SYS Research – Unusual Activity – Friday, February 20, 2026

Notice: The Unusual Activity report is provided for informational and educational purposes only and is not intended to be used as a stock-picking service or as financial advice. The charts and accompanying research are designed to support your analysis, serving as indicators rather than direct recommendations to buy or sell any security. The creator assumes no responsibility for actions taken by readers and strongly encourages individuals to fully understand the associated risks and potential outcomes before making investment decisions. Please note that any charts and/or information are intended to aid in research and should not be considered a definitive part of your personal trading strategy. Not all charts will lead to actionable buy or sell signals at any given time. Individuals should consider consulting a qualified financial advisor before making any investment decisions.

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Unusual Activity Report

This daily report focuses on three key components that can lead to market momentum: unusual options activity, insider buying, and institutional sponsorship. By scanning for these signals each day, we uncover potential stock movements driven by notable trades, insider transactions, and institutional investments. Using advanced algorithms and proprietary research methods, we sift through vast amounts of data to identify unique opportunities, offering timely insights highlighting emerging market momentum.

Disclaimer: All data and information presented in this report are sourced from publicly available materials intended for informational purposes only. The content is not a recommendation to buy or sell securities and should not be relied upon as financial advice. Readers are encouraged to conduct their own research before making any investment decisions.


Standout Options Trades

This section highlights notable options trades reflecting significant sentiment—bullish, bearish, or mixed—characterized by high-dollar-value transactions or large trade sizes exceeding prior open interest. When open interest rises from the previous day, it often indicates the creation of new positions rather than the closing of existing ones, suggesting a fresh outlook on the underlying stock or ETF.

For instance, call buying generally signals an expectation of upward movement, while selling calls suggest the trader anticipates the price will stay below a certain level. Put selling reflects confidence that the price will hold above the strike, implying stability. In contrast, put buying may reveal a bearish outlook or serve as a hedge against a larger bullish position elsewhere.

This report highlights large, unusual options trades identified for their size and potential impact, representing individual sentiment rather than broad market consensus. These trades are informational and are not intended as buy or sell signals. They reflect noteworthy activity observed during the trading day and should be viewed as one part of a broader analysis.

Options Flow Analysis: Trading Day 2026-2-20

The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2026-2-20. Each section highlights significant institutional activity, providing sentiment, key observations, and market expectations based on the data. All numbers represent large block trades likely executed by institutional players, not total-market figures.

Note: This report highlights institutional block option flow based on net premium. Strike prices and expiration dates are not available with block data.

Microsoft Corporation (MSFT)
Sentiment: Bullish – dominant put selling activity
Options Activity: Institutions focused on significant put selling to collect premiums, alongside call buying and some call selling, indicating income generation through bullish positioning.
Key Totals: Total premium from calls bought at $14,781,278, calls sold at $7,507,262, puts bought at $198,041,484, and premium collected from puts sold at $384,639,030, resulting in net premium of $193,871,562.
Analysis: The data reflects strong net positive flow driven by high put selling premiums outweighing put buying, suggesting institutional confidence in upward price stability.


Palantir Technologies Inc. (PLTR)
Sentiment: Bullish – substantial put selling dominance
Options Activity: Institutions engaged in heavy put selling for premium collection, complemented by call buying and selling, pointing to bullish hedging strategies.
Key Totals: Total premium from calls bought at $3,875,469, calls sold at $2,814,294, puts bought at $7,105,880, and premium collected from puts sold at $172,367,121, resulting in net premium of $166,322,416.
Analysis: High premiums from put sales significantly exceed other activities, indicating a clear bullish tilt in institutional trades.


Coinbase Global, Inc. (COIN)
Sentiment: Bullish – aggressive put selling focus
Options Activity: Institutions prioritized put selling to gather premiums, with minor call buying and selling, reflecting income-oriented bullish bets.
Key Totals: Total premium from calls bought at $632,015, calls sold at $2,325,965, puts bought at $74,426,591, and premium collected from puts sold at $203,431,654, resulting in net premium of $127,311,113.
Analysis: The overwhelming put selling premiums drive the positive net, showing institutional optimism via premium collection.


Netflix, Inc. (NFLX)
Sentiment: Bullish – notable put selling emphasis
Options Activity: Institutions showed significant put selling for premium intake, balanced against call and put buying, suggesting bullish income generation.
Key Totals: Total premium from calls bought at $3,445,511, calls sold at $1,905,897, puts bought at $22,880,144, and premium collected from puts sold at $40,923,519, resulting in net premium of $19,582,989.
Analysis: Put selling premiums outpace buying activities, contributing to a bullish net flow in the data.


Taiwan Semiconductor Manufacturing Company Limited – Depositary Receipt (Common Stock) (TSM)
Sentiment: Bullish – strong call buying lead
Options Activity: Institutions concentrated on heavy call buying, with some call selling and put activities, indicating directional bullish positioning.
Key Totals: Total premium from calls bought at $22,832,662, calls sold at $1,960,434, puts bought at $3,849,298, and premium collected from puts sold at $1,746,208, resulting in net premium of $18,769,138.
Analysis: Elevated call buying premiums dominate, supporting a positive net and bullish institutional sentiment.


Flutter Entertainment plc (FLUT)
Sentiment: Bullish – call selling paired with call buying
Options Activity: Institutions involved in call selling alongside buying, with no put activities noted, pointing to premium collection in a bullish context.
Key Totals: Total premium from calls bought at $5,858,700, calls sold at $19,327,600, resulting in net premium of $13,468,900.
Analysis: The net positive arises from call activities alone, reflecting bullish flow without put involvement.


Alphabet Inc. (GOOG)
Sentiment: Bullish – balanced call and put selling
Options Activity: Institutions pursued call and put selling for premiums, supported by call buying, suggesting income-focused bullish strategies.
Key Totals: Total premium from calls bought at $10,833,980, calls sold at $2,292,204, puts bought at $2,631,814, and premium collected from puts sold at $4,818,596, resulting in net premium of $10,728,558.
Analysis: Combined selling premiums contribute to the bullish net, with call buying adding to the positive skew.


Amazon.com, Inc. (AMZN)
Sentiment: Bullish – high call buying volume
Options Activity: Institutions emphasized heavy call buying, offset by call selling and minor put activities, indicating strong directional interest.
Key Totals: Total premium from calls bought at $31,872,827, calls sold at $20,892,386, puts bought at $6,046,923, and premium collected from puts sold at $5,555,130, resulting in net premium of $10,488,648.
Analysis: Substantial call buying premiums lead the positive net, underscoring bullish institutional actions.


Uber Technologies, Inc. (UBER)
Sentiment: Bullish – put selling for income
Options Activity: Institutions targeted put selling to collect premiums, with balanced call activities, reflecting bullish premium strategies.
Key Totals: Total premium from calls bought at $513,154, calls sold at $752,621, puts bought at $271,155, and premium collected from puts sold at $8,509,200, resulting in net premium of $7,998,578.
Analysis: Put selling drives the net positive, highlighting bullish sentiment through premium collection.


