SYS Research – Unusual Activity – Monday, August 25, 2025

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 2025-8-25

The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2025-8-25. 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.

NVIDIA Corporation (NVDA)
Options Activity: Calls bought totaled $76.6M in premium, while calls sold reached $55.0M. Puts bought came to $14.3M, with puts sold generating $37.2M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $44.5M shows strong institutional interest on the call side, reinforced by bullish put selling. This combination suggests positioning for continued upside strength in NVIDIA.


Tesla, Inc. (TSLA)
Options Activity: Calls bought totaled $51.0M in premium versus $32.9M sold. Puts bought were $19.4M, while puts sold generated $34.6M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $33.2M highlights active call buying supported by bullish put selling, pointing to confidence in further gains for Tesla.


PDD Holdings Inc. (PDD)
Options Activity: Calls bought totaled $24.8M, nearly balanced by $22.8M sold. Puts bought were $2.0M, while puts sold generated $28.4M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $28.4M reflects strong bullish flow primarily from put selling, indicating institutional confidence in PDD holding higher levels.


Charter Communications, Inc. (CHTR)
Options Activity: Minimal call activity recorded. Puts bought were $0.2M, while puts sold generated $9.0M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $8.8M was driven entirely by aggressive put selling, signaling a bullish stance that downside risk remains limited.


IREN Limited (IREN)
Options Activity: Calls bought totaled $10.0M versus $5.6M sold. Puts bought were $1.8M, while puts sold generated $2.9M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $5.4M shows active call accumulation with supportive put selling, suggesting institutions are betting on continued upside in IREN.


SoFi Technologies, Inc. (SOFI)
Options Activity: Calls bought totaled $13.1M, outpacing $6.9M sold. Puts bought were $1.7M, while puts sold generated $0.9M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $5.4M reflects strong call interest with supportive put selling, suggesting positioning for upward momentum in SoFi.


Microbot Medical Inc. (MBOT)
Options Activity: Calls bought totaled $4.2M versus negligible selling activity. No notable put flow.
Sentiment: Bullish
Analysis: Net premium of $4.2M highlights concentrated bullish activity through aggressive call buying.


Canadian Natural Resources Limited (CNQ)
Options Activity: Calls bought totaled $2.6M. Puts sold generated $0.6M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $3.1M was led by bullish call flow with supportive put selling, suggesting confidence in stability and upside for CNQ.


monday.com Ltd. (MNDY)
Options Activity: No notable call activity. Puts sold generated $3.0M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $3.0M reflects pure bullish positioning via aggressive put selling, signaling institutions expect MNDY to remain supported.


GoPro, Inc. (GPRO)
Options Activity: Calls bought totaled $3.2M against $0.4M sold. Puts sold added $0.1M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $3.0M suggests institutions are building bullish exposure through calls, supported by small-scale put selling.


Apple Inc. (AAPL)
Options Activity: Calls bought totaled $12.4M versus $6.6M sold. Puts bought were $4.5M, while puts sold generated $1.6M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $2.9M reflects modest bullish bias led by call buying, with put selling offering additional confirmation.


Core Scientific, Inc. (CORZ)
Options Activity: Calls bought totaled $2.1M against light selling. Puts bought were $0.3M, while puts sold generated $0.5M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $2.2M highlights bullish accumulation in CORZ, with institutions backing both calls and put selling.


Opendoor Technologies Inc. (OPEN)
Options Activity: Calls bought totaled $30.4M against $28.1M sold. Puts bought were $5.2M, while puts sold generated $5.1M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $2.1M indicates balanced activity but ultimately tilts bullish, with strong call interest and reinforcing put selling.


Coinbase Global, Inc. (COIN)
Options Activity: Calls bought totaled $2.3M versus $2.3M sold. Puts bought were $0.6M, while puts sold generated $2.8M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $2.1M shows institutions leaning bullish through notable put selling despite balanced call flow.


SentinelOne, Inc. (S)
Options Activity: Calls bought totaled $2.1M with no significant offsetting flow.
Sentiment: Bullish
Analysis: Net premium of $2.1M reflects concentrated bullish exposure through outright call buying.


Netflix, Inc. (NFLX)
Options Activity: Calls bought totaled $2.8M versus $0.7M sold. Minimal put activity.
Sentiment: Bullish
Analysis: Net premium of $2.0M highlights bullish positioning with investors favoring calls for upside participation.


Floor & Decor Holdings, Inc. (FND)
Options Activity: Calls bought totaled $0.2M. Puts sold generated $1.4M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $1.6M was driven by aggressive put selling, signaling bullish expectations for FND stability and upside.


Celestica Inc. (CLS)
Options Activity: Calls bought totaled $1.5M with no notable offsets.
Sentiment: Bullish
Analysis: Net premium of $1.5M reflects concentrated bullish exposure via call accumulation.


Offerpad Solutions Inc. (OPAD)
Options Activity: Calls bought totaled $5.5M against $5.7M sold. Puts bought were $0.3M, while puts sold generated $1.8M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $1.3M suggests institutions maintaining a bullish tilt despite near-even call flow, supported by notable put selling.


Baidu, Inc. (BIDU)
Options Activity: Calls bought totaled $1.6M versus $0.3M sold. Puts bought were $0.2M, while puts sold generated $0.1M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $1.3M points to bullish lean through call accumulation with modest put selling support.


ACM Research, Inc. (ACMR)
Options Activity: Calls bought totaled $1.2M with no significant offsetting flow.
Sentiment: Bullish
Analysis: Net premium of $1.2M reflects clean bullish positioning through concentrated call activity.


