
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.
Note: 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 2025-4-14
The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2025-4-14. 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.
Citigroup Inc. (C)
Sentiment: Bullish
Options Activity: Heavy institutional put selling dominated flow with over $10.1 million in premium collected, far exceeding $1.43 million in put buying. Call buying was modest at $928K, with $646K in call selling.
Total Values: $928,258 in call buying, $646,037 in call selling, $1,430,242 in put buying, $10,148,378 in put selling
Expectations: With Citigroup trading above the bulk of sold put strikes, the aggressive premium collected on puts suggests strong institutional confidence that the stock will remain above key levels.
Amazon.com, Inc. (AMZN)
Sentiment: Bullish
Options Activity: Strong call buying at $15.9 million and notable put selling of $7.7 million indicate bullish sentiment. Put buying was high at $9.37 million but may serve as a hedge.
Total Values: $15,944,267 in call buying, $5,710,930 in call selling, $9,370,577 in put buying, $7,695,518 in put selling
Expectations: Despite some hedging activity, the large net premium and strong call buying suggest institutions are positioning for upside from current spot levels.
Taiwan Semiconductor (TSM)
Sentiment: Bullish
Options Activity: Institutions collected $11.2 million in put premium, dwarfing the $4.7 million spent on put buying. Modest call action.
Total Values: $232,520 in call buying, $353,603 in call selling, $4,770,337 in put buying, $11,225,994 in put selling
Expectations: Substantial put selling implies institutions expect support to hold and confidence that TSM remains above key technical levels.
Tesla, Inc. (TSLA)
Sentiment: Mixed
Options Activity: Elevated across the board with $17.8 million in call buying and $24.7 million in call selling. Put flows were heavily bearish, with $41.9 million in put buying vs $54.4 million in put selling.
Total Values: $17,846,140 in call buying, $24,771,140 in call selling, $41,986,205 in put buying, $54,436,887 in put selling
Expectations: The blend of hedging and directional bets on both sides suggests positioning for high volatility. Institutions are selling downside protection but also preparing for broader moves.
Madrigal Pharmaceuticals, Inc. (MDGL)
Sentiment: Bullish
Options Activity: A single directional bet of $7.1 million in call buying vs minimal call selling.
Total Values: $7,140,000 in call buying, $2,030,000 in call selling
Expectations: A high-conviction directional bet on upside price movement.
Alphabet Inc. (GOOGL)
Sentiment: Bullish
Options Activity: $6.3 million in call buying with $6.5 million collected from put selling shows clear bullish posture, despite minor hedging.
Total Values: $6,303,288 in call buying, $2,522,067 in call selling, $5,890,630 in put buying, $6,572,940 in put selling
Expectations: Institutions are confidently positioning for continued strength while using puts to manage risk.
ASML Holding N.V. (ASML)
Sentiment: Bullish
Options Activity: Small but focused $4.3 million in call buying with no puts recorded.
Total Values: $4,312,500 in call buying
Expectations: Clean bullish bet indicating upward expectations without hedge.
Micron Technology, Inc. (MU)
Sentiment: Bullish
Options Activity: $6 million in call buying and $3.5 million in put selling both reflect directional optimism.
Total Values: $6,050,199 in call buying, $2,388,157 in call selling, $2,950,205 in put buying, $3,576,277 in put selling
Expectations: Institutions likely see limited downside and are positioning for a move higher.
Sandisk Corporation (SNDK)
Sentiment: Bullish
Options Activity: Over $4 million in call buying, with only light put exposure.
Total Values: $4,015,310 in call buying, $85,202 in put selling
Expectations: Institutions are taking directional bets on upside continuation with little need for downside protection.
Newmont Corporation (NEM)
Sentiment: Bullish
Options Activity: $4.2 million in call buying vs minimal put exposure, with additional premium collected from put selling.
Total Values: $4,284,945 in call buying, $821,575 in call selling, $124,000 in put buying, $216,174 in put selling
Expectations: Bullish flow points to expectations of continued strength in commodity-related sectors.
Alibaba Group (BABA)
Sentiment: Bullish
Options Activity: Strong call buying at $10.2 million and solid put selling reinforce bullish continuation positioning.
Total Values: $10,256,774 in call buying, $6,569,214 in call selling, $2,269,181 in put buying, $1,927,585 in put selling
Expectations: Bullish continuation plays remain intact as institutions support upside price action.
Bank of America (BAC)
Sentiment: Bullish
Options Activity: Bullish bias with strong put selling and balanced call activity.