Robinhood Markets, Inc. (HOOD)
Sentiment: Bullish – put selling outweighing buying
Options Activity: Institutions focused on significant put selling for premiums, alongside call selling and buying, pointing to bullish income plays.
Key Totals: Total premium from calls bought at $1,159,049, calls sold at $2,065,453, puts bought at $5,242,906, and premium collected from puts sold at $13,677,170, resulting in net premium of $7,527,860.
Analysis: High put selling premiums exceed other flows, contributing to the overall bullish net.


Celsius Holdings, Inc. (CELH)
Sentiment: Bullish – dominant call buying flow
Options Activity: Institutions engaged in heavy call buying, with some call selling and minimal put activities, indicating bullish speculation.
Key Totals: Total premium from calls bought at $7,914,603, calls sold at $1,298,426, puts bought at $3,102, and premium collected from puts sold at $606, resulting in net premium of $6,613,681.
Analysis: Call buying premiums significantly lead, supporting a strong bullish net in the data.


First Majestic Silver Corp. (AG)
Sentiment: Bullish – call buying with put selling support
Options Activity: Institutions pursued call buying and put selling for premiums, with call selling present, suggesting mixed but bullish tactics.
Key Totals: Total premium from calls bought at $8,714,200, calls sold at $2,444,622, puts bought at $24,096, and premium collected from puts sold at $279,638, resulting in net premium of $6,525,120.
Analysis: Combined call buying and put selling create the positive net, reflecting bullish institutional positioning.


Meta Platforms, Inc. (META)
Sentiment: Bullish – call buying and put selling combination
Options Activity: Institutions balanced call buying with put selling for premium collection, including call selling, indicating bullish hedging.
Key Totals: Total premium from calls bought at $8,400,156, calls sold at $3,452,483, puts bought at $500,518, and premium collected from puts sold at $1,773,477, resulting in net premium of $6,220,632.
Analysis: The data shows bullish net driven by call buying and put selling premiums.


Five9, Inc. (FIVN)
Sentiment: Bullish – strong call buying emphasis
Options Activity: Institutions concentrated on call buying, supplemented by call selling and minor put buying, pointing to directional bullish bets.
Key Totals: Total premium from calls bought at $7,509,330, calls sold at $2,308,091, puts bought at $404,200, resulting in net premium of $5,605,439.
Analysis: High call buying premiums dominate the net positive, indicating bullish flow.


Apple Inc. (AAPL)
Sentiment: Bullish – balanced call activities with put selling
Options Activity: Institutions involved in call buying and selling, paired with put selling for premiums, suggesting income-oriented bullish positions.
Key Totals: Total premium from calls bought at $15,548,654, calls sold at $11,488,484, puts bought at $3,006,798, and premium collected from puts sold at $4,136,515, resulting in net premium of $5,189,887.
Analysis: Net positive arises from call buying and put selling outweighing opposing activities.


Applied Digital Corporation (APLD)
Sentiment: Bullish – heavy call buying lead
Options Activity: Institutions focused on significant call buying, with call selling and minor put buying, reflecting speculative bullish interest.
Key Totals: Total premium from calls bought at $5,837,830, calls sold at $493,832, puts bought at $173,665, resulting in net premium of $5,170,333.
Analysis: Call buying premiums primarily drive the bullish net in the data.


PDD Holdings Inc. – Depositary Receipt (Common Stock) (PDD)
Sentiment: Bullish – call buying dominating selling
Options Activity: Institutions emphasized call buying over selling, with minimal put activities, indicating directional bullish strategies.
Key Totals: Total premium from calls bought at $9,241,927, calls sold at $4,757,328, puts bought at $230,196, and premium collected from puts sold at $62,080, resulting in net premium of $4,316,483.
Analysis: Strong call buying contributes to the positive net, showing bullish sentiment.


General Electric Company (GE)
Sentiment: Bullish – exclusive call buying focus
Options Activity: Institutions engaged solely in call buying with minor call selling, pointing to pure bullish positioning.
Key Totals: Total premium from calls bought at $4,206,350, calls sold at $23,621, resulting in net premium of $4,182,729.
Analysis: The data indicates bullish net from predominant call buying premiums.


Coherent Corp. (COHR)
Sentiment: Bullish – pure call buying activity
Options Activity: Institutions concentrated entirely on call buying, with no other activities noted, suggesting strong bullish speculation.
Key Totals: Total premium from calls bought at $3,329,923, resulting in net premium of $3,329,923.
Analysis: Exclusive call buying drives the positive net flow.


Reddit, Inc. (RDDT)
Sentiment: Bullish – call buying without offsets
Options Activity: Institutions focused on call buying alone, indicating unopposed bullish interest.
Key Totals: Total premium from calls bought at $2,457,174, resulting in net premium of $2,457,174.
Analysis: Sole call buying premiums result in a clear bullish net.


Freeport-McMoRan Inc. (FCX)
Sentiment: Bullish – call buying with minor put selling
Options Activity: Institutions pursued call buying and put selling for premiums, with call selling present, reflecting bullish income generation.
Key Totals: Total premium from calls bought at $2,723,165, calls sold at $999,947, puts bought at $68,020, and premium collected from puts sold at $250,211, resulting in net premium of $1,905,409.
Analysis: Call buying and put selling combine for the positive net, indicating bullish tilt.


SPDR Gold Shares (GLD)
Sentiment: Bullish – heavy call buying dominance
Options Activity: Institutions emphasized significant call buying, balanced by call selling and put activities, pointing to bullish directional plays.
Key Totals: Total premium from calls bought at $44,184,176, calls sold at $10,193,303, puts bought at $3,539,272, and premium collected from puts sold at $3,522,991, resulting in net premium of $33,974,592.
Analysis: High call buying premiums lead the net positive, supporting bullish sentiment.


ProShares Trust II – ProShares Ultra Silver (AGQ)
Sentiment: Bullish – exclusive call buying flow
Options Activity: Institutions engaged solely in call buying, suggesting pure speculative bullish positioning.
Key Totals: Total premium from calls bought at $10,475,580, resulting in net premium of $10,475,580.
Analysis: Unopposed call buying results in a strong bullish net in the data.


Tickers: MSFT, PLTR, COIN, NFLX, TSM, FLUT, GOOG, AMZN, UBER, HOOD, CELH, AG, META, FIVN, AAPL, APLD, PDD, GE, COHR, RDDT, FCX, GLD, AGQ

Important Note: The numbers above only represent aggregate figures of large block trades made by institutions. They are not total-market figures and should not be interpreted as such.


 

Individual Options Trades: Trading Day 2026-2-20

This section focuses on unusual trades that stand out on an individual basis. These trades are highlighted for their distinctiveness, reflecting significant activity that diverges from typical market behavior.