Deckers Outdoor Corporation (DECK)
Options Activity: Calls bought totaled $1.2M with no notable offsets.
Sentiment: Bullish
Analysis: Net premium of $1.2M signals targeted bullish exposure through call buying.


NIKE, Inc. (NKE)
Options Activity: Calls bought totaled $0.2M against $0.3M sold. Puts bought were $0.1M, while puts sold generated $1.3M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $1.2M reflects bullish conviction via put selling, overshadowing mixed call flow.


JBS N.V. (JBS)
Options Activity: Calls bought totaled $1.1M with little offsetting flow.
Sentiment: Bullish
Analysis: Net premium of $1.1M shows direct bullish accumulation through calls.


Microsoft Corporation (MSFT)
Options Activity: Calls bought totaled $0.3M versus $0.3M sold. Puts bought were $0.02M, while puts sold generated $1.1M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $1.1M reflects bullish tilt driven by steady put selling.


Barrick Mining Corporation (B)
Options Activity: Calls bought totaled $3.3M versus $2.2M sold. No notable put activity.
Sentiment: Bullish
Analysis: Net premium of $1.1M highlights bullish lean through call buying.


AppLovin Corporation (APP)
Options Activity: Calls bought totaled $1.7M versus $0.9M sold. Puts bought were $0.1M, while puts sold generated $0.3M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $0.95M indicates modest bullish exposure through calls, with supportive put selling.


ASP Isotopes Inc. (ASPI)
Options Activity: Calls bought totaled $1.0M against light selling.
Sentiment: Bullish
Analysis: Net premium of $0.94M reflects targeted bullish interest through calls.


MongoDB, Inc. (MDB)
Options Activity: Calls bought totaled $1.6M versus $1.1M sold. Puts bought were $0.2M, while puts sold generated $0.6M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $0.92M shows balanced activity tilting bullish, with supportive put selling.


Applied Digital Corporation (APLD)
Options Activity: Calls bought totaled $1.2M versus $0.3M sold. Puts bought were $0.05M, while puts sold generated $0.08M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $0.90M highlights bullish accumulation in APLD with both calls and put selling participation.


Reddit, Inc. (RDDT)
Options Activity: Calls bought totaled $1.1M versus $0.2M sold. Puts bought were minimal, while puts sold added light premium collected.
Sentiment: Bullish
Analysis: Net premium of $0.90M reflects bullish activity primarily through calls, supported by modest put selling.


Morgan Stanley (MS)
Options Activity: Calls bought totaled $0.8M. Puts sold generated light premium collected.
Sentiment: Bullish
Analysis: Net premium of $0.82M highlights bullish tilt through call buying, supplemented by put selling.


The Progressive Corporation (PGR)
Options Activity: Minimal call flow recorded. Puts bought were $0.8M, while puts sold generated $1.6M in premium collected.
Sentiment: Bullish
Analysis: Net premium of $0.81M reflects bullish positioning through strong put selling, outweighing bearish put buying.


United States Antimony Corporation (UAMY)
Options Activity: Calls bought totaled $0.95M versus light selling. Puts bought and sold were minimal.
Sentiment: Bullish
Analysis: Net premium of $0.78M suggests institutions are positioning for upside through call accumulation.


First Majestic Silver Corp. (AG)
Options Activity: Calls bought totaled $0.8M versus $0.05M sold. Minimal put activity with small premium collected.
Sentiment: Bullish
Analysis: Net premium of $0.75M reflects bullish positioning in silver exposure through calls.


Tickers; NVDA, TSLA, PDD, CHTR, IREN, SOFI, MBOT, CNQ, MNDY, GPRO, AAPL, CORZ, OPEN, COIN, S, NFLX, FND, CLS, OPAD, BIDU, ACMR, DECK, NKE, JBS, MSFT, B, APP, ASPI, MDB, APLD, RDDT, MS, PGR, UAMY, AG

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 2025-8-25

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.

iRobot Corporation (IRBT)
Sentiment: Bullish
Options Activity: Bought calls expiring January 15, 2027, with a strike price of $3, while the spot price was $3.47. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $587,040 in premium paid
Strike Price: $3
Analysis: With 508 days to expiry, this long-dated call activity signals bullish positioning in iRobot. The size relative to open interest suggests that fresh bets are being made on future upside potential.


Denny’s Corporation (DENN)
Sentiment: Bullish
Options Activity: Sold puts expiring February 20, 2026, with a strike price of $5, while the spot price was $4.37. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $136,808 in premium collected
Strike Price: $5
Analysis: With 179 days to expiry, selling puts well below the spot price reflects confidence that Denny’s will remain above this level. Premium was collected, and the activity suggests fresh bullish positioning.


SentinelOne Inc. (S)
Sentiment: Bullish
Options Activity: Bought calls expiring March 20, 2026, with a strike price of $18, while the spot price was $16.61. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $1,154,500 in premium paid
Strike Price: $18
Analysis: With 207 days to expiry, the purchase of calls above the current spot reflects bullish sentiment and expectations of further upside. The large premium outlay underscores conviction.


Core Scientific Inc. (CORZ)
Sentiment: Bullish
Options Activity: Sold puts expiring September 19, 2025, with a strike price of $14, while the spot price was $13.74. Also bought calls at $15. Combined activity leaned bullish.
Total Values: $338,232 in premium (includes premium collected from puts and premium paid for calls)
Strike Price: $14 and $15
Analysis: With 25 days to expiry, the combination of put selling and call buying highlights confidence in Core Scientific holding support and potentially pushing higher. The mix of trades suggests strong near-term bullish positioning.


