Wells Fargo's Options Frenzy: What You Need to Know
Wells Fargo's Options Frenzy: What You Need to Know
Whales with a lot of money to spend have taken a noticeably bearish stance on Wells Fargo.
大量資金的鯨魚們對富國銀行持看淡態度。
Looking at options history for Wells Fargo (NYSE:WFC) we detected 10 trades.
看看富國銀行(紐交所:WFC)的期權歷史,我們檢測到了10次交易。
If we consider the specifics of each trade, it is accurate to state that 30% of the investors opened trades with bullish expectations and 60% with bearish.
如果我們考慮每筆交易的具體情況,可以說30%的投資者對看漲持有期權,而60%的投資者則是看跌。
From the overall spotted trades, 4 are puts, for a total amount of $177,869 and 6, calls, for a total amount of $676,570.
從所有被看到的交易中,歸納出4次看跌和6次看漲,分別對應金額$177,869和$676,570。
Predicted Price Range
預測價格區間
Taking into account the Volume and Open Interest on these contracts, it appears that whales have been targeting a price range from $40.0 to $62.5 for Wells Fargo over the last 3 months.
考慮到過去3個月中這些合同的成交量和持倉量,看來鯨魚們一直將富國銀行的價格區間限制在$40.0到$62.5之間。
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。
In today's trading context, the average open interest for options of Wells Fargo stands at 7123.14, with a total volume reaching 3,604.00. The accompanying chart delineates the progression of both call and put option volume and open interest for high-value trades in Wells Fargo, situated within the strike price corridor from $40.0 to $62.5, throughout the last 30 days.
在當今的交易環境中,富國銀行期權的平均持倉量爲7123.14,在過去的30天內總成交量達到了3,604.00。下圖描繪了過去30天內,富國銀行高價值交易的看漲和看跌期權成交量和持倉量,並位於$40.0到$62.5的執行價格走廊內。
Wells Fargo Option Volume And Open Interest Over Last 30 Days
富國銀行過去30天的期權成交量和持倉量
Significant Options Trades Detected:
檢測到顯著的期權交易:
Symbol | PUT/CALL | Trade Type | Sentiment | Exp. Date | Ask | Bid | Price | Strike Price | Total Trade Price | Open Interest | Volume |
---|---|---|---|---|---|---|---|---|---|---|---|
WFC | CALL | TRADE | BEARISH | 01/17/25 | $21.25 | $19.0 | $19.2 | $40.00 | $192.0K | 19.4K | 0 |
WFC | CALL | TRADE | BEARISH | 01/17/25 | $21.25 | $18.6 | $19.0 | $40.00 | $190.0K | 19.4K | 0 |
WFC | CALL | SWEEP | BULLISH | 11/15/24 | $9.65 | $9.55 | $9.65 | $50.00 | $115.8K | 1.8K | 0 |
WFC | CALL | SWEEP | NEUTRAL | 06/21/24 | $0.78 | $0.75 | $0.76 | $58.00 | $106.1K | 3.3K | 899 |
WFC | PUT | SWEEP | BEARISH | 09/20/24 | $5.55 | $5.35 | $5.47 | $62.50 | $55.3K | 1.5K | 92 |
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 |
---|---|---|---|---|---|---|---|---|---|---|---|
富國銀行 | 看漲 | 交易 | 看淡 | 01/17/25 | $21.25 | $19.0 | $19.2 | $40.00 | $192.0K | 19.4K | 0 |
富國銀行 | 看漲 | 交易 | 看淡 | 01/17/25 | $21.25 | 18.6美元 | $19.0 | $40.00 | $190.0千美元 | 19.4K | 0 |
富國銀行 | 看漲 | SWEEP | 看好 | 11/15/24 | $9.65 | $9.55 | $9.65 | $50.00 | $115.8K | 1.8K | 0 |
富國銀行 | 看漲 | SWEEP | 中立 | 06/21/24 | $0.78 | 0.75美元 | $0.76 | $58.00 | $106.1K | 3.3K | 899 |
富國銀行 | 看跌 | SWEEP | 看淡 | 09/20/24 | $5.55 | $5.35 | $5.47 | $62.50 | $55.3K | 1.5K | 92 |
About Wells Fargo
關於富國銀行
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.
富國銀行是美國最大的銀行之一,資產負債表總額約爲1.9萬億美元。該公司有四個主要業務部門:消費銀行,商業銀行,公司和投資銀行以及財富和投資管理。 它幾乎完全集中在美國。
Following our analysis of the options activities associated with Wells Fargo, we pivot to a closer look at the company's own performance.
在分析與富國銀行相關的期權活動後,我們轉向更仔細地研究該公司的業績。
Wells Fargo's Current Market Status
富國銀行當前的市場狀況
- With a trading volume of 4,407,631, the price of WFC is up by 1.08%, reaching $57.74.
- Current RSI values indicate that the stock is may be approaching oversold.
- Next earnings report is scheduled for 30 days from now.
- 交易量爲4,407,631,WFC的價格上漲1.08%,達到57.74美元。
- 當前RSI值表明該股票可能即將超賣。
- 下一個業績發佈日期爲30天后。
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。