Fermi Inc. (FRMI)
Sentiment: Bullish
Options Activity: Puts sold at the 7 strike (spot around 9.4) for the February 27, 2026 expiry (7 days to expiration) in a box-trade of size exceeding prior open interest; calls bought at the 14 strike (spot around 9.46) for the March 6, 2026 expiry (14 days to expiration) in multi-sweep activity of size exceeding prior open interest.
Total Values: Premium collected approximately $297,500 on the put sale; premium paid approximately $21,490 on the call purchase.
Strike Price: Put sold at 7; call bought at 14.
Analysis: The sale of puts at the 7 strike, well below the spot price near 9.4, collected premium with size surpassing prior open interest, reflecting bullish positioning as the seller retains the premium if the stock stays above the strike at expiration in 7 days. The purchase of calls at the 14 strike, above the spot near 9.46, paid premium with size exceeding prior open interest, indicating new bullish exposure seeking upside in 14 days.


AXT, Inc. (AXTI)
Sentiment: Bullish
Options Activity: Calls bought at the 40 strike (spot around 29-30) for the March 20, 2026 expiry (28 days to expiration) across multiple sweeps, splits, and trades, all of size exceeding prior open interest and post-earnings.
Total Values: Premium paid approximately $226,600 + $216,600 + $54,800 + $95,700 (combined significant premium outflow).
Strike Price: 40.
Analysis: Aggressive buying of calls at the 40 strike, well above the spot in the 29-30 range, paid premium with each noted trade size exceeding prior open interest, establishing new bullish positioning for upside momentum over the next 28 days.


Rackspace Technology, Inc. (RXT)
Sentiment: Bullish
Options Activity: Calls bought at the 2 strike (spot around 1.57-1.885) for the April 17, 2026 expiry (56 days to expiration) and August 21, 2026 expiry (182 days to expiration) in multi-sweeps, SSR activity, box-split, and box-trade, with sizes exceeding prior open interest.
Total Values: Premium paid approximately $20,000 + $18,040 on near-term calls and $88,538 + $68,352 on longer-dated calls.
Strike Price: 2.
Analysis: Purchases of calls at the 2 strike, above the spot near 1.57-1.885, paid premium with sizes exceeding prior open interest, reflecting new bullish bets on appreciation in 56 days and extended conviction out to 182 days.


Applied Digital Corporation (APLD)
Sentiment: Bullish
Options Activity: Calls bought at the 31 strike (spot around 28-30.5) for the March 20, 2026 expiry (28 days to expiration) in extensive multi-sweeps, trades across exchanges, and later activity with sizes often exceeding prior open interest.
Total Values: Premium paid approximately $707,508 + $1,899,620 + additional tranches totaling over $3 million in combined premium outflow.
Strike Price: 31.
Analysis: Heavy buying of calls at the 31 strike, near to slightly above the spot in the 28-30 range, paid substantial premium with many trades of size exceeding prior open interest, signaling strong new bullish positioning for gains over the next 28 days.


Tandem Diabetes Care, Inc. (TNDM)
Sentiment: Bullish
Options Activity: Calls bought at the 24 strike (spot around 24.42) for the March 20, 2026 expiry (28 days to expiration) in post-earnings split and trade activity of size exceeding prior open interest.
Total Values: Premium paid approximately $71,750 + $66,625.
Strike Price: 24.
Analysis: Purchases of calls at the 24 strike, near the spot around 24.42, paid premium with size exceeding prior open interest, indicating new bullish exposure targeting upside in 28 days.


Alphabet Inc. (GOOGL)
Sentiment: Bullish
Options Activity: Calls bought at the 325 strike (spot around 314.6) for the February 25, 2026 expiry (5 days to expiration) in multi-sweep and various exchange trades of size exceeding prior open interest.
Total Values: Premium paid approximately $200,000 + $50,700 + $41,900 + $61,400 + $39,100.
Strike Price: 325.
Analysis: Buying of calls at the 325 strike, above the spot near 314.6, paid premium with size exceeding prior open interest, reflecting new bullish positioning for near-term upside in 5 days.


Alphabet Inc. (GOOG)
Sentiment: Bullish
Options Activity: Calls bought at the 322.5 strike (spot around 314.9-315) for the March 6, 2026 expiry (14 days to expiration) across multi-sweeps, splits, and trades of size exceeding prior open interest.
Total Values: Premium paid approximately $464,640 + $517,880 + $424,600 + $455,400 + $436,920.
Strike Price: 322.5.
Analysis: Purchases of calls at the 322.5 strike, above the spot near 315, paid premium with size exceeding prior open interest, establishing new bullish exposure for gains in 14 days.


UP Fintech Holding Limited (TIGR)
Sentiment: Bullish
Options Activity: Calls bought at the 8.5 strike (spot around 8.16) for the March 13, 2026 expiry (21 days to expiration) in multi-sweep and MRX-trade activity of size exceeding prior open interest.
Total Values: Premium paid approximately $76,362 + $9,100.
Strike Price: 8.5.
Analysis: Buying of calls at the 8.5 strike, above the spot near 8.16, paid premium with size exceeding prior open interest, indicating new bullish bets on appreciation over the next 21 days.


GraniteShares 2x Long SMCI Daily ETF (SMCL)
Sentiment: Bullish
Options Activity: Puts sold at the 5 strike (spot around 4.8) for the March 20, 2026 expiry (28 days to expiration) in multi-sweeps and splits of size exceeding prior open interest.
Total Values: Premium collected approximately $39,840 + $80,001 + $40,001 + $40,007.
Strike Price: 5.
Analysis: The sale of puts at the 5 strike, slightly above the spot near 4.8, collected premium with size exceeding prior open interest, reflecting bullish positioning as the seller keeps the premium if the ETF remains above the strike at expiration in 28 days.


iShares Silver Trust (SLV)
Sentiment: Bullish
Options Activity: Calls bought at the 74.5 strike (spot around 74.3-74.4) for the February 27, 2026 expiry (7 days to expiration) across multi-sweeps, splits, and trades of size exceeding prior open interest.
Total Values: Premium paid approximately $217,798 + $163,650 + $111,180 + $304,515 + $363,368.
Strike Price: 74.5.
Analysis: Purchases of calls at the 74.5 strike, near to slightly above the spot around 74.3-74.4, paid premium with size exceeding prior open interest, signaling new bullish exposure for upside in 7 days.


ProShares Ultra Silver (AGQ)
Sentiment: Bullish
Options Activity: Calls bought at various strikes (151, 200, 250, 340) with spots around 150-157 for the February 27, 2026 expiry (7 days to expiration) and June 18, 2026 expiry (118 days to expiration) in multi-sweeps and trades of size exceeding prior open interest.
Total Values: Premium paid approximately $1,139,540 + $600,464 + $470,879 on near-term; substantial on longer-dated including $5,198,960 + $1,543,650 + $1,394,340.
Strike Price: 151, 200, 250, 340.
Analysis: Aggressive buying of calls across strikes from 151 to 340, near/above spots in the 150-157 range, paid premium with sizes exceeding prior open interest, establishing new bullish positioning for leveraged upside in 7 days and extended conviction out to 118 days.


