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Check Out What Whales Are Doing With Goldman Sachs Gr

Check Out What Whales Are Doing With Goldman Sachs Gr

查看鯨魚們與高盛的操作
Benzinga ·  00:04

High-rolling investors have positioned themselves bullish on Goldman Sachs Gr (NYSE:GS), and it's important for retail traders to take note.\This activity came to our attention today through Benzinga's tracking of publicly available options data. The identities of these investors are uncertain, but such a significant move in GS often signals that someone has privileged information.

高盛公司(NYSE:GS)的大額投資者們持多看好態度,散戶交易者們需格外關注。\Benzinga今天通過對公開可用的期權交易數據的監控得知了這一情況。儘管這些投資者的身份尚不確定,但是,GS股票如此重大的變動往往會暗示着某些人掌握了內幕信息。

Today, Benzinga's options scanner spotted 13 options trades for Goldman Sachs Gr. This is not a typical pattern.

Benzinga的期權掃描發現了高盛公司進行了13次期權交易,這不是一個典型的模式。

The sentiment among these major traders is split, with 69% bullish and 7% bearish. Among all the options we identified, there was one put, amounting to $117,720, and 12 calls, totaling $687,465.

這些主要交易者的看法分歧很大,其中69%持看好態度,7%持看淡態度。我們發現的所有期權中有一個看跌的,總價值爲117720美元,還有12個看漲的,總價值爲687465美元。

What's The Price Target?

價格目標是什麼?

After evaluating the trading volumes and Open Interest, it's evident that the major market movers are focusing on a price band between $440.0 and $490.0 for Goldman Sachs Gr, spanning the last three months.

通過評估交易量和持倉量,我們發現主要的市場運動是關注高盛公司在440.0到490.0美元之間的價格區間,涵蓋過去三個月的時間。

Volume & Open Interest Trends

成交量和未平倉量趨勢

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 $440.0 to $490.0 over the preceding 30 days.

評估成交量和持倉量是期權交易中的一項關鍵步驟。這些指標揭示了高盛公司期權在指定行權價格下的流動性和投資者興趣。接下來的數據將展示高盛公司在440.0到490.0美元行權價格範圍內的看漲期權和看跌期權的成交量和持倉量的波動情況,這些數據與高盛公司的大宗交易相連,涵蓋了過去30天的時間。

Goldman Sachs Gr 30-Day Option Volume & Interest Snapshot

高盛集團30天期權成交量和利息快照

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Noteworthy Options Activity:

值得注意的期權活動:

Symbol PUT/CALL Trade Type Sentiment Exp. Date Ask Bid Price Strike Price Total Trade Price Open Interest Volume
GS CALL SWEEP BULLISH 07/12/24 $5.15 $4.9 $4.9 $472.50 $148.9K 1.5K 302
GS CALL SWEEP BEARISH 07/12/24 $4.95 $4.9 $4.9 $472.50 $122.5K 1.5K 51
GS PUT TRADE BULLISH 01/16/26 $44.2 $43.6 $43.6 $460.00 $117.7K 76 0
GS CALL TRADE BULLISH 08/02/24 $14.85 $14.35 $14.65 $470.00 $87.9K 87 0
GS CALL SWEEP BULLISH 07/26/24 $4.7 $4.55 $4.6 $490.00 $53.3K 465 62
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
高盛公司所有板塊成交量 看漲 SWEEP 看好 07/12/24 $5.15 $4.9 $4.9 $472.50 $148.9K 1.5K 302
高盛公司所有板塊成交量 看漲 SWEEP 看淡 07/12/24 $4.95 $4.9 $4.9 $472.50 $122.5K 1.5K 51
高盛公司所有板塊成交量 看跌 交易 看好 01/16/26 $44.2 $43.6 $43.6 $460.00 $117.7K 76 0
高盛公司所有板塊成交量 看漲 交易 看好 08/02/24 $14.85 14.35美元 $14.65 $470.00 $87.9K 87 0
高盛公司所有板塊成交量 看漲 SWEEP 看好 07/26/24 $4.7 4.55 $4.6 $490.00 53.3千美元 465 62

About Goldman Sachs Gr

高盛集團簡介

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.

高盛集團是全球領先的投資銀行和資產管理公司。大約20%的營業收入來自投資銀行業務,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。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。

Following our analysis of the options activities associated with Goldman Sachs Gr, we pivot to a closer look at the company's own performance.

在我們分析和關注高盛期權活動之後,我們轉向更近距離地關注公司的表現。

Where Is Goldman Sachs Gr Standing Right Now?

高盛集團現在處於何種地位?

  • Trading volume stands at 532,001, with GS's price up by 0.43%, positioned at $474.87.
  • RSI indicators show the stock to be may be approaching overbought.
  • Earnings announcement expected in 5 days.
  • 交易量爲532,001股,高盛公司的股價上漲0.43%,報474.87美元。
  • RSI指標顯示該股票可能接近超買。
  • 預計5天內將公佈業績報告。

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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