Total Values: $1,008,379 in call buying, $1,144,037 in call selling, $460,468 in put buying, $3,647,454 in put selling
Expectations: Institutions expect stability in price, reinforcing confidence through put premium collection.
Arm Holdings (ARM)
Sentiment: Mixed
Options Activity: Heavy put buying of $1.55 million and $4.48 million in put selling suggest hedging into weakness.
Total Values: $190,150 in call buying, $165,600 in call selling, $1,555,288 in put buying, $4,485,563 in put selling
Expectations: Mixed activity; although put selling collected premium, high put buying indicates downside concern.
Energy Transfer LP (ET)
Sentiment: Bullish
Options Activity: Strong directional call buying and some light put selling.
Total Values: $4,150,422 in call buying, $1,702,894 in call selling, $134,300 in put selling
Expectations: Flow supports continued strength in the energy sector with bullish options positioning.
Rocket Lab USA, Inc. (RKLB)
Sentiment: Bullish
Options Activity: $2.1 million in put selling with minor call exposure reflects confidence in downside protection.
Total Values: $360,739 in call buying, $10,582 in put buying, $2,115,115 in put selling
Expectations: Bullish stance as institutions collect premium with expectation of stability or rebound.
Cloudflare, Inc. (NET)
Sentiment: Bullish
Options Activity: $2.3 million in put selling with no recorded call trades shows conviction to the upside.
Total Values: $2,306,324 in put selling
Expectations: Put sellers reflect strong belief the stock holds support levels.
APA Corporation (APA)
Sentiment: Bullish
Options Activity: $2.4 million in call buying with light put activity.
Total Values: $2,401,420 in call buying, $245,831 in call selling, $108,560 in put selling
Expectations: Flow reflects confidence in upside direction in energy-related equities.
PayPal Holdings, Inc. (PYPL)
Sentiment: Bullish
Options Activity: $1.2 million in call buying with heavy put selling of $1.4 million suggests institutions positioning for recovery.
Total Values: $1,230,064 in call buying, $145,102 in call selling, $330,885 in put buying, $1,437,959 in put selling
Expectations: Institutions appear to be positioning for a rebound or bottoming formation.
Target Corporation (TGT)
Sentiment: Bullish
Options Activity: Over $1.4 million in call buying and $733K in put selling with no substantial downside hedging.
Total Values: $1,464,129 in call buying, $129,720 in call selling, $733,845 in put selling
Expectations: Clean bullish activity points to expectations of upward continuation or recovery.
Palantir Technologies Inc. (PLTR)
Sentiment: Bullish
Options Activity: Strong options flow across all categories. Call buying of $5.5 million and put selling of $5.4 million reflect conviction.
Total Values: $5,539,052 in call buying, $3,503,871 in call selling, $5,512,681 in put buying, $5,441,439 in put selling
Expectations: Mixed in appearance, but skewed bullish due to heavy put selling and net premium positioning.
Individual Options Trades: Trading Day 2025-4-14
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.
BYRNA Technologies (BYRN)
Sentiment: Bullish
Options Activity: Aggressive call buying for the December 19, 2025 expiry, 249 days to expire. Multiple trades executed around the $30 strike price while the stock traded near $19.30–$19.35. Trades were flagged as “size greater than prior open interest,” suggesting new positioning.
Total Values: $970,350 total premium paid
Strike Price: $30
Expectations: With spot price around $19.30, these out-of-the-money calls imply bullish bets on a significant rally over the next eight months. Traders are positioning early for a potential breakout or long-term growth.
Burford Capital (BUR)
Sentiment: Bullish
Options Activity: Heavy call buying split between two expiries: June 20, 2025 (67 days to expiry) and January 16, 2026 (277 days). All trades focused on the $12.50 strike while spot traded near $12.93–$13.21. All trades exceeded prior open interest.
Total Values: $731,265 total premium paid
Strike Price: $12.50
Expectations: Despite the spot trading slightly above the strike, the repeated call buying shows bullish sentiment looking for continuation to the upside, possibly targeting a breakout or sustained strength into mid and late 2025.
Hesai Group (HSAI)
Sentiment: Bullish
Options Activity: Multiple blocks of call buying on two expiries: June 20, 2025 (67 days to expire) with $20 strike, and October 17, 2025 (186 days to expire) with $25 strike. Spot traded near $12.93.
Total Values: $374,477 total premium paid
Strike Price: $20 and $25
Expectations: With spot well below both strike levels, the trades suggest speculative bullish bets on a reversal or major upside move. Positioning implies long-term confidence despite current weakness.