PDD Holdings Inc. (PDD)
Sentiment: Bullish
Options Activity: Calls bought at the 125 strike (spot around 105-106) for the December 18, 2026 expiry (301 days to expiration) in multiple ARCA, CBOE, and PHLX trades.
Total Values: Premium paid approximately $995,000 + $1,000,000 + $1,004,000 + $980,000 + $979,020 + $989,010 + $1,005,000 + $907,990 (combined substantial premium outflow).
Strike Price: 125.
Analysis: Aggressive purchases of calls at the 125 strike, well above the spot near 105-106, paid premium across multiple trades, establishing new bullish positioning for significant upside over the next 301 days.


SPDR S&P Retail ETF (XRT)
Sentiment: Bullish
Options Activity: Puts sold at the 85 strike (spot around 87.7) for the March 6, 2026 expiry (14 days to expiration) in AMEX-trade activity of size exceeding prior open interest.
Total Values: Premium collected approximately $463,428.
Strike Price: 85.
Analysis: The sale of puts at the 85 strike, below the spot near 87.7, collected premium with size exceeding prior open interest, reflecting bullish positioning as the seller retains the premium if the ETF stays above the strike at expiration in 14 days.


Energy Fuels Inc. (UUUU)
Sentiment: Bullish
Options Activity: Calls bought at the 22 strike (spot around 21.4) for the March 20, 2026 expiry (28 days to expiration) in EDGX split and trade activity of size exceeding prior open interest; puts sold at the 22 strike (spot around 21.3) for the March 20, 2026 expiry (28 days to expiration) in MRX split and trade.
Total Values: Premium paid approximately $554,778 + $539,238 on calls; premium collected approximately $81,000 + $75,870 on puts.
Strike Price: 22.
Analysis: Buying of calls at the 22 strike, near to slightly above the spot around 21.4, paid premium with size exceeding prior open interest, indicating new bullish exposure for upside in 28 days. The sale of puts at the 22 strike, slightly above the spot near 21.3, collected premium, reinforcing bullish positioning as the seller keeps the premium if the stock remains above the strike at expiration in 28 days.


SPDR Gold Shares (GLD)
Sentiment: Bullish
Options Activity: Calls bought at strikes 474, 479, and 483 (spot around 467.6-467.7) for the March 20, 2026 expiry (28 days to expiration) in multi-sweep activity of size exceeding prior open interest.
Total Values: Premium paid approximately $1,485,130 + $680,499 + $1,787,140.
Strike Price: 474, 479, 483.
Analysis: Purchases of calls at strikes 474 to 483, above the spot near 467.6-467.7, paid premium with size exceeding prior open interest, signaling new bullish positioning for upside in 28 days.


Shell plc (SHEL)
Sentiment: Bullish
Options Activity: Calls bought at the 84 strike (spot around 79.7) for the February 27, 2026 expiry (7 days to expiration) in SPHR split and trades of size exceeding prior open interest.
Total Values: Premium paid approximately $110,000 + $50,000 + $60,000.
Strike Price: 84.
Analysis: Buying of calls at the 84 strike, above the spot near 79.7, paid premium with size exceeding prior open interest, reflecting new bullish bets on appreciation in 7 days.


Freeport-McMoRan Inc. (FCX)
Sentiment: Bullish
Options Activity: Calls bought at the 75 strike (spot around 64.3) for the September 18, 2026 expiry (210 days to expiration) in multi-sweep activity of size exceeding prior open interest.
Total Values: Premium paid approximately $894,976.
Strike Price: 75.
Analysis: Purchase of calls at the 75 strike, well above the spot near 64.3, paid premium with size exceeding prior open interest, establishing new bullish exposure for gains over the next 210 days.


Newell Brands Inc. (NWL)
Sentiment: Bullish
Options Activity: Calls bought at the 5 strike (spot around 4.755) for the April 17, 2026 expiry (56 days to expiration) in multiple multi-sweeps and ISE trade of size exceeding prior open interest.
Total Values: Premium paid approximately $12,500 + $16,650 + $7,975 + $32,525 + $10,025 + $14,700.
Strike Price: 5.
Analysis: Purchases of calls at the 5 strike, above the spot near 4.755, paid premium with size exceeding prior open interest, indicating new bullish positioning for appreciation in 56 days.


NVIDIA Corporation (NVDA)
Sentiment: Bullish
Options Activity: Calls bought at the 190 strike (spot around 189.9) for the March 2, 2026 expiry (10 days to expiration) in multi-sweep activity of size exceeding prior open interest.
Total Values: Premium paid approximately $1,140,470.
Strike Price: 190.
Analysis: Buying of calls at the 190 strike, near the spot around 189.9, paid premium with size exceeding prior open interest, reflecting new bullish exposure targeting near-term upside in 10 days.


Vistance Networks, Inc. (VISN)
Sentiment: Bullish
Options Activity: Calls bought at the 21 strike (spot around 18.86-18.87) for the April 17, 2026 expiry (56 days to expiration) in multi-sweep, ARCA, and CBOE trades of size exceeding prior open interest.
Total Values: Premium paid approximately $80,000 + $40,000 + $20,000.
Strike Price: 21.
Analysis: Purchases of calls at the 21 strike, above the spot near 18.86-18.87, paid premium with size exceeding prior open interest, signaling new bullish bets on gains over the next 56 days.


Thryv Holdings, Inc. (THRY)
Sentiment: Bullish
Options Activity: Calls bought at the 5 strike (spot around 3.8-4.0) for the March 20, 2026 expiry (28 days to expiration) across box-splits, box-trades, multi-sweeps, and ISE trades.
Total Values: Premium paid approximately $33,470 + $69,842 + $34,720 + $23,520 + $31,100 + $49,415 + $45,675 + $65,000 + $38,922.
Strike Price: 5.
Analysis: Heavy buying of calls at the 5 strike, above the spot in the 3.8-4.0 range, paid premium across numerous trades, establishing strong new bullish positioning for upside in 28 days.


Fluence Energy, Inc. (FLNC)
Sentiment: Bullish
Options Activity: Calls bought at the 23 strike (spot around 16.4-16.6) for the March 20, 2026 expiry (28 days to expiration) in multi-sweeps, EDGX split/trade, and PHLX trade of size exceeding prior open interest.
Total Values: Premium paid approximately $25,000 + $37,385 + $13,600 + $36,000 + $40,103.
Strike Price: 23.
Analysis: Aggressive purchases of calls at the 23 strike, well above the spot in the 16.4-16.6 range, paid premium with size exceeding prior open interest, indicating new bullish exposure for significant appreciation in 28 days.


Amcor plc (AMCR)
Sentiment: Bullish
Options Activity: Calls bought at the 50 strike (spot around 50.195) for the March 20, 2026 expiry (28 days to expiration) in box-split and box-trades of size exceeding prior open interest.
Total Values: Premium paid approximately $247,800 + $148,600 + $99,200.
Strike Price: 50.
Analysis: Buying of calls at the 50 strike, near the spot around 50.195, paid premium with size exceeding prior open interest, reflecting new bullish positioning for upside in 28 days.


