SYS Research – Unusual Activity – Monday, January 26, 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.

Just a friendly reminder: Please pay close attention to the Daily Setups and Workspace scan results for potential future additions to stay ahead of the game.

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 2026-1-26

The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2026-1-26. 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.

Apple Inc. (AAPL)
Sentiment: Bullish – heavy call buying
Options Activity: Institutions showed strong bullish intent through substantial call buying, complemented by some put selling indicating confidence in upward movement.
Key Totals: Total premium on calls bought at $65,417,688, with premium collected from puts sold at $10,807,181.
Analysis: The data reflects dominant bullish flow with significant net premium, pointing to institutional optimism based on the aggregate activities.


Taiwan Semiconductor Manufacturing Company Limited (TSM)
Sentiment: Bullish – significant put selling
Options Activity: Institutions focused on put selling to generate income, suggesting a view that downside risks are limited, with minimal call activity.
Key Totals: Premium collected from puts sold at $20,903,969, outweighing total premium on calls sold at $12,720.
Analysis: The high put selling premium dominates, indicating bullish positioning through premium collection on downside protection.


Meta Platforms, Inc. (META)
Sentiment: Bullish – call buying dominance
Options Activity: Institutions engaged in notable call buying while also selling calls and puts, but the buying side prevailed in establishing bullish momentum.
Key Totals: Total premium on calls bought at $27,285,476, with premium collected from puts sold at $3,916,483.
Analysis: Net positive flow arises from call purchases exceeding other activities, showcasing institutional favoritism toward gains.


Palantir Technologies Inc. (PLTR)
Sentiment: Bullish – put selling for income
Options Activity: Institutions prioritized put selling to collect premiums, alongside balanced call trades, reflecting a strategy betting against sharp declines.
Key Totals: Premium collected from puts sold at $17,959,580, surpassing total premium on calls bought at $1,912,378.
Analysis: The emphasis on put sales contributes to the positive net, underlining a bullish stance via income generation.


Abbott Laboratories (ABT)
Sentiment: Bullish – aggressive put selling
Options Activity: Institutions heavily sold puts for premium, indicating willingness to buy the stock at lower levels if needed, with light call involvement.
Key Totals: Premium collected from puts sold at $20,373,240, far exceeding total premium on puts bought at $7,365,390.
Analysis: Dominant put selling drives the bullish net premium, based purely on the flow aggregates.


Carvana Co. (CVNA)
Sentiment: Bullish – strong call buying
Options Activity: Institutions pursued heavy call buying with some call selling, while minimal put buying suggested limited bearish concerns.
Key Totals: Total premium on calls bought at $25,822,540, against total premium on puts bought at $606,200.
Analysis: Call-focused activity results in substantial net positive, reflecting institutional bullish leanings from the data.


BHP Group Limited (BHP)
Sentiment: Bullish – call buying emphasis
Options Activity: Institutions concentrated on call buying, with negligible call selling and light put activity, pointing to upside speculation.
Key Totals: Total premium on calls bought at $8,175,370, with minimal premium on puts bought at $217,124.
Analysis: The call premium heavily outweighs puts, contributing to a clear bullish signal in the flow.


Broadcom Inc. (AVGO)
Sentiment: Bullish – put selling outweighing buys
Options Activity: Institutions sold puts extensively for premium, while managing call positions, indicating a bullish hedge against downside.
Key Totals: Premium collected from puts sold at $10,655,140, compared to total premium on puts bought at $2,332,347.
Analysis: Net flow benefits from put sales, establishing a bullish institutional position per the aggregates.


First Majestic Silver Corp. (AG)
Sentiment: Bullish – call trading with net buys
Options Activity: Institutions balanced call buying and selling but leaned toward buying, supplemented by put selling for additional bullishness.
Key Totals: Total premium on calls bought at $20,760,966, with premium collected from puts sold at $1,863,699.
Analysis: The call buy premium exceeds sales, combined with put sales, yielding a positive net indicative of bullish flow.


Micron Technology, Inc. (MU)
Sentiment: Bullish – call buying lead
Options Activity: Institutions favored call buying over selling, with minor put buying and negligible put selling, focusing on potential upside.
Key Totals: Total premium on calls bought at $14,488,215, against total premium on puts bought at $845,383.
Analysis: Strong call purchases drive the net positive, highlighting bullish institutional activity.


Oracle Corporation (ORCL)
Sentiment: Mixed – balanced call and put flows
Options Activity: Institutions showed two-way action with call buying and put buying, offset by put selling, suggesting hedging amid uncertainty.
Key Totals: Total premium on calls bought at $12,712,697, with premium collected from puts sold at $14,349,913 but high puts bought at $18,237,067.
Analysis: The flows nearly offset, resulting in moderate net positive from mixed institutional positioning.