Servicemaster Global Holdings (SERV)
Sentiment: Mixed
Options Activity: Call buying on the May 16, 2025 expiry (32 days to expire) targeting the $7 strike, paired with earlier put selling on the January 16, 2026 expiry (281 days to expire) at the $3 strike.
Total Values: $93,349 call premium paid, $189,754 put premium collected
Strike Price: $7 (call), $3 (put)
Expectations: Spot around $5.91. The call activity signals a near-term upside play, while the put selling reflects longer-term confidence that the stock will stay above $3. The put sale is a bullish stance, collecting premium at a strike far below spot.
Icahn Enterprises (IEP)
Sentiment: Bullish
Options Activity: Repeated put selling across three expiries: April 17, 2025 (6 days to expire), May 2, 2025 (18 days), all at $8 strike, while spot traded slightly above at $8.08–$8.26.
Total Values: $46,050 total premium collected
Strike Price: $8
Expectations: Traders are selling puts near the money, indicating bullish sentiment and confidence the price will remain above $8. Premium is being collected on a short-term basis.
Target Corporation (TGT)
Sentiment: Bullish
Options Activity: Single large call buy on the November 21, 2025 expiry (221 days to expire) at the $105 strike. Spot was $93.51.
Total Values: $1,059,750 premium paid
Strike Price: $105
Expectations: This out-of-the-money call signals expectations of a significant move higher into year-end. The large premium paid reflects high conviction in a bullish thesis.
Range Resources Corporation (RRC)
Sentiment: Bullish
Options Activity: Put selling on the May 16, 2025 expiry (32 days to expire) at the $33 strike. Spot was $33.65.
Total Values: $540,466 total premium collected
Strike Price: $33
Expectations: With spot slightly above the strike, traders are expressing confidence that the stock will hold above $33 through expiry. Premium is being collected from this bullish bet.
Ondas Holdings (ONDS)
Sentiment: Bullish
Options Activity: High-volume call buying for the September 19, 2025 expiry (158 days to expire), targeting the $1.50 strike with spot at $0.92. All trades exceeded prior open interest, with multiple exchanges involved.
Total Values: $404,692 premium paid
Strike Price: $1.50
Expectations: These out-of-the-money calls suggest speculative bullish bets on a major rebound. With spot well below the strike, traders are looking for a strong upside move in the coming five months.
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
Palo Alto Networks Inc (PANW)
Buyer: ZUK NIR (EVP, Chief Technology Officer)
Shares Purchased: 154,233 (-99.0%)
Price: USD 167.80
Total Value: USD 25,879,989
BlackRock California Municipal Income Trust (BFZ)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 50,569 (+1.1%)
Price: USD 10.23
Total Value: USD 517,321
Pioneer Municipal High Income Trust (MHI)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 43,562 (+1.1%)
Price: USD 8.67
Total Value: USD 377,683
Pioneer Municipal High Income Opportunities Fund Inc (MIO)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 26,990 (+1.3%)
Price: USD 11.18
Total Value: USD 301,748
Eaton Vance California Municipal Bond Fund (EVM)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 59,775 (+1.5%)
Price: USD 8.60
Total Value: USD 514,065
1-800-Flowers.Com Inc (FLWS)
Buyer: Fund 1 Investments, LLC (Large shareholder)
Shares Purchased: 47,598 (+0.6%)
Price: USD 5.28
Total Value: USD 251,479
Buyer: Fund 1 Investments, LLC (Large shareholder)
Shares Purchased: 40,000 (+0.5%)
Price: USD 5.27
Total Value: USD 210,936
Gran Tierra Energy Inc (GTE)
Buyer: Equinox Partners Investment Management LLC (Large shareholder)
Shares Purchased: 26,900 (+1.6%)
Price: USD 3.91
Total Value: USD 105,179
Buyer: Equinox Partners Investment Management LLC (Large shareholder)
Shares Purchased: 15,950 (+7.3%)
Price: USD 3.91
Total Value: USD 62,365
Buyer: Equinox Partners Investment Management LLC (Large shareholder)
Shares Purchased: 7,150 (+0.4%)
Price: USD 3.91
Total Value: USD 27,957