Tickers: FRMI, AXTI, RXT, APLD, TNDM, GOOGL, GOOG, TIGR, SMCL, SLV, AGQ, PDD, XRT, UUUU, GLD, SHEL, FCX, NWL, NVDA, VISN, THRY, FLNC, AMCR


Insider Transactions

Each day, insider transactions provide insights into the movements of key executives and shareholders within various companies. These transactions can signal confidence in future performance or a need to liquidate holdings. Today’s report identified the most significant insider purchases and sales, highlighting influential figures and companies that made notable moves.  Let’s take a look at some of today’s standout transactions.

US Insider Purchases

Weyerhaeuser Co (WY)
Buyer: James Calvin O’Rourke (Non-Executive Director)
Shares Purchased: 4,000 (+16.2%)
Price: US$25.35
Total Value: US$101,400

Weyerhaeuser Co (WY)
Buyer: Richard Beckwitt (Non-Executive Director)
Shares Purchased: 20,000 (+491.9%)
Price: US$25.70
Total Value: US$514,000

W R Berkley Corp (WRB)
Buyer: Mitsui Sumitomo Insurance Co Ltd (Large Shareholder)
Shares Purchased: 160,582 (+0.3%)
Price: US$70.80
Total Value: US$11,369,944

W R Berkley Corp (WRB)
Buyer: Mitsui Sumitomo Insurance Co Ltd (Large Shareholder)
Shares Purchased: 300,986 (+0.5%)
Price: US$70.53
Total Value: US$21,227,730

W R Berkley Corp (WRB)
Buyer: Mitsui Sumitomo Insurance Co Ltd (Large Shareholder)
Shares Purchased: 44,014 (+0.1%)
Price: US$71.50
Total Value: US$3,146,785

MapLight Therapeutics Inc (MPLT)
Buyer: George Pavlov (Non-Executive Director)
Shares Purchased: 9,920 (+65.8%)
Price: US$17.86
Total Value: US$177,171

MapLight Therapeutics Inc (MPLT)
Buyer: George Pavlov (Non-Executive Director)
Shares Purchased: 4,422 (+41.5%)
Price: US$17.57
Total Value: US$77,695

Community West Bancshares (CWBC)
Buyer: Kirk Stovesand (Non-Executive Director)
Shares Purchased: 376 (+0.5%)
Price: US$24.50
Total Value: US$9,212

OFG Bancorp (OFG)
Buyer: Annette Franqui (Non-Executive Director)
Shares Purchased: 1,540 (+81.1%)
Price: US$42.07
Total Value: US$64,780

TCW Strategic Income Fund Inc (TSI)
Buyer: Peter McMillan (Non-Executive Director)
Shares Purchased: 50,000 (+20.0%)
Price: US$4.64
Total Value: US$232,000

Bank of James Financial Group Inc (BOTJ)
Buyer: Robert R. Chapman (Executive Director)
Shares Purchased: 1,200 (+1.0%)
Price: US$20.89
Total Value: US$25,068

SoundThinking Inc (SSTI)
Buyer: Veradace Partners LP (Large Shareholder)
Shares Purchased: 8,748 (+0.4%)
Price: US$7.07
Total Value: US$61,848

Ekso Bionics Holdings Inc (EKSO)
Buyer: Daniel Asher (Large Shareholder)
Shares Purchased: 15,540 (+6.1%)
Price: US$12.30
Total Value: US$191,162

Arrow Electronics Inc (ARW)
Buyer: William F. Austen (Executive Director)
Shares Purchased: 3,960 (+9.7%)
Price: US$151.87
Total Value: US$601,408

DLH Holdings Corp (DLHC)
Buyer: Mink Brook Asset Management LLC (Large Shareholder)
Shares Purchased: 8,048 (+0.4%)
Price: US$5.50
Total Value: US$44,264

Accuray Inc (ARAY)
Buyer: Steven F. Mayer (Non-Executive Director)
Shares Purchased: 69,000 (+4.9%)
Price: US$0.53
Total Value: US$36,598

Genasys Inc (GNSS)
Buyer: William H. Dodd (Non-Executive Director)
Shares Purchased: 25,430 (+24.5%)
Price: US$1.98
Total Value: US$50,351

Conduent Inc (CNDT)
Buyer: Harshavardhan V. Agadi (Executive Director)
Shares Purchased: 110,000 (+100.0%)
Price: US$1.41
Total Value: US$155,320

Conduent Inc (CNDT)
Buyer: Michael Fucci (Non-Executive Director)
Shares Purchased: 60,000 (+56.5%)
Price: US$1.44
Total Value: US$86,580

AMREP Corp (AXR)
Buyer: James H. Dahl (Large Shareholder)
Shares Purchased: 1,300 (+0.3%)
Price: US$26.11–26.49
Total Value: US$34,275

CSB Bancorp Inc (CSBB)
Buyer: Eddie L. Steiner (Executive Director)
Shares Purchased: 950 (+2.6%)
Price: US$56.50–57.00
Total Value: US$53,933

US Insider Sales

Palantir Technologies Inc (PLTR)
Seller: Alexander Karp (Executive Director)
Shares Sold: 403,025
Price: US$133.72
Total Value: US$53,891,858

Palantir Technologies Inc (PLTR)
Seller: Stephen A. Cohen (Executive Director)
Shares Sold: 327,088
Price: US$133.72
Total Value: US$43,737,684

Roivant Sciences Ltd (ROIV)
Seller: Frank Torti (Officer)
Shares Sold: 1,600,000
Price: US$27.52
Total Value: US$44,032,000

CF Industries Holdings Inc (CF)
Seller: Will W. Anthony (Non-Executive Director)
Shares Sold: 349,306
Price: US$100.25
Total Value: US$35,017,437

Meta Platforms Inc (META)
Seller: Susan J. Li (Officer)
Shares Sold: 18,789
Price: US$650.00
Total Value: US$12,212,850

Walmart Inc (WMT)
Seller: Rachel Brand (Non-Executive Director)
Shares Sold: 85,357
Price: US$122.99
Total Value: US$10,498,057

Cloudflare Inc (NET)
Seller: Thomas Seifert (Officer)
Shares Sold: 41,557
Price: US$192.64
Total Value: US$8,005,540

Confluent Inc (CFLT)
Seller: Edward Kreps (Executive Director)
Shares Sold: 270,207
Price: US$30.72
Total Value: US$8,300,759

Dover Corp (DOV)
Seller: Richard Joseph Tobin (Officer)
Shares Sold: 76,997
Price: US$232.70
Total Value: US$17,916,940

Cognex Corp (CGNX)
Seller: Joerg Kuechen (Officer)
Shares Sold: 61,900
Price: US$56.03
Total Value: US$3,468,386