Unusual Machines Inc. (UMAC)
Sentiment: Bullish
Options Activity: Bought calls expiring November 21, 2025, with a strike price of $10, while the spot price was $11.84.
Total Values: $314,160 in premium paid
Strike Price: $10
Analysis: With 88 days to expiry, the call buying signals bullish expectations for upside continuation. The premium commitment and strike selection indicate positioning for strength in the months ahead.


Freeport-McMoRan Inc. (FCX)
Sentiment: Bullish
Options Activity: Multiple bullish trades including call buying across $42–$46 strikes and put selling at $38–$41. Several trades were larger than prior open interest, suggesting new positioning.
Total Values: Over $560,708 in combined premium (includes premium paid for calls and premium collected for puts)
Strike Price: $38–$46
Analysis: With expiries ranging from 4 days to 88 days, the blend of short-term and medium-term bullish flow highlights confidence in Freeport-McMoRan’s stability and potential upside. The combination of fresh call buying and put selling reinforces strong sentiment.


Applied Digital Corp. (APLD)
Sentiment: Bullish
Options Activity: Bought calls expiring November 21, 2025, with a strike price of $2, while the spot price was $15.94. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: About $1,048,000 in premium paid
Strike Price: $2
Analysis: With 88 days to expiry, the deep in-the-money call activity shows aggressive bullish sentiment. The large premium and new positioning highlight strong confidence in further upside.


Intel Corporation (INTC)
Sentiment: Bullish
Options Activity: Bought calls expiring November 21, 2025, with a strike price of $32, while the spot price was $25.25. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $578,389 in premium paid
Strike Price: $32
Analysis: With 88 days to expiry, the call buying reflects bullish expectations for Intel to rebound strongly. The aggressive out-of-the-money positioning suggests investors are targeting upside potential in the months ahead.


American Eagle Outfitters (AEO)
Sentiment: Bullish
Options Activity: Sold puts expiring September 19, 2025, with a strike price of $9.50, while the spot price was $12.52. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $350,000 in premium collected
Strike Price: $9.50
Analysis: With 25 days to expiry, selling puts well below spot reflects strong confidence that AEO will stay above this level. Fresh positioning and premium collection underscore bullish sentiment.


Monday.com Ltd. (MNDY)
Sentiment: Bullish
Options Activity: Sold puts expiring November 21, 2025, with a strike price of $135, while the spot price was $178.24. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $3,030,000 in premium collected
Strike Price: $135
Analysis: With 88 days to expiry, the put selling far below the spot reflects conviction that Monday.com will hold higher levels. The significant premium collected and new positioning highlight robust bullish sentiment.


SoundHound AI Inc. (SOUN)
Sentiment: Bullish
Options Activity: Bought calls expiring April 17, 2026, with a strike price of $15, while the spot price was $12.44. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $97,808 in premium paid
Strike Price: $15
Analysis: With 235 days to expiry, the call buying shows positioning for longer-term upside potential in SoundHound. The fresh activity underscores bullish confidence.


USA Rare Earth Inc. (USAR)
Sentiment: Bullish
Options Activity: Bought calls expiring August 29, 2025, with a strike price of $17, while the spot price was $16.68. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $235,513 in premium paid
Strike Price: $17
Analysis: With only 4 days to expiry, heavy near-term call buying reflects speculative bullish bets for immediate upside. The fresh positioning highlights confidence in a short-term move higher.


Tesla Inc. (TSLA)
Sentiment: Bullish
Options Activity: Bought calls expiring September 5, 2025, with a strike price of $345, while the spot price was $346.48.
Total Values: $1,210,800 in premium paid
Strike Price: $345
Analysis: With 11 days to expiry, the large call buying reflects bullish sentiment on Tesla holding above key levels. The size of the premium highlights conviction in near-term upside.


ASP Isotopes Inc. (ASPI)
Sentiment: Bullish
Options Activity: Bought calls across multiple expiries—September 2025, October 2025, and January 2026—with strike prices at $10–$11, while the spot price was around $9.90.
Total Values: $989,222 in premium paid
Strike Price: $10–$11
Analysis: With expiries spanning from 25 to 144 days, the spread of call activity highlights bullish sentiment for both near- and medium-term upside. The diversified positioning shows broad confidence in ASPI’s trajectory.


Webull Corp. (BULL)
Sentiment: Bullish
Options Activity: Bought calls expiring November 21, 2025, with a strike price of $15, while the spot price was $15.52.
Total Values: $242,170 in premium paid
Strike Price: $15
Analysis: With 88 days to expiry, this activity shows fresh bullish bets. The at-the-money positioning reflects confidence in sustained upside.


SELLAS Life Sciences Group (SLS)
Sentiment: Bullish
Options Activity: Bought calls expiring January 2026 and January 2027 with strike prices of $2–$2.50, while the spot price was $1.94. Multiple trades exceeded prior open interest, suggesting new positioning.
Total Values: $155,940 in premium paid
Strike Price: $2–$2.50
Analysis: With expiries ranging from 144 to 508 days, this broad call buying signals strong bullish positioning. The activity suggests conviction in long-term upside.


Skeena Resources (SKE)
Sentiment: Bullish
Options Activity: Bought calls expiring January 16, 2026, with a strike price of $17.50, while the spot price was $15.27. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $130,700 in premium paid
Strike Price: $17.50
Analysis: With 144 days to expiry, the out-of-the-money call buying reflects confidence in upside momentum developing into year-end.


