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Market Whales and Their Recent Bets on Procter & Gamble Options

Market Whales and Their Recent Bets on Procter & Gamble Options

市場鯨魚及其對寶潔選項的最近押注
Benzinga ·  06/15 03:01

Whales with a lot of money to spend have taken a noticeably bullish stance on Procter & Gamble.

有很多錢要花的鯨魚已經明顯看好寶潔公司。

Looking at options history for Procter & Gamble (NYSE:PG) we detected 12 trades.

查看寶潔公司(NYSE:PG)期權歷史,我們檢測到12次交易。

If we consider the specifics of each trade, it is accurate to state that 50% of the investors opened trades with bullish expectations and 41% with bearish.

如果我們考慮每個交易的具體細節,可以準確地說有50%的投資者看好,41%看淡。

From the overall spotted trades, 2 are puts, for a total amount of $113,215 and 10, calls, for a total amount of $500,376.

從整個交易中,有2個看跌交易,總金額爲113,215美元,10個看漲交易,總金額爲500,376美元。

Expected Price Movements

預期價格波動

Analyzing the Volume and Open Interest in these contracts, it seems that the big players have been eyeing a price window from $150.0 to $170.0 for Procter & Gamble during the past quarter.

分析這些合同的成交量和未平倉合約的情況,似乎大玩家一直在關注在過去一個季度中寶潔公司在$150.0到$170.0的價格窗口。

Insights into Volume & Open Interest

成交量和持倉量分析

In today's trading context, the average open interest for options of Procter & Gamble stands at 2370.78, with a total volume reaching 2,902.00. The accompanying chart delineates the progression of both call and put option volume and open interest for high-value trades in Procter & Gamble, situated within the strike price corridor from $150.0 to $170.0, throughout the last 30 days.

在今天的交易情境中,寶潔公司的期權平均未平倉合約爲2370.78,總成交量達到2,902.00。附帶的圖表描述了過去30天內在$150.0到$170.0行權價走廊內的寶潔公司高價值交易的看漲和看跌期權成交量和未平倉合約的進展情況。

Procter & Gamble Option Volume And Open Interest Over Last 30 Days

寶潔公司期權成交量和未平倉合約過去30天的情況。

Options Call Chart

Largest Options Trades Observed:

觀察到的最大期權交易:

Symbol PUT/CALL Trade Type Sentiment Exp. Date Ask Bid Price Strike Price Total Trade Price Open Interest Volume
PG CALL TRADE BEARISH 09/20/24 $3.85 $3.75 $3.75 $170.00 $98.6K 4.8K 6
PG CALL SWEEP BULLISH 06/21/24 $6.9 $6.55 $6.9 $160.00 $80.0K 3.7K 150
PG PUT SWEEP BULLISH 07/19/24 $5.3 $5.15 $5.25 $170.00 $78.7K 666 0
PG CALL SWEEP BULLISH 06/21/24 $16.8 $16.55 $16.7 $150.00 $53.4K 1.0K 11
PG CALL SWEEP BEARISH 09/20/24 $9.3 $9.15 $9.16 $160.00 $45.9K 2.4K 0
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
PG 看漲 交易 看淡 09/20/24 $3.85 $3.75 $3.75 $170.00 $98.6K 4.8千 6
PG 看漲 SWEEP 看好 06/21/24 $6.9 $ 6.55 $6.9 $160.00 $80.0K 3.7K 150
PG 看跌 SWEEP 看好 07/19/24 $5.3 $5.15 $5.25 $170.00 $78.7K 666 0
PG 看漲 SWEEP 看好 06/21/24 $16.8 $16.55 $16.7 $150.00 $53.4K 1.0K 11
PG 看漲 SWEEP 看淡 09/20/24 $9.3 9.15美元 $9.16 $160.00 $45.9K 2.4K 0

About Procter & Gamble

關於寶潔公司

Since its founding in 1837, Procter & Gamble has become one of the world's largest consumer product manufacturers, generating more than $80 billion in annual sales. It operates with a lineup of leading brands, including more than 20 that generate north of $1 billion each in annual global sales, such as Tide laundry detergent, Charmin toilet paper, Pantene shampoo, and Pampers diapers. P&G sold its last remaining food brand, Pringles, to Kellogg in calendar 2012. Sales outside its home turf represent around 53% of the firm's consolidated total.

自1837年創立以來,寶潔公司已成爲全球最大的消費品製造商之一,年銷售額超過800億美元。它擁有一系列領先品牌,其中20多個品牌的年全球銷售額超過10億美元,例如Tide洗衣液、Charmin廁紙、Pantene洗髮水和Pampers尿不溼。在日曆2012年,寶潔公司將其最後剩餘的食品品牌Pringles賣給了Kellogg公司。其海外銷售額佔公司整體銷售額的約53%。

In light of the recent options history for Procter & Gamble, it's now appropriate to focus on the company itself. We aim to explore its current performance.

考慮到寶潔公司的最近期權歷史,現在應該專注於公司本身。我們旨在探索其當前表現。

Procter & Gamble's Current Market Status

寶潔公司的當前市場狀態。

  • With a volume of 1,749,249, the price of PG is up 0.26% at $166.84.
  • RSI indicators hint that the underlying stock is currently neutral between overbought and oversold.
  • Next earnings are expected to be released in 42 days.
  • PG的交易量爲1,749,249美元,價格上漲0.26%,爲166.84美元。
  • RSI指標暗示該標的股票目前處於超買和超賣的中立區間。
  • 下次業績預計將於42天后發佈。

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。
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