Magna International Inc (MG)
Seller: Eric Wilds (Affiliate)
Shares Sold: 52,555
Price: US$65.76
Total Value: US$3,456,024

Magna International Inc (MG)
Seller: Tom Rucker Joerg (Affiliate)
Shares Sold: 29,868
Price: US$65.27
Total Value: US$1,949,443

Wells Fargo & Co (WFC)
Seller: Kleber Santos (Officer)
Shares Sold: 25,000
Price: US$87.72
Total Value: US$2,193,000

Tradeweb Markets Inc (TW)
Seller: Enrico Bruni (Officer)
Shares Sold: 17,380
Price: US$119.27
Total Value: US$2,072,845

Intercontinental Exchange Inc (ICE)
Seller: Lynn C. Martin (Officer)
Shares Sold: 13,456
Price: US$154.11
Total Value: US$2,073,704

Peloton Interactive Inc (PTON)
Seller: Jennifer Cotter (Officer)
Shares Sold: 154,497
Price: US$4.42
Total Value: US$682,877

Roblox Corp (RBLX)
Seller: Arvind Chakravarthy (Officer)
Shares Sold: 21,413
Price: US$61.61
Total Value: US$1,319,253

Crocs Inc (CROX)
Seller: Anne Mehlman (Officer)
Shares Sold: 12,145
Price: US$100.06
Total Value: US$1,215,172

USA Compression Partners LP (USAC)
Seller: Christopher W. Porter (Officer)
Shares Sold: 40,000
Price: US$26.64
Total Value: US$1,065,600

EverQuote Inc (EVER)
Seller: Jayme Mendal (Officer)
Shares Sold: 14,360
Price: US$14.30
Total Value: US$205,348

LightPath Technologies Inc (LPTH)
Seller: North Run Strategic Opportunities Fund I, LP
Shares Sold: 2,000,000
Price: US$11.24
Total Value: US$22,480,000

PNC Financial Services Group Inc (PNC)
Seller: William S. Demchak (Executive Director)
Shares Sold: 50,000
Price: US$230.88
Total Value: US$11,544,063

Element Solutions Inc (ESI)
Seller: E. Stanley Oneal (Non-Executive Director)
Shares Sold: 200,641
Price: US$35.52
Total Value: US$7,126,608

MKS Inc (MKSI)
Seller: John Tseng-Chung Lee (Executive Director)
Shares Sold: 30,000
Price: US$247.55
Total Value: US$7,426,500

Iron Mountain Inc (IRM)
Seller: William L. Meaney (Executive Director)
Shares Sold: 38,474
Price: US$108.17
Total Value: US$4,161,733

Walmart Inc (WMT)
Seller: Nicholas Christopher James (Non-Executive Director)
Shares Sold: 34,082
Price: US$122.58
Total Value: US$4,177,601

Workiva Inc (WK)
Seller: Matthew Rizai (Large Shareholder)
Shares Sold: 50,000
Price: US$60.00
Total Value: US$3,000,000

TTM Technologies Inc (TTMI)
Seller: Catherine A. Gridley (Officer)
Shares Sold: 20,000
Price: US$105.94
Total Value: US$2,118,816

Ryder System Inc (R)
Seller: Robert D. Fatovic (Officer)
Shares Sold: 11,640
Price: US$222.30
Total Value: US$2,587,585

Philip Morris International Inc (PM)
Seller: Stacey R. Kennedy (Officer)
Shares Sold: 14,350
Price: US$183.12
Total Value: US$2,627,772

Philip Morris International Inc (PM)
Seller: Stacey Kennedy (Officer)
Shares Sold: 14,350
Price: US$183.13
Total Value: US$2,627,916

Philip Morris International Inc (PM)
Seller: Reginaldo Dobrowolski (Officer)
Shares Sold: 5,000
Price: US$183.46
Total Value: US$917,300

Philip Morris International Inc (PM)
Seller: Reginaldo Dobrowolski (Officer)
Shares Sold: 1,000
Price: US$183.58
Total Value: US$183,580

Philip Morris International Inc (PM)
Seller: Jacek Olczak (Executive Director)
Shares Sold: 80,000
Price: US$182.18
Total Value: US$14,574,400

Philip Morris International Inc (PM)
Seller: Emmanuel Babeau (Officer)
Shares Sold: 33,800
Price: US$181.61
Total Value: US$6,138,418

Hasbro Inc (HAS)
Seller: Holly Barbacovi (Officer)
Shares Sold: 4,337
Price: US$100.98
Total Value: US$437,929

Citigroup Inc (C)
Seller: Mark A.L. Mason (Officer)
Shares Sold: 3,627
Price: US$114.71
Total Value: US$416,045

Entergy Corp (ETR)
Seller: John C. Dinelli (Officer)
Shares Sold: 5,372
Price: US$103.95
Total Value: US$558,409

eBay Inc (EBAY)
Seller: Rebecca Spencer (Officer)
Shares Sold: 1,869
Price: US$87.40
Total Value: US$163,343

GATX Corp (GATX)
Seller: Robert Zmudka (Officer)
Shares Sold: 5,200
Price: US$192.61
Total Value: US$1,001,576

Royal Gold Inc (RGLD)
Seller: William M. Hayes (Non-Executive Director)
Shares Sold: 4,173
Price: US$271.51
Total Value: US$1,133,011

RingCentral Inc (RNG)
Seller: Kira Makagon (Officer)
Shares Sold: 46,960
Price: US$35.45
Total Value: US$1,664,732

Cencora Inc (COR)
Seller: Robert P. Mauch (Executive Director)
Shares Sold: 3,762
Price: US$358.94
Total Value: US$1,350,332

Ingersoll Rand Inc (IR)
Seller: Vikram Kini (Officer)
Shares Sold: 28,367
Price: US$96.50
Total Value: US$2,737,416

Royal Caribbean Cruises Ltd (RCL)
Seller: Arne Alexander Wilhelmsen (Non-Executive Director)
Shares Sold: 101,337 (multiple transactions)
Total Value: US$35,120,235

CSX Corp (CSX)
Seller: Diana B. Sorfleet (Officer)
Shares Sold: 90,000
Price: US$41.56
Total Value: US$3,740,400

American Express Co (AXP)
Seller: Raymond Joabar (Officer)
Shares Sold: Multiple transactions
Price Range: US$338.98–341.95
Total Value: US$4,769,396

Watts Water Technologies Inc (WTS)
Seller: Robert J. Pagano Jr. (Officer)
Shares Sold: 16,066 (multiple transactions)
Total Value: US$5,284,486

Smurfit WestRock PLC (SW)
Seller: Anthony P. J. Smurfit (Executive Director)
Shares Sold: 40,000
Price: US$51.54
Total Value: US$2,061,600

Smurfit WestRock PLC (SW)
Seller: Ken Bowles (Executive Director)
Shares Sold: 10,000
Price: US$51.26
Total Value: US$512,600

