edge的不尋常期權委員會在潛在的市場推動者發生之前就發現了它們。看看大筆資金對你最喜歡的股票持有哪些頭寸。點擊此處查看。* 奧本海默的一位分析師堅持對高盛集團的跑贏大盤評級,目標價維持在577美元。* 摩根大通的一位分析師保持其立場,繼續維持高盛集團的增持評級,目標價爲472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。