US Insider Sales
Palo Alto Networks Inc (PANW)
Seller: ZUK NIR (EVP, Chief Technology Officer)
Shares Sold: 109,974 (-20.6%)
Price: USD 163.06
Total Value: USD 17,931,921
Seller: ZUK NIR (EVP, Chief Technology Officer)
Shares Sold: 88,597 (-20.9%)
Price: USD 163.92
Total Value: USD 14,522,732
Seller: ZUK NIR (EVP, Chief Technology Officer)
Shares Sold: 75,619 (-22.6%)
Price: USD 164.90
Total Value: USD 12,469,724
Seller: ZUK NIR (EVP, Chief Technology Officer)
Shares Sold: 57,982 (-27.1%)
Price: USD 167.01
Total Value: USD 9,683,400
Seller: ZUK NIR (EVP, Chief Technology Officer)
Shares Sold: 44,948 (-17.4%)
Price: USD 165.86
Total Value: USD 7,455,075
Atlassian Corp (TEAM)
Seller: Cannon-Brookes Michael (CEO, Co-Founder)
Shares Sold: 2,648 (-0.9%)
Price: USD 197.91
Total Value: USD 524,061
Seller: Farquhar Scott (Non-Executive Director)
Shares Sold: 2,647 (-0.9%)
Price: USD 197.91
Total Value: USD 523,863
Seller: Cannon-Brookes Michael (CEO, Co-Founder)
Shares Sold: 1,088 (-0.4%)
Price: USD 192.70
Total Value: USD 209,660
Seller: Farquhar Scott (Non-Executive Director)
Shares Sold: 1,088 (-0.4%)
Price: USD 192.70
Total Value: USD 209,660
Lifeway Foods Inc (LWAY)
Seller: SMOLYANSKY LUDMILA
Shares Sold: 15,000 (-1.6%)
Price: USD 23.38
Total Value: USD 350,700
Accenture PLC (ACN)
Seller: Unruch Joel (General Counsel/Corp Secretary)
Shares Sold: 864 (-4.3%)
Price: USD 280.76
Total Value: USD 242,576
Seller: Sweet Julie Spellman (Chair and CEO)
Shares Sold: 564 (-4.9%)
Price: USD 280.97
Total Value: USD 158,469
Seller: Sharma Manish (CEO-The Americas)
Shares Sold: 270 (-12.3%)
Price: USD 280.92
Total Value: USD 75,847
CDN Insider Purchases
Sanu Gold Corp (SANU)
Buyer: Montage Gold Corp (10% Security Holder)
Shares Purchased: 7,664,294 (+10.0%)
Price: CAD 0.28
Total Value: CAD 2,146,002
Topicus.com Inc (TOI)
Buyer: Zanders, Ramon (Executive Director)
Shares Purchased: 2,264 (+12.7%)
Price: CAD 144.26
Total Value: CAD 326,605
Calfrac Well Services Ltd (CFW)
Buyer: PELLERIN, CHARLES (Non-Executive Director)
Shares Purchased: 72,700 (+1.8%)
Price: CAD 3.10
Total Value: CAD 225,370
Strathcona Resources Ltd (SCR)
Buyer: CHIU, Pit Kim (Senior Officer)
Shares Purchased: 1,000 (+25.4%)
Price: CAD 24.00
Total Value: CAD 24,000
Gold Terra Resource Corp (YGT)
Buyer: Bonneville, Paul (Non-Executive Director)
Shares Purchased: 160,000
Price: CAD 0.05
Total Value: CAD 8,000
St-Georges Eco-Mining Corp (SX)
Buyer: Passin, James (Non-Executive Director)
Shares Purchased: 50,000 (+12.5%)
Price: CAD 0.07
Total Value: CAD 3,250
CDN Insider Sales
MCAN Mortgage Corp (MKP)
Seller: Sutherland, Derek (Non-Executive Director)
Shares Sold: 10,000 (-1.6%)
Price: CAD 17.37
Total Value: CAD 173,680
NevGold Corp (NAU)
Seller: GoldMining Inc. (10% Security Holder)
Shares Sold: 15,000 (-0.1%)
Price: CAD 0.32
Total Value: CAD 4,853
Pyrogenesis Inc
Seller: Pascali, Photis Peter (Executive Director, Large Shareholder)
Shares Sold: 14,600 (-0.6%)
Price: CAD 0.44
Total Value: CAD 6,380
Institutional Spotlight: April 14, 2025
Tracking Today’s Noteworthy Institutional Positioning Across U.S. Equities
Institutional filings released today revealed several significant equity positions that may signal growing confidence from prominent asset managers.
Portolan Capital Management LLC, led by George McCabe, disclosed a notable position in Castle Biosciences (CSTL), reporting ownership of 1,611,099 shares, equivalent to 5.65% of the company. This purchase suggests a strategic bet on the biotech firm’s future performance, potentially reflecting confidence in its pipeline or upcoming catalysts in the precision diagnostics space.
Palogic Value Management LP, under the direction of Ryan Vardeman, declared a sizeable investment in Open Lending Corporation (LPRO), amassing 6,949,166 shares, representing 5.80% ownership. This move may indicate a value-driven outlook on the company’s potential recovery or growth in the automotive finance sector, particularly as consumer credit trends begin to stabilize.