Marriott International Inc (MAR)
Seller: Rajeev Menon (Officer)
Shares Sold: 3,492
Price: US$354.00
Total Value: US$1,236,168

Covenant Logistics Group Inc (CVLG)
Seller: David Ray Parker (Executive Director)
Shares Sold: 55,000
Price: US$29.38
Total Value: US$1,616,016

Honeywell International Inc (HON)
Seller: D. Scott Davis (Non-Executive Director)
Shares Sold: 2,367
Price: US$240.00
Total Value: US$568,080

Sanmina Corp (SANM)
Seller: Mythili Sankaran (Non-Executive Director)
Shares Sold: 3,424
Price: US$145.95
Total Value: US$499,733

Eversource Energy (ES)
Seller: John M. Moreira (Officer)
Shares Sold: 7,800
Price: US$73.90
Total Value: US$576,420

Danaher Corp (DHR)
Seller: Gregory M. Milosevich (Officer)
Shares Sold: 1,320
Price: US$208.01
Total Value: US$274,575


CDN Insider Purchases

West Point Gold Corp (WPG)
Buyer: Andrew William Bowering (Non-Executive Director)
Shares Purchased: 428,000 (+29.2%)
Price: CA$1.10
Total Value: CA$470,800

West Point Gold Corp (WPG)
Buyer: Anthony Michael Paterson (Non-Executive Director)
Shares Purchased: 218,000 (+13.9%)
Price: CA$1.10
Total Value: CA$239,800

iA Financial Corporation Inc (IAG)
Buyer: Denis Ricard (Executive Director)
Shares Purchased: 6,000 (+12.0%)
Price: CA$152.00
Total Value: CA$912,000

iA Financial Corporation Inc (IAG)
Buyer: Éric Jobin (Officer)
Shares Purchased: 1,000 (+106.3%)
Price: CA$151.82
Total Value: CA$151,820

Aldebaran Resources Inc (ALDE)
Buyer: Route One Investment Company, L.P. (Large Shareholder)
Shares Purchased: 1,538,462 (+2.1%)
Price: CA$3.25
Total Value: CA$5,000,002

Koryx Copper Inc (KRY)
Buyer: Charles Edward Loots (Non-Executive Director)
Shares Purchased: 34,000 (+4.8%)
Price: CA$3.09
Total Value: CA$104,985

Dye & Durham Ltd (DND)
Buyer: Alan Roy Hibben (Non-Executive Director)
Shares Purchased: 50,000
Price: CA$3.45
Total Value: CA$172,500

Tocvan Ventures Corp (TOC)
Buyer: Anna Ladd-Kruger (Non-Executive Director)
Shares Purchased: 50,000 (+500.0%)
Price: CA$1.00
Total Value: CA$50,000

NetraMark Holdings Inc (AIAI)
Buyer: Angelico Carta (Officer)
Shares Purchased: 232,500
Price: CA$1.00
Total Value: CA$232,500

Lithium Africa Corp (LAC)
Buyer: Tyron Breytenbach (Non-Executive Director)
Shares Purchased: 12,700 (+1.4%)
Price: CA$2.59
Total Value: CA$32,893

GR Silver Mining Ltd (GRSL)
Buyer: Marcio Bastos Fonseca (Non-Executive Director)
Shares Purchased: 50,000 (+1.0%)
Price: CA$0.41
Total Value: CA$20,250

Xcite Resources Inc (XRI)
Buyer: Etienne Gouin-Proulx (Non-Executive Director)
Shares Purchased: 200,000 (+32.0%)
Price: CA$0.11
Total Value: CA$22,500

Resouro Strategic Metals Inc (RSM)
Buyer: Simon Stilwell (Non-Executive Director)
Shares Purchased: 63,500
Price: CA$0.33
Total Value: CA$20,955

New Break Resources Ltd (NBRK)
Buyer: Ross Quigley (Large Shareholder)
Shares Purchased: 36,000 (+4.4%)
Price: CA$0.28
Total Value: CA$10,080

Mirasol Resources Ltd (MRZ)
Buyer: Glenn Pountney (Large Shareholder)
Shares Purchased: 10,000 (+0.1%)
Price: CA$0.52
Total Value: CA$5,200

McFarlane Lake Mining Ltd (MLM)
Buyer: Mark Steven Trevisiol (Executive Director, Large Shareholder)
Shares Purchased: 200,000 (+3.7%)
Price: CA$0.10
Total Value: CA$20,000

CDN Insider Sales

FirstService Corp (FSV)
Seller: D. Scott Patterson (Executive Director)
Shares Sold: 46,700 (multiple reductions totaling approximately -36%)
Price: CA$213.50–215.46
Total Value: CA$11,573,485

Precision Drilling Corp (PD)
Seller: Darren Ruhr (Officer)
Shares Sold: 12,633 (-19.2%)
Price: US$88.02–88.38
Total Value: US$1,116,221

Alithya Group Inc (ALYA)
Seller: Amar Bukkasagaram (Officer)
Shares Sold: 2,489,682
Price: CA$1.60
Total Value: CA$3,972,039

First Mining Gold Corp (FF)
Seller: Stephen Andrew Lines (Officer)
Shares Sold: 530,500 (-43.2%)
Price: CA$0.60
Total Value: CA$318,300

Elemental Royalty Corporation (ELE)
Seller: David M. Cole (Non-Executive Director)
Shares Sold: 5,700 (-0.7%)
Price: CA$28.20–29.00
Total Value: CA$164,740

Corby Spirit and Wine Ltd (CSW.A)
Seller: Stephane Cote (Officer)
Shares Sold: 3,520 (-16.7%)
Price: CA$14.89
Total Value: CA$52,413

FPX Nickel Corp (FPX)
Seller: Peter Joseph Marshall (Non-Executive Director)
Shares Sold: 60,000 (-7.0%)
Price: CA$0.60
Total Value: CA$36,000

Red Lake Gold Inc (RGLD)
Seller: Ryan Kalt (Non-Executive Director, Large Shareholder)
Shares Sold: 1,500,000 (multiple reductions totaling approximately -13%)
Price: CA$0.02–0.03
Total Value: CA$32,753

Russel Metals Inc (RUS)
Seller: Sherri Lynn McKelvey (Officer)
Shares Sold: 300 (-10.0%)
Price: CA$47.22
Total Value: CA$14,166


Institutional Spotlight: February 20, 2026

Millennium Management LLC (Israel Englander)

  • PROEM ACQUISITION CORP I — 752,500 shares | 4.10% ownership
  • NTST — 5,246,726 shares | 5.40% ownership

Corsair Capital Management LP (Jay Petschek)

  • CNVS — 1,762,650 shares | 8.10% ownership

Opaleye Management Inc (James Silverman)

  • ACOG — 2,268,589 shares | 10.43% ownership

Sculptor Capital LP (Robert Shafir)

  • BCAR — 1,750,000 shares | 5.65% ownership

Portolan Capital Management LLC (George McCabe)