CoreWeave, Inc. (CRWV)
Sentiment: Bullish – call buying with put sales
Options Activity: Institutions combined call buying with put selling, while handling put buys, overall tilting toward bullish strategies.
Key Totals: Total premium on calls bought at $11,653,881, with premium collected from puts sold at $2,218,977.
Analysis: Net gains from calls and put sales reflect bullish dominance in the data.


Alphabet Inc. (GOOGL)
Sentiment: Bullish – put selling support
Options Activity: Institutions sold puts for premium alongside call trades, indicating confidence in stability despite some put buying.
Key Totals: Premium collected from puts sold at $4,831,748, offsetting total premium on puts bought at $2,945,737.
Analysis: The put selling contributes to the positive net, underscoring bullish elements.


ASML Holding N.V. (ASML)
Sentiment: Bullish – call selling offset by buys
Options Activity: Institutions bought calls modestly but sold more premium on calls, with no put activity noted, still netting positive.
Key Totals: Total premium on calls bought at $4,352,400, against total premium on calls sold at $7,994,070.
Analysis: Despite higher call sell premium, the overall net remains positive, showing mild bullish flow.


Sandisk Corporation (SNDK)
Sentiment: Bullish – call buying focus
Options Activity: Institutions targeted call buying with some call selling, absent put trades, emphasizing upside potential.
Key Totals: Total premium on calls bought at $847,500, with total premium on calls sold at $4,390,000.
Analysis: The data shows net positive from call activities, indicating bullish institutional interest.


The Boeing Company (BA)
Sentiment: Bullish – call buying prevalence
Options Activity: Institutions leaned into call buying while selling calls and puts lightly, suggesting speculative bullish plays.
Key Totals: Total premium on calls bought at $4,232,551, with premium collected from puts sold at $349,063.
Analysis: Call buys dominate the net, pointing to bullish sentiment from the aggregates.


AeroVironment, Inc. (AVAV)
Sentiment: Bullish – pure call buying
Options Activity: Institutions exclusively bought calls, with no other activity, directly signaling strong upside expectations.
Key Totals: Total premium on calls bought at $3,084,500.
Analysis: Sole focus on call purchases yields a clear bullish net premium.


Rio Tinto Group (RIO)
Sentiment: Bullish – heavy call buying
Options Activity: Institutions primarily bought calls, with minimal call selling and no significant put involvement.
Key Totals: Total premium on calls bought at $2,632,711, against minimal premium on calls sold at $30,150.
Analysis: Overwhelming call buy premium drives the positive net, reflecting bullish flow.


Zoom Communications, Inc. (ZM)
Sentiment: Bullish – call buying with put support
Options Activity: Institutions bought calls substantially, aided by put selling, while minimal put buying indicated low downside worry.
Key Totals: Total premium on calls bought at $2,480,182, with premium collected from puts sold at $317,763.
Analysis: Combined call buys and put sales contribute to the bullish net.


Datadog, Inc. (DDOG)
Sentiment: Bullish – exclusive call activity
Options Activity: Institutions focused solely on call trades, with buying outweighing selling, targeting growth prospects.
Key Totals: Total premium on calls bought at $3,396,285, against total premium on calls sold at $939,862.
Analysis: Net from call buys establishes a bullish institutional stance.


V.F. Corporation (VFC)
Sentiment: Bullish – put selling dominance
Options Activity: Institutions heavily sold puts for premium, with minor call and put buying, betting on price support.
Key Totals: Premium collected from puts sold at $2,319,071, surpassing total premium on calls bought at $42,585.
Analysis: Strong put sales lead the positive net, indicating bullish premium collection strategy.


PVH Corp. (PVH)
Sentiment: Bullish – pure call buying
Options Activity: Institutions engaged only in call buying, with no other trades, straightforwardly pursuing upside.
Key Totals: Total premium on calls bought at $2,148,330.
Analysis: Exclusive call premium results in a bullish net flow.


Tickers: AAPL, TSM, META, PLTR, ABT, CVNA, BHP, AVGO, AG, MU, ORCL, CRWV, GOOGL, ASML, SNDK, BA, AVAV, RIO, ZM, DDOG, VFC, PVH

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 2026-1-26

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.

United States Copper Index Fund, LP (CPER)
Sentiment: Bullish
Options Activity: Calls bought across multiple expiries (July 2026, April 2026, March 2026), strikes very close to spot (~37), with sizes exceeding prior open interest on several sweeps and splits; premiums paid total approximately $901,599.
Strike Price: 37
Analysis: Buyers paid significant premiums for calls expiring in about five and a half months (July 17, 2026), three months (April 17, 2026), and nearly two months (March 20, 2026), with strikes essentially at-the-money relative to spot price around 37. Trade sizes exceeded prior open interest, indicating fresh bullish positioning as buyers establish long call exposure expecting upward movement in the underlying.