Archer Daniels Midland (ADM)
Sentiment: Bullish
Options Activity: Bought calls expiring September 19, 2025, with a strike price of $67.50, while the spot price was $64.00. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $69,509 in premium paid
Strike Price: $67.50
Analysis: With 25 days to expiry, ADM call buyers are positioning for near-term upside. The out-of-the-money calls highlight expectations of strength into September.


Red Cat Holdings (RCAT)
Sentiment: Bullish
Options Activity: Bought calls expiring January 16, 2026, with a strike price of $10, while the spot price was $10.22.
Total Values: $126,214 in premium paid
Strike Price: $10
Analysis: With 144 days to expiry, this at-the-money call buying reflects bullish sentiment. The activity underscores confidence in RCAT holding and building momentum into 2026.


SharpLink Gaming Ltd. (SBET)
Sentiment: Bullish
Options Activity: Sold puts expiring November 21, 2025, with a strike price of $19, while the spot price was $20.23. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $1,745,740 in premium collected
Strike Price: $19
Analysis: With 88 days to expiry, the put selling reflects confidence that SBET will remain above $19. The large premium collected underscores bullish conviction.


ACM Research Inc. (ACMR)
Sentiment: Bullish
Options Activity: Bought calls expiring February 20, 2026, with a strike price of $29, while the spot price was $29.20. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $1,241,739 in premium paid
Strike Price: $29
Analysis: With 179 days to expiry, this aggressive call buying reflects bullish sentiment. The size relative to prior open interest highlights strong conviction in sustained upside.


GoPro Inc. (GPRO)
Sentiment: Bullish
Options Activity: Bought calls expiring April 17, 2026, with a strike price of $2, while the spot price was $1.28. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $1,675,770 in premium paid
Strike Price: $2
Analysis: With 235 days to expiry, the deep in-the-money call buying highlights aggressive bullish positioning. The premium commitment and fresh activity suggest strong conviction in a rebound.


Progressive Corporation (PGR)
Sentiment: Bullish
Options Activity: Sold puts expiring January 16, 2026, with a strike price of $250, while the spot price was $245.38. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $1,605,000 in premium collected
Strike Price: $250
Analysis: With 144 days to expiry, put selling slightly above the spot price reflects confidence in Progressive holding support. The premium collected indicates bullish sentiment and fresh positioning.


Navitas Semiconductor Corp. (NVTS)
Sentiment: Bullish
Options Activity: Bought calls expiring March 20, 2026, with a strike price of $7, while the spot price was $6.36. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $473,920 in premium paid
Strike Price: $7
Analysis: With 207 days to expiry, the call buying signals expectations for significant upside. The activity above prior open interest confirms fresh bullish positioning.


U.S. Antimony Corporation (UAMY)
Sentiment: Bullish
Options Activity: Heavy call buying across multiple expiries at $5 and $7.50 strikes, with spot prices ranging from $4.59 to $4.90. Several trades exceeded prior open interest, suggesting new positioning.
Total Values: Over $790,000 in premium paid
Strike Price: $5 and $7.50
Analysis: With expiries ranging from 25 to 88 days, the broad accumulation of calls underscores aggressive bullish sentiment. The scale of positioning highlights strong confidence in near-term upside.


Bit Digital (BTBT)
Sentiment: Bullish
Options Activity: Bought calls expiring September 12 and September 19, 2025, with a strike price of $3, while the spot price was $2.86. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $96,247 in premium paid
Strike Price: $3
Analysis: With 18 to 25 days to expiry, the near-term call activity reflects speculative bullish bets for immediate upside. The fresh positioning highlights conviction on short-term strength.


Interactive Brokers Group (IBKR)
Sentiment: Bullish
Options Activity: Bought calls expiring August 29, 2025, with strikes at $63–$64, while the spot price was $62.72. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $239,406 in premium paid
Strike Price: $63–$64
Analysis: With only 4 days to expiry, this aggressive short-term call buying highlights immediate bullish expectations. The large premium outlay signals conviction in a quick move higher.


Canadian Natural Resources (CNQ)
Sentiment: Bullish
Options Activity: Bought calls expiring March 20, 2026, with a strike price of $25, while the spot price was $30.97. The trade size exceeded prior open interest, suggesting new positioning. Also included put selling at $42.50.
Total Values: $2,565,515 in combined premium (paid and collected)
Strike Price: $25 and $42.50
Analysis: With 207 to 297 days to expiry, the mix of call buying and put selling highlights strong confidence in Canadian Natural Resources. The fresh positioning and premium flow reinforce robust bullish sentiment.


Nutrien Ltd. (NTR)
Sentiment: Bullish
Options Activity: Bought calls expiring January 16, 2026, with a strike price of $60, while the spot price was $58.27.
Total Values: $306,380 in premium paid
Strike Price: $60
Analysis: With 144 days to expiry, the out-of-the-money call buying reflects positioning for continued strength. The size of activity underscores confidence in upside momentum.


HIVE Digital Technologies (HIVE)
Sentiment: Bullish
Options Activity: Bought calls across multiple expiries ranging from September 2025 to January 2026, with strikes between $2.50 and $4, while the spot price was around $2.64. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $227,026 in premium paid
Strike Price: $2.50–$4
Analysis: With expiries ranging from 4 to 144 days, the diversified call buying shows confidence in both near-term and medium-term upside. The premium flow indicates fresh bullish positioning.


Planet Labs PBC (PL)
Sentiment: Bullish
Options Activity: Bought calls expiring September 2025, October 2025, and January 2026, with strike prices of $7–$9, while the spot price was $7.10. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $138,652 in premium paid
Strike Price: $7–$9
Analysis: With expiries spanning from 11 to 144 days, the broad call buying underscores bullish sentiment. The mix of short-term and longer-dated positioning indicates confidence in sustained upside.