  • FORR — 1,163,008 shares | 6.12% ownership

Vivo Opportunity Fund Holdings LP

  • IMUX — 29,126,906 shares | 9.99% ownership

Cascade Investment LLC

  • RSG — 109,816,832 shares | 35.60% ownership

Rp Investment Advisors LP

  • UNITED ACQUISITION CORP. I — 925,000 shares | 9.10% ownership
  • SPARTACUS ACQUISITION CORP. II — 1,250,000 shares | 5.40% ownership

Farallon Capital Partners LP

  • TYRA — 2,984,818 shares | 5.60% ownership

Fund 1 Investments LLC

  • FNKO — 5,450,251 shares | 9.96% ownership

Pale Fire Capital SE

  • PHR — 5,572,824 shares | 9.20% ownership

Tickers: CNVS, NTST, ACOG, BCAR, FORR, IMUX, RSG, TYRA, FNKO, PHR


Institutional Momentum Watchlists

(Stocks are sorted to highlight those with the strongest momentum at the time of the scan)

Welcome to the Institutional Momentum Watchlist, an exclusive feature for our members. This list highlights stocks that have recently caught the attention of institutional investors, either through new purchases or significant additions. These stocks are selected based on promising technical setups that suggest potential momentum. Our systematic approach filters for opportunities where institutional sponsorship aligns with favorable technical conditions, offering a unique edge in your trading strategy. Keep an eye on this watchlist as we update it each weekend with the latest insights from the market.

Click on the CandleGlance chart to view it in full size. Find a chart that matches your criteria or interests. You can easily save it to your watchlist on StockCharts.com for further analysis and tracking or copy and paste the ticker list into your chart provider.

US Institutional Momentum Watchlist

EXPORT – US Institutional Momentum Watchlist

TNDM, INSG, TLSI, AG, AEHR, ASMB, UUU, SATL, CREX, FOSL, PSLV, SLV, OPEN, TTMI, GLW, COHR, FIX, FLNT, MAMA, BLBX, AU, ST, CMCL, DPRO, HL, RAIL, CIEN, LITE, VSCO, STRL, THM, EXR, VIAV, PLTM, KF, STNE, EET, EYPT, KNX, SHLS, PVLA, GOOGL, UGL, ATI, EBAY, KAI, TVTX, GROY, CROX, FSLR, INTR, MOD, CODYY, BDSX, OUT, NRXS, TIGO, LYV, JBL, GDMN, TRGP, LRCX, MUX, TPR, BKTI, TYGO, BFRI, SIG, MTZ, PLBY, ONON, AHCO, PCAR, SKY, LEVI, NXT, TER, ADI, DTM, TSM, LSCC, GPN, USAU, SLS, GKOS, HWM, UAL, TDAY, CHRW, MU, SPPP, EPI, GE, AM, IESC, WVE, FORM, DY, MPWR, OCS, LBTYA, CAVA, SPB, INSM, LYB, NCLH, NRG, CDE, JHG, TPC, WMG, HROW, VISN, H, YOU, VIK, FR, GOLF, BKU, PRIM, MNST, ONC, SA, CGON, DAC, SMTC, PCVX, HY, NBR, ARW, CDRE, UPRO, NVGS, DRI, MSI, MDV, AVT, CYD, POWL, AMCR, CARR, KZR, WSM, FIVE, CMRE, CCCC, DBI, VGZ, M, FIHL, GSAT, PLD, SBUX, WRBY, GDE, GPOR, LKQ, AVY, WEX, NIC, JILL, ASC, TRV, DC, F, KEYS, NRO, BLCO, REZI, TARS, VWO, FLR, BDX, FFWM, REPYY, WEAT, BEN, HLIT, MEGI, ATAI, INDB, DEA, ALL, USD, LLYVA, SHIP, SYF, JAZZ, CSX, GRDN, KDP, RH, AMAT, CRS, ON, EIX, NN, COFS, EBC, SFNC, STLD, AR, EMN, RRC, CFFN, VSAT, LNT, SSO, RBC, PG, CCL, FDX, CME, ENTG, BTX, CALX, AA, HON, OGE, CRUS, TEL, KNSA, PPL, STM, AGX, GDOT, KGS, ONB, SR, AEO, WBS, EQT, MMM, ERAS, NU, SUI, EGP, VXUS, DBB, UNP, CL, KO, TBPH, FIGS, HEDJ, SMG, VEON, PNC, EME, IKT, WSBC, BLK, CYH, AIG, CLX, IHD, OLMA, TOL, WMB, PRAX, WAB, JBLU, MCK, TJX, EW, AS, CFG, NRIM, ITT, REPL, KYMR, HLT, KN, TMDX, UPS, FDD, NVDA

 

Canadian Institutional Momentum Watchlist

EXPORT – Canadian Institutional Momentum Watchlist

GRSL.V, FVI.TO, AG.TO, LUN.TO, NUAG.TO, SII.TO, AYA.TO, FTG.TO, FAR.TO, NEO.TO, EDR.TO, SVM.TO, OLA.TO, GGD.TO, PAAS.TO, ARIS.TO, BTO.TO, FURY.TO, DRX.TO, VNP.TO, CNL.TO, CEF.TO, OBE.TO, ITH.TO, ITR.V, SSRM.TO, EPRX.TO, OGC.TO, CPH.TO, AGI.TO, OR.TO, GLO.TO, SES.TO, TKO.TO, WDO.TO, FM.TO, ARTG.V, TXG.TO, WPM.TO, CTC/A.TO, ARG.TO, BDT.TO, LIF.TO, TRX.TO, TFPM.TO, DSV.TO, USA.TO, JWEL.TO, ALS.TO, NGD.TO, SEA.TO, SKE.TO, CHR.TO, FNV.TO, IGM.TO, GOLD.TO, SLI.V, CGG.TO, WPK.TO, KNT.TO, LUC.TO, CRR/UN.TO, MTA.V, BDGI.TO, CCO.TO, DOO.TO, ET.TO, BMO.TO, SLF.TO, MDA.TO, GAU.TO, TVK.TO, FTT.TO, AGF/B.TO, FCR/UN.TO, BNS.TO, CM.TO, CHP/UN.TO, BDI.TO, JOY.TO, CAS.TO, NA.TO, TPZ.TO, TD.TO, EDV.TO, HAI.TO, WJX.TO, QBR/B.TO, EQB.TO, GEI.TO, ATS.TO, EIF.TO, RY.TO, CNR.TO, BCE.TO, BNE.TO, BYD.TO, BEPC.TO, CPX.TO, TRZ.TO, ATZ.TO, DPM.TO, RCH.TO, MTL.TO, PHX.TO, WTE.TO, GIL.TO

 

To conclude our report, we thank you for your engagement and insights. Your feedback is valuable, and we encourage you to share your recommendations. Stay attentive to the Daily Setups, the Workspace, and the Watchlists for emerging opportunities. Additionally, explore the PDFs of the scanner results provided in the Daily Setups report. Until next time, happy trading!

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