Ocean Power Technologies, Inc. (OPTT)
Sentiment: Bullish
Options Activity: Calls bought (August 2026 and March 2026 far out-of-the-money), puts sold (August 2026 far out-of-the-money, well below spot), sizes exceeding prior open interest; net premiums paid on calls, collected on puts, with overall bullish tilt from call aggression and put premium collection.
Strike Price: 2 (calls), 0.5 (puts)
Analysis: Buyers aggressively purchased far out-of-the-money calls expiring in about seven months (August 21, 2026) and two months (March 20, 2026), strikes well above spot around 0.6-0.7, with sizes exceeding prior open interest and substantial premiums paid, showing new bullish bets on significant upside. Sellers collected premiums on far out-of-the-money puts expiring in seven months, strikes much lower than spot, indicating bullish confidence as premium collection occurs far from current levels without expecting breach.


BHP Group Limited (BHP)
Sentiment: Bullish
Options Activity: Calls bought (January 2027), strikes above spot, sizes exceeding prior open interest on multi-sweeps and trades; premiums paid total over $4 million across legs.
Strike Price: 80
Analysis: Buyers paid large premiums for calls expiring in about one year (January 15, 2027), strikes well above spot around 69, with trade sizes exceeding prior open interest, reflecting new long positioning as participants establish bullish exposure expecting substantial appreciation in the underlying.


Applied Digital Corporation (APLD)
Sentiment: Bullish
Options Activity: Calls bought (February 2026), strike above spot, size exceeding prior open interest; premium paid $172,000.
Strike Price: 44
Analysis: Buyers paid premium for calls expiring in about 11 days (February 6, 2026), strike above spot around 40, with size exceeding prior open interest, indicating new bullish positioning expecting near-term upside.


Okta, Inc. (OKTA)
Sentiment: Bullish
Options Activity: Calls bought (June 2026), strike above spot, size exceeding prior open interest on multi-sweep; premium paid $592,857.
Strike Price: 110
Analysis: Buyers paid significant premium for calls expiring in about five months (June 18, 2026), strike well above spot around 91, with size exceeding prior open interest, showing fresh bullish bets on material appreciation.


Baxter International Inc. (BAX)
Sentiment: Bullish
Options Activity: Puts sold (February 2026), strikes below spot, sizes exceeding prior open interest; premiums collected total around $639,600 across legs.
Strike Price: 16
Analysis: Sellers collected premiums on puts expiring in about 25 days (February 20, 2026), strikes below spot around 20, with sizes exceeding prior open interest and premium collection implying bullish stance as sellers express confidence the underlying will stay above strikes.


V.F. Corporation (VFC)
Sentiment: Bullish
Options Activity: Puts sold across multiple blocks (February 2026), strikes below spot (17-17.5), sizes exceeding prior open interest on sweeps and trades; premiums collected total several million across the flow.
Strike Price: 17-17.5
Analysis: Sellers collected substantial premiums on puts expiring in about 25 days (February 20, 2026), strikes meaningfully below spot around 20, with large sizes exceeding prior open interest, indicating strong bullish conviction through premium collection far out-of-the-money without anticipation of downside breach.


PVH Corp. (PVH)
Sentiment: Bullish
Options Activity: Puts sold (September 2026), strikes below spot, sizes exceeding prior open interest; premiums collected total over $2 million across legs.
Strike Price: 50
Analysis: Sellers collected large premiums on puts expiring in about eight months (September 18, 2026), strikes well below spot around 61, with sizes exceeding prior open interest, reflecting bullish positioning as premium collection occurs distant from current levels.


TRX Gold Corporation (TRX)
Sentiment: Bullish
Options Activity: Calls bought (February 2026), strikes above spot, sizes exceeding prior open interest across multiple sweeps and trades; net premiums paid.
Strike Price: 1.5
Analysis: Buyers paid premiums for calls expiring in about 25 days (February 20, 2026), strikes above spot around 1.25-1.3, with sizes exceeding prior open interest, indicating new bullish exposure expecting near-term gains.


State Street SPDR S&P Metals & Mining ETF (XME)
Sentiment: Bullish
Options Activity: Calls bought (December 2026), strike above spot, size exceeding prior open interest; premium paid $1,024,730.
Strike Price: 170
Analysis: Buyers paid premium for calls expiring in about 11 months (December 18, 2026), strike well above spot around 130, with size exceeding prior open interest, showing fresh bullish positioning on the metals and mining sector.


Fortuna Mining Corp. (FSM)
Sentiment: Bullish
Options Activity: Calls bought (September 2026), strike well above spot, size exceeding prior open interest; premiums paid total around $410,588.
Strike Price: 20
Analysis: Buyers paid premiums for calls expiring in about eight months (September 18, 2026), strike significantly above spot around 12.3, with size exceeding prior open interest, reflecting new bullish bets on substantial upside.


