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Looking At Deere's Recent Unusual Options Activity

Looking At Deere's Recent Unusual Options Activity

看看迪爾最近的不尋常期權活動
Benzinga ·  05/11 03:06

Financial giants have made a conspicuous bullish move on Deere. Our analysis of options history for Deere (NYSE:DE) revealed 8 unusual trades.

金融巨頭對迪爾採取了明顯的看漲舉動。我們對迪爾(紐約證券交易所代碼:DE)期權歷史的分析顯示了8筆不尋常的交易。

Delving into the details, we found 50% of traders were bullish, while 50% showed bearish tendencies. Out of all the trades we spotted, 2 were puts, with a value of $64,300, and 6 were calls, valued at $512,647.

深入研究細節,我們發現50%的交易者看漲,而50%的交易者表現出看跌趨勢。在我們發現的所有交易中,有2筆是看跌期權,價值64,300美元,6筆是看漲期權,價值512,647美元。

Projected Price Targets

預計價格目標

After evaluating the trading volumes and Open Interest, it's evident that the major market movers are focusing on a price band between $382.5 and $430.0 for Deere, spanning the last three months.

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迪爾過去三個月的382.5美元至430.0美元之間的價格區間上。

Volume & Open Interest Development

交易量和未平倉合約的發展

Examining the volume and open interest provides crucial insights into stock research. This information is key in gauging liquidity and interest levels for Deere's options at certain strike prices. Below, we present a snapshot of the trends in volume and open interest for calls and puts across Deere's significant trades, within a strike price range of $382.5 to $430.0, over the past month.

檢查交易量和未平倉合約爲股票研究提供了至關重要的見解。這些信息是衡量迪爾期權在特定行使價下的流動性和利息水平的關鍵。下面,我們簡要介紹了過去一個月迪爾重大交易的看漲期權和未平倉合約的趨勢,行使價區間爲382.5美元至430.0美元。

Deere Option Activity Analysis: Last 30 Days

迪爾期權活動分析:過去 30 天

Options Call Chart

Significant Options Trades Detected:

檢測到的重要期權交易:

Symbol PUT/CALL Trade Type Sentiment Exp. Date Ask Bid Price Strike Price Total Trade Price Open Interest Volume
DE CALL TRADE BULLISH 06/20/25 $52.5 $49.4 $52.5 $410.00 $225.7K 46 44
DE CALL TRADE BEARISH 09/20/24 $26.3 $26.0 $26.0 $410.00 $130.0K 807 3
DE CALL SWEEP BEARISH 05/17/24 $9.2 $8.75 $8.97 $410.00 $54.6K 702 215
DE CALL SWEEP BULLISH 06/21/24 $20.1 $19.8 $20.02 $400.00 $42.0K 1.6K 58
DE PUT TRADE BULLISH 05/17/24 $1.94 $1.71 $1.8 $382.50 $37.8K 60 0
符號 看跌/看漲 交易類型 情緒 Exp。日期 出價 價格 行使價 總交易價格 未平倉合約 音量
DE 打電話 貿易 看漲 06/20/25 52.5 美元 49.4 美元 52.5 美元 410.00 美元 225.7 萬美元 46 44
DE 打電話 貿易 粗魯的 09/20/24 26.3 美元 26.0 美元 26.0 美元 410.00 美元 130.0K 807 3
DE 打電話 粗魯的 05/17/24 9.2 美元 8.75 美元 8.97 美元 410.00 美元 54.6 萬美元 702 215
DE 打電話 看漲 06/21/24 20.1 美元 19.8 美元 20.02 美元 400.00 美元 42.0 萬美元 1.6K 58
DE 貿易 看漲 05/17/24 1.94 美元 1.71 美元 1.8 美元 382.50 美元 37.8 萬美元 60 0

About Deere

關於迪爾

Deere is the world's leading manufacturer of agricultural equipment, producing some of the most recognizable machines in the heavy machinery industry. The company is divided into four reportable segments: production and precision agriculture, small agriculture and turf, construction and forestry, and John Deere Capital. Its products are available through an extensive dealer network, which includes over 2,000 dealer locations in North America and approximately 3,700 locations globally. John Deere Capital provides retail financing for machinery to its customers, in addition to wholesale financing for dealers, which increases the likelihood of Deere product sales.

迪爾是世界領先的農業設備製造商,生產重型機械行業中一些最知名的機器。該公司分爲四個可報告的部門:生產和精準農業、小型農業和草坪、建築和林業以及約翰迪爾資本。其產品可通過廣泛的經銷商網絡獲得,該網絡包括北美的2,000多個經銷商地點和全球約3,700個分支機構。約翰迪爾資本向其客戶提供機械零售融資,此外還爲經銷商提供批發融資,這增加了迪爾產品銷售的可能性。

Current Position of Deere

迪爾目前的位置

  • With a trading volume of 913,084, the price of DE is down by -0.11%, reaching $408.56.
  • Current RSI values indicate that the stock is may be approaching overbought.
  • Next earnings report is scheduled for 6 days from now.
  • 德國的交易量爲913,084美元,價格下跌了-0.11%,至408.56美元。
  • 當前的RSI值表明該股可能已接近超買。
  • 下一份收益報告定於即日起6天后發佈。

Professional Analyst Ratings for Deere

迪爾的專業分析師評級

1 market experts have recently issued ratings for this stock, with a consensus target price of $425.0.

1位市場專家最近發佈了該股的評級,共識目標價爲425.0美元。

  • Consistent in their evaluation, an analyst from JP Morgan keeps a Neutral rating on Deere with a target price of $425.
  • 摩根大通的一位分析師在評估中保持對迪爾的中性評級,目標價爲425美元。

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.

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。

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。
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