COMPASS Pathways plc (CMPS)
Sentiment: Bullish
Options Activity: Bought calls expiring September 19, 2025, with a strike price of $5, while the spot price was $4.62.
Total Values: $230,520 in premium paid
Strike Price: $5
Analysis: With 25 days to expiry, the call buying reflects bullish bets on near-term recovery. The repeated flow reinforces confidence in upward movement.


Roblox Corporation (RBLX)
Sentiment: Bullish
Options Activity: Bought calls expiring December 19, 2025, with a strike price of $150, while the spot price was $124.71. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $624,860 in premium paid
Strike Price: $150
Analysis: With 116 days to expiry, the out-of-the-money call buying shows conviction in strong upside potential into year-end. The size of activity underscores robust bullish sentiment.


Applovin Corporation (APP)
Sentiment: Bullish
Options Activity: Sold puts expiring August 29, 2025, with a strike price of $442.50, while the spot price was $449.58. The trade size exceeded prior open interest, suggesting new positioning.
Total Values: $342,828 in premium collected
Strike Price: $442.50
Analysis: With only 4 days to expiry, the put selling reflects confidence that Applovin will remain above this level. The fresh positioning and premium collected underscore bullish conviction.


Tickers: IRBT, DENN, S, CORZ, UMAC, FCX, APLD, INTC, AEO, MNDY, SOUN, USAR, TSLA, ASPI, BULL, SLS, SKE, ADM, RCAT, SBET, ACMR, GPRO, PGR, NVTS, UAMY, BTBT, IBKR, CNQ, NTR, HIVE, PL, CMPS, RBLX, APP


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

Cerus Corp (CERS)
Buyer: Gregory Dean A. (Non-Executive Director)
Shares Purchased: 25,000 (+40.5%)
Price: USD 1.25
Total Value: USD 31,250

Infinity Natural Resources Inc (INR)
Buyer: Arnold Zack David (Executive Director)
Shares Purchased: 5,500 (+inf%)
Price: USD 13.88
Total Value: USD 76,362

Horizon Bancorp Inc (HBNC)
Buyer: Prame Thomas M (Chief Executive Officer, Officer)
Shares Purchased: 1,034 (+2.2%)
Price: USD 14.50
Total Value: USD 14,993

Horizon Bancorp Inc (HBNC)
Buyer: Blackhurst Eric P. (Non-Executive Director)
Shares Purchased: 1,724 (+7.0%)
Price: USD 14.50
Total Value: USD 24,998

Horizon Bancorp Inc (HBNC)
Buyer: Ahern Kevin (Non-Executive Director)
Shares Purchased: 6,896 (+69.0%)
Price: USD 14.50
Total Value: USD 99,992

Horizon Bancorp Inc (HBNC)
Buyer: Samuels Michele Annette (Non-Executive Director)
Shares Purchased: 1,724 (+52.9%)
Price: USD 14.50
Total Value: USD 24,998

Horizon Bancorp Inc (HBNC)
Buyer: Stewart John R (EVP – Chief Financial Officer, Officer)
Shares Purchased: 1,724 (+2.2%)
Price: USD 14.50
Total Value: USD 24,998

Latham Group Inc (SWIM)
Buyer: Dellaquila Frank J (Non-Executive Director)
Shares Purchased: 5,000 (+29.7%)
Price: USD 8.24
Total Value: USD 41,200

SmartRent Inc (SMRT)
Buyer: Pinczuk Ana G. (Non-Executive Director)
Shares Purchased: 67,094 (+233.9%)
Price: USD 1.48
Total Value: USD 99,111

Plus Therapeutics Inc (PSTV)
Buyer: Lenk Robert P (Non-Executive Director)
Shares Purchased: 110,000 (+375.1%)
Price: USD 0.49
Total Value: USD 53,779

Colfax Corp (CFX)
Buyer: Tandy Bradley J (SVP and Chief Legal Officer, Officer)
Shares Purchased: 3,200 (+7.9%)
Price: USD 31.41
Total Value: USD 100,512

ASA Gold and Precious Metals Ltd (ASA)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 4,620 (+0.1%)
Price: USD 35.97
Total Value: USD 166,181

US Insider Sales

Amneal Pharmaceuticals Inc (AMRX)
Seller: Shah Nikita (Executive Vice President, Officer)
Shares Sold: 114,492 (-42.8%)
Price: USD 9.66
Total Value: USD 1,105,993

Telos Corp (TLS)
Seller: Jacobs Bradley W. (Non-Executive Director)
Shares Sold: 25,000 (-11.7%)
Price: USD 6.26
Total Value: USD 156,500

Asbury Automotive Group Inc (ABG)
Seller: Milstein Jed (SVP & CHRO, Officer)
Shares Sold: 1,132 (-9.1%)
Price: USD 253.26
Total Value: USD 286,690

Asbury Automotive Group Inc (ABG)
Seller: Calloway Dean (SVP, General Counsel & Sec, Officer)
Shares Sold: 400 (-7.0%)
Price: USD 254.40
Total Value: USD 101,760

Visteon Corp (VC)
Seller: Scricco Francis M (Non-Executive Director)
Shares Sold: 4,338 (-60.7%)
Price: USD 120.53
Total Value: USD 522,859

Travelzoo (TZOO)
Seller: Azzurro Capital Inc (Large shareholder)
Shares Sold: 22,500 (-0.6%)
Price: USD 10.04
Total Value: USD 225,900