Norges Bank, Norway’s sovereign wealth fund, made headlines with dual disclosures. It reported a 5.00% stake in MINISO Group Holding Ltd (MNSO), totaling 62,869,064 shares, marking a significant endorsement of the Chinese lifestyle retailer’s global expansion. In addition, Norges Bank revealed a 5.30% holding in Herc Holdings Inc. (HRI), with 1,522,911 shares, suggesting institutional interest in the equipment rental market as infrastructure spending remains elevated across the U.S.
Also worth highlighting, Frigate Ventures LP initiated a new position in The Lovesac Company (LOVE), accumulating 1,045,665 shares, amounting to 7.10% ownership. This marks a high-conviction investment, hinting at expectations of margin expansion or revenue acceleration for the premium furniture brand.
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 – 2025-04-11
PRTG, THM, SMMT, NUTX, MPTI, GLNG, ONC, ASPI, HOOD, SWKH, AGX, VRNA, SLNO, HNRG, JEQ, PTCT, CART, SRRK, CHWY, UAN, IPI, SEZL, PDYN, BNTC, GEO, HL, FBTC, GME, DXYZ, BTCW, ASND, BRRR, STNE, NAOV, KTOS, SMPL, BE, AB, ANIP, AMLX, AG, GPOR, ARQQ, HALO, YOU, TISI, WGS, IBKR, TARA, SCHW, JPM, LTH, DUOL, ADMA, LMB, HDB, TTWO, GEV, PLNT, UGL, PCRX, LNTH, MCHI, RSI, RGLS, VEEV, CLS, REVG, EBAY, DE, TGLS, NTRA, UNCY, SBAC, USGO, MELI, SLV, MRCY, AMT, MDGL, TATT, GRND, AXON, RYTM, ULS, ROAD, LOAR, SGHC, CNK, V, VGK, KMI, FFIV, PAYC, CSGP, IBM, AJG, CRWD, DOCS, PPC, WMT, CBOE, WMB, RPRX, JD, RBC, CAH, DPG, SGI, DG, LKQ, SFM, EPR, TOST, CLBT, VRSK, TCRT, BKNG, RBLX, CPRT, DPZ, BEKE, USM, AON, WSO, EXC, JCI, OGE, ROP, ABT, PCTY, PRVA, UBER, CHKP, DBVT, DUK, PM, ETR, SANM, MRT, NRG, ADT, GWRE, XEL, KMB, CTAS, PAYX, EVRG, NHI, PPL, RSG, ACT, T, NN, MCK, FTNT, GPI, PEN, ZS, WEC, ORI, WM, CVNA, AZO, LOPE, CME, ORLY, RYAN, HWM, KDP, FXF, DASH, EZPW, SO, CNP, HCI, MCD, KINS, KO, RTX, AVPT, PGR, CI, AVA, UNH, CRVL, GENI, DTE, CVS, VTR, IONQ, AIG, FXY, QBTS, MOH, MNST, DAVE, LNT, WELL, TJX, SR, CHE, MO, OHI, KR, CB, INOD, LYV, CLOV, TBF, OKTA, BOXX
Canadian Institutional Momentum Watchlist
EXPORT – CDN – Institutional – 2025-04-11
ITR.V, ASM.TO, ITH.TO, SKE.TO, TXG.TO, OLA.TO, FTG.TO, AAUC.TO, ELD.TO, SII.TO, ABX.TO, NDM.TO, WDO.TO, CXB.TO, PPTA.TO, OGC.TO, MND.TO, EDV.TO, FNV.TO, PEY.TO, NEO.TO, SMT.TO, WPM.TO, BTO.TO, NGD.TO, NWC.TO, EQX.TO, USA.TO, ARIS.TO, IMG.TO, K.TO, DOL.TO, WTE.TO, SSRM.TO, III.TO, ATRL.TO, IFC.TO, WN.TO, SGD.V, AGI.TO, TRP.TO, KNT.TO, SSL.TO, PAAS.TO, TOI.V, L.TO, IAG.TO, POU.TO, TFPM.TO, EFN.TO, TVK.TO, ARTG.V, DPM.TO, CU.TO, DFY.TO, FFH.TO, SIA.TO, TRI.TO, PZA.TO, DR.TO, TD.TO, FTS.TO, H.TO, STN.TO, OR.TO, LUG.TO, CEF.TO, ORA.TO, EMP/A.TO, ALA.TO, GFL.TO, MTA.V
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!