Intapp Inc (INTA)
Seller: Morton David H Jr (Chief Financial Officer, Officer)
Shares Sold: 5,033 (-12.0%)
Price: USD 43.14
Total Value: USD 217,105

Intapp Inc (INTA)
Seller: Morton David H Jr (Chief Financial Officer, Officer)
Shares Sold: 4,767 (-10.2%)
Price: USD 42.80
Total Value: USD 204,004

Service Corporation International (SCI)
Seller: Ryan Thomas L (CEO & Chairman, Executive Director)
Shares Sold: 17,520 (-1.8%)
Price: USD 81.91
Total Value: USD 1,435,016

Consolidated Water Co Ltd (CWCO)
Seller: Whittaker Raymond (Non-Executive Director)
Shares Sold: 4,755 (-82.6%)
Price: USD 33.35
Total Value: USD 158,579

ANI Pharmaceuticals Inc (ANIP)
Seller: Davis Krista (SVP, Chief HR Officer, Officer)
Shares Sold: 1,763 (-2.7%)
Price: USD 91.10
Total Value: USD 160,609

Allegro Microsystems Inc (ALGM)
Seller: Webster Roald Graham (VP, Chief Accounting Officer, Officer)
Shares Sold: 8,266 (-32.3%)
Price: USD 32.81
Total Value: USD 271,193

Smith-Midland Corp (SMID)
Seller: Smith Rodney I (Large shareholder)
Shares Sold: 13,656 (-2.5%)
Price: USD 41.36
Total Value: USD 564,812

Applied Industrial Technologies Inc (AIT)
Seller: Loring Kurt W. (VP-Chief HR Officer, Officer)
Shares Sold: 8,523 (-30.7%)
Price: USD 267.06
Total Value: USD 2,276,152

Amphenol Corp (APH)
Seller: Lampo Craig A (SR VP & CFO, Officer)
Shares Sold: 199,848 (-61.4%)
Price: USD 110.43
Total Value: USD 22,069,674

Mastercard Inc (MA)
Seller: Ling Hai (President, AP, Europe, MEA, Officer)
Shares Sold: 4,485 (-14.8%)
Price: USD 600.00
Total Value: USD 2,691,000

Progressive Corp (PGR)
Seller: Callahan Patrick K (Personal Lines President, Officer)
Shares Sold: 6,232 (-22.4%)
Price: USD 249.96
Total Value: USD 1,557,749

Progressive Corp (PGR)
Seller: Murphy John Jo (Claims President, Officer)
Shares Sold: 2,218 (-4.6%)
Price: USD 250.78
Total Value: USD 556,230

Dutch Bros Inc (BROS)
Seller: DM Trust Aggregator, LLC (Large shareholder)
Shares Sold: 567,738 (-21.8%)
Price: USD 65.36
Total Value: USD 37,107,185

Dutch Bros Inc (BROS)
Seller: Boersma Travis (Executive Chairman of Board, Executive Director, Large shareholder)
Shares Sold: 357,046 (-21.8%)
Price: USD 65.36
Total Value: USD 23,336,419

Genpact Ltd (G)
Seller: Vashisht Riju (Senior Vice President, Officer)
Shares Sold: 17,608 (-11.9%)
Price: USD 45.61
Total Value: USD 803,101

Estee Lauder Companies Inc (EL)
Seller: Barshefsky Charlene (Non-Executive Director)
Shares Sold: 3,723 (-6.9%)
Price: USD 91.07
Total Value: USD 339,054

Graco Inc (GGG)
Seller: Merengo Claudio (Pres, Global Powder Division, Officer)
Shares Sold: 9,132 (-31.7%)
Price: USD 87.11
Total Value: USD 795,492


CDN Insider Purchases

Auscan Resources Inc (ACR.H)
Buyer: Henstridge, David Alan (Director of Issuer, Non-Executive Director)
Shares Purchased: 65,000 (+27.1%)
Price: CAD 0.15
Total Value: CAD 9,750

XXIX Metal Corp (XXIX)
Buyer: Stewart, Stephen Alexander Nelson (Director of Issuer, Senior Officer of Issuer, Executive Director)
Shares Purchased: 1,352,500 (+15.3%)
Price: CAD 0.08
Total Value: CAD 108,200

Golden Pursuit Resources Ltd (GDP)
Buyer: McClay, Kathleen (10% Security Holder of Issuer, Large shareholder)
Shares Purchased: 7,000 (+0.1%)
Price: CAD 0.17
Total Value: CAD 1,190

Golden Pursuit Resources Ltd (GDP)
Buyer: McClay, Kathleen (10% Security Holder of Issuer, Large shareholder)
Shares Purchased: 5,000 (+0.1%)
Price: CAD 0.18
Total Value: CAD 900

BetterLife Pharma Inc (BETR)
Buyer: Sangha, Steven (10% Security Holder of Issuer, Director of Issuer, Non-Executive Director, Large shareholder)
Shares Purchased: 49,000 (+0.2%)
Price: CAD 0.09
Total Value: CAD 4,165

CDN Insider Sales

No insider sales were reported for this date.


Institutional Spotlight: Asset Entities Inc. (ASST)

Asset Entities Inc. (ASST) reports 41 institutional holders, including 35 long-only funds, 3 short-only, and 3 long/short. Institutions collectively report positions covering 28.7 million shares compared with 15.6 million shares outstanding, a figure that reflects the impact of short lending and synthetic exposure. This represents an increase of 28.6 million shares from the previous quarter. Major reporting holders include Millennium Management LLC, Hudson Bay Capital Management LP, Pantera Capital Partners LP, Steadfast Capital Management LP, Anson Funds Management LP, Susquehanna International Group LLP, Vanguard Group Inc, UBS Group AG, and Geode Capital Management LLC. The data indicates a broad expansion of reported positions across both hedge funds and asset managers.


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

LASE, AREC, ONDS, SBET, UPXI, PGY, ZM, SHLS, WYY, URTY, CRML, AS, OTLK, RGNX, VVPR, COSM, AIRS, AMLX, FHTX, THM, BFRI, GNLX, DAR, COMP, IREN, RKT, SNWV, AMBA, OSCR, TTMI, GANX, PHAT, SLS, COOP, UPST, KALA, QXO, RAIL, BE, UWMC, CIFR, ARRY, ATYR, FOA, LTBR, U, DFH, CMPX, AAL, FFWM, QUBT, BDTX, RIOT, SATS, TBBK, UWM, MPV, LPX, INSG, LYFT, GEVO, Z, ATRA, MEG, NXT, MGNI, NCLH, NN, ST, UHG, SINT, SWIM, ASST, IONQ, BETR, CMPS, CCL, ZETA, OPRX, DAVE, CRGO, XYZ, TLSA, DNA, AFRM, VRDN, DAL, SITE, TEX, AEVA, WGS, CIA, ANGI, FIBK, COIN, CFFN, NRIM, GTM, MATH, FUNC, ANDE, STM, LPTH, PRCH, DORM, KW, TSLA, MOFG, CARG, WOOF, PFSI, CWBC, TMCI, RCL, SIG, KN, PK, CLNN, EBC, STRW, BHRB, LRMR, UAL, INDB, LEG, SRFM, ONB, FOR, SOC, NUVB, MCB, CURI, NATL, FXNC, ENVA, TOL, XMTR, HYMC, BSVN, KOLD, ANEB, AMPL, WBS, FUTU, PRTH, DOCS, BDC, GPI, CVNA, INTC, DERM, STLD, TER, APP, LUV, APTV, FNLC, BIRK, AVTX, USAU, AVT, FSLR, MD, UMAC, CVBF, MCHP, PEN, SIRI, CBU, WCC, YMM, H, MGRC, WSBC, TRU, FFIN, RDVT, BKU, VSTM, FRME, LAZ, FCF, PIPR, LEN, PI, PFS, STEP, XHB, BRKL, FLEX, MGM, NWBI, HOVR, ORRF, ALLT, CELU, NIC, TEM, M, OMF, ZYME, CRVS, APA, HVT, NXPI, SWKH, DBVT, MWA, POWL, CFG, HOMB, PR, YOU, ARW, LIF, SMG, DGII, TDUP, CMC, BRBS, OSW, EXPE, PBI, OBT, GNS, III, TSHA, BOKF, BG, BXP, UPRO, CTMX, MSGE, PSX, SHIP, MAR, SFNC, SGHC, TRIP, BLD, ORKA, QRVO, COF, BX, NNI, OVV, GRRR, LSCC, CAT, BUSE, PRM, AMPG, WING, TFC, RBRK, CIM, BABA, PVLA, COYA, FBTC, SGI, FR, IESC, MOD, PCAR, AN, AES, WBD, BTCW, SANM, WVE, INTR, MELI, NEPH, ROAD, BRRR, OLMA, RSI, SHOP, CBNA, PNC, UAMY, ATMU, AAP, CMA, ZWS, HLMN, KEYS, VTWO, COFS, DHR, GTES, GSAT, IAS, VRRM, BSGM, REAX, PAYC, ARQ, BROS, HD, CRC, RNA, MNMD, CFR, DVN, WMG, PAY, DD, SNX, LASR, BCAL, GLNG, VIK, WRBY, ITT, F, GS, VLO, ATAT, TROW, PLD, REVG, AXP, BEN, KYMR, PCT, IMNM, STNE, FDMT, EGP, INBX, JHG, LNSR, ROK, SMTC, CDE, GTN, SGRY, MTD, VTYX, PDD, CATX, PTCT, TMO, AG, EQH, BLFS, SE, FINV, GM, TOST, CMRE, CNQ, SEE, CSGP, ELTX, MAMA, MLTX, GOOGL, GO, LOW, WSM, OUST, AHCO, GOLF, HUBB, AMZN, HLT, WDC, BWA, WYNN, HAS, SRDX, GOOG, QLD, RS, VEEV, FLS, MIR, SSO, CRUS, KTOS, STX, COGT, PENG, ADPT, VIAV, GCI, CMPO, HPE, TIXT, TRMB, CRDO, VCTR, BN, OXY, BGC, HOOD, NMIH, EMR, MPWR, RBC, TTEK, MMM, ENTA, SPR, STT, ITRI, SYF, ACT, MITT, FIGS, LTH, UBER, TEL, FNMA, LEVI, SGHT, TXN, FMCC, AXGN, HL, LWAY, MCHI, ETNB, MDV, FCNCA, SRRK, AOS, ADCT, CMI, PENN, MIND, PTGX, NWSA, FXO, BAC, SNDX, BA, CRBG, HROW, QCOM, TERN, HON, SHW, SEG, BNL, TPC, SR, GDMN, PRIM, GRAB, JCI, CNM, CRH, DKNG, CALX, HIW, BSY, AMP, BNTC, DIS, WAB, NTRA, SPXC, GGZ, PFGC, EOG, SRE, WINA, NKTX, BTO, GNRC, SWX, JAZZ, ADI, COP, LLYVA, SLV, POR, ATRO, BLK, MTSI, PX, SON, CMCL, XLE, BP, DXCM, WTV, LBTYA, TIGO, UGL, LYV, EYPT, NU, ADT, APD, AKRO, CHRW, WEX, BURL, DKS, AVA, CPNG, XOM, MDGL, V, NCZ, TBPH, GENI, MRCY, TIL, TLSI, SPG, AQST, ULTA, APLD, TS, MDT, PCRX, VWO, QGRW, FDD, HUM, CVX, SSNC, XLF, JPM, LITE, UNFI, VXUS, WFC, HOLX, VGK, DDOG, GLPI, ICVT, VUG, OUT, YEXT, ELF, AUPH, RYTM, FWONK, STK, PSN, FLUT, MRK, XEL, JEQ, VITL, SRAD, CDC, CWB, SNY, COMM, PSBD, CYBR, NESR, TPG, VTV, OCUL, MTCH, GNT, GLW, FMS, ORI, DTH, EEA, OGE, LNT, MCO, AAPL, MRUS, CXDO, ARQT, ETON, HMN, NVGS, USCI, HCI, TARS, BMEZ, PTA, XGN, AER, MA, MEGI, SPPP, TATT, WTM, AXSM, RDWR, CYD, MKL, INDV, ROST, FTAI, NBXG, TRML, FXE, ASMB, CHMI, AMT, VNRX, FXY, IHD

 

Canadian Institutional Momentum Watchlist

EXPORT – Canadian Institutional Momentum Watchlist

USA.TO, EFR.TO, URC.TO, URE.TO, NXE.TO, NUAG.TO, CVE.TO, LGO.TO, DPRO.CA, VHI.TO, GLXY.TO, DML.TO, GRSL.V, BLDP.TO, IAU.TO, EMX.V, MX.TO, TFII.TO, HITI.V, PTK.V, PNE.TO, BTE.TO, DOO.TO, JOY.TO, MOGO.TO, WRN.TO, PD.TO, TAL.TO, GOLD.TO, CCO.TO, PSI.TO, ATZ.TO, WFG.TO, FM.TO, RCH.TO, CG.TO, VET.TO, GGD.TO, GOOS.TO, OBE.TO, LSPD.TO, BDGI.TO, ATH.TO, HBM.TO, CS.TO, CEU.TO, ACB.TO, LI.V, MG.TO, SGY.TO, ADEN.TO, DRX.TO, PTM.TO, FTG.TO, PHX.TO, ELVA.TO, TOT.TO, KEL.TO, SHLE.TO, CFP.TO, AYA.TO, TXG.TO, BDI.TO, IMG.TO, LUN.TO, BAM.TO, BITF.TO, ECN.TO, MAL.TO, IFP.TO, IMO.TO, AG.TO, LNR.TO, ASM.TO, AD/UN.TO, NOU.V, ONEX.TO, CNQ.TO, AAUC.TO, OGC.TO, CNL.TO, VLE.TO, CJ.TO, MTY.TO, NDM.TO, CIGI.TO, DBM.TO, SDE.TO, PIF.TO, AC.TO, CMG.TO, BB.TO, WEF.TO, BN.TO, TWM.TO, LMN.V, AAV.TO, ERO.TO, FVI.TO, WJX.TO, GIL.TO, SPB.TO, ONC.TO, CF.TO, ABX.TO, LAR.TO, TOY.TO, GRT/UN.TO, MTA.V, SII.TO, PRL.TO, POU.TO, BEPC.TO, AIM.TO, AP/UN.TO, TVE.TO, AIF.TO, NVA.TO, STN.TO, REI/UN.TO, NFG.V, SU.TO, REAL.TO, ARG.TO, CTC/A.TO, SVM.TO, IPO.TO, AGF/B.TO, CGY.TO, CRON.TO, GEI.TO, BTO.TO, EDR.TO, MFC.TO, AGI.TO, NWH/UN.TO, KNT.TO, FAR.TO, SIS.TO, CP.TO, EQB.TO, MDI.TO, EXE.TO, ITR.V, LNF.TO, SES.TO, EIF.TO, RUS.TO, ORA.TO, KMP/UN.TO, SGD.V, CNR.TO, MTL.TO, BMO.TO, OGI.TO, TCW.TO, FSZ.TO, CVO.TO, FRU.TO, IAG.TO, ELD.TO, LIF.TO, PAAS.TO, CAS.TO, BNS.TO, EFX.TO, WDO.TO, FNV.TO, ARE.TO, MEG.TO, NG.TO, TIH.TO, HR/UN.TO, TKO.TO, NXR/UN.TO, NFI.TO, WSP.TO, ARTG.V, III.TO, NGD.TO, DCBO.TO, DRM.TO, SKE.TO, DPM.TO, ARIS.TO, MI/UN.TO, MAG.TO, ODV.V, PET.TO, NPI.TO, ELF.TO, SSL.TO, WPM.TO, SRU/UN.TO, Y.TO, GAU.TO, AFN.TO, EDV.TO, LUG.TO, FSV.TO, TFPM.TO, RY.TO, PKI.TO, SSRM.TO, FCR/UN.TO, ALA.TO, BNE.TO, SEA.TO, EQX.TO, MRE.TO, IGM.TO, NA.TO, PEY.TO, CRR/UN.TO, IIP/UN.TO, TD.TO, EFN.TO, DXT.TO, TF.TO, QBR/B.TO, FFH.TO, OLA.TO, OR.TO, SCR.TO, GWO.TO, PBH.TO, CHP/UN.TO, CJT.TO, PPL.TO, CU.TO, FC.TO, TPZ.TO, LB.TO, KEY.TO, MFI.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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