Taiwan Semiconductor Manufacturing Company Limited (TSM)
Sentiment: Bullish
Options Activity: Puts sold (April 2026), strike slightly below spot, size exceeding prior open interest; premiums collected total over $7.8 million.
Strike Price: 330
Analysis: Sellers collected large premiums on puts expiring in about 81 days (April 17, 2026), strike very close but below spot around 333, with size exceeding prior open interest, indicating bullish confidence through premium collection near current levels.


Rio Tinto Group (RIO)
Sentiment: Bullish
Options Activity: Calls bought (January 2027), strike above spot, size exceeding prior open interest; premium paid $1,420,000.
Strike Price: 115
Analysis: Buyers paid premium for calls expiring in about one year (January 15, 2027), strike well above spot around 91, with size exceeding prior open interest, establishing new bullish exposure expecting appreciation.


Richardson Electronics, Ltd. (RELL)
Sentiment: Bullish
Options Activity: Calls bought (March 2026), strikes close to or slightly below spot, sizes exceeding prior open interest; premiums paid significant.
Strike Price: 10
Analysis: Buyers paid premiums for calls expiring in about two months (March 20, 2026), strikes near spot around 11, with sizes exceeding prior open interest, indicating fresh bullish positioning.


Brookfield Corporation (BN)
Sentiment: Bullish
Options Activity: Puts sold (July 2026), strike slightly below spot, size exceeding prior open interest; premium collected $129,320.
Strike Price: 45
Analysis: Sellers collected premium on puts expiring in about six months (July 17, 2026), strike close but below spot around 47, with size exceeding prior open interest, reflecting bullish view through premium collection without expecting downside breach.


UP Fintech Holding Limited (TIGR)
Sentiment: Bullish
Options Activity: Calls bought (February 2026), strikes slightly above spot, sizes exceeding prior open interest on multi-sweeps; premiums paid total approximately $80,894.
Strike Price: 9.5
Analysis: Buyers paid premiums for calls expiring in about 25 days (February 20, 2026), strikes slightly above spot around 9, with trade sizes exceeding prior open interest, indicating fresh bullish positioning as participants establish long call exposure expecting upward movement in the underlying.


Oracle Corporation (ORCL)
Sentiment: Bullish
Options Activity: Calls bought (January 2026), strikes above spot, sizes exceeding prior open interest on multi-sweeps and trades; premiums paid total over $4.5 million.
Strike Price: 195
Analysis: Buyers paid substantial premiums for calls expiring in about 4 days (January 30, 2026), strikes above spot around 184, with sizes exceeding prior open interest, reflecting new bullish bets on near-term appreciation.


GameStop Corp. (GME)
Sentiment: Bullish
Options Activity: Calls bought (February 2026 and March 2026), strikes above spot, sizes exceeding prior open interest; premiums paid total around $172,405.
Strike Price: 25.5-28
Analysis: Buyers paid premiums for calls expiring in about 11 days (February 6, 2026) and nearly two months (March 20, 2026), strikes above spot around 24-25, with sizes exceeding prior open interest, showing fresh bullish exposure expecting gains.


TeraWulf Inc. (WULF)
Sentiment: Bullish
Options Activity: Calls bought (April 2026), strikes above spot, sizes exceeding prior open interest across multiple trades; premiums paid total approximately $335,317.
Strike Price: 16
Analysis: Buyers paid premiums for calls expiring in about 81 days (April 17, 2026), strikes above spot around 14, with trade sizes exceeding prior open interest, indicating new long positioning as participants establish bullish exposure expecting appreciation.


Zoom Communications, Inc. (ZM)
Sentiment: Bullish
Options Activity: Calls bought (February 2026), strikes slightly above spot, sizes exceeding prior open interest on multi-sweeps and trades; premiums paid total around $465,849.
Strike Price: 97.5
Analysis: Buyers paid premiums for calls expiring in about 25 days (February 20, 2026), strikes close above spot around 95, with sizes exceeding prior open interest, reflecting fresh bullish positioning expecting upward movement.


Vizsla Silver Corp. (VZLA)
Sentiment: Bullish
Options Activity: Calls bought (March 2026 and December 2026), strikes above spot, sizes exceeding prior open interest; premiums paid total around $208,540.
Strike Price: 7.5-12.5
Analysis: Buyers paid premiums for calls expiring in about two months (March 20, 2026) and 11 months (December 18, 2026), strikes above spot around 7, with sizes exceeding prior open interest, establishing new bullish exposure on potential upside.


Applied Materials, Inc. (AMAT)
Sentiment: Bullish
Options Activity: Calls bought (April 2026), strike above spot, size exceeding prior open interest on multi-sweep; premium paid $1,106,790.
Strike Price: 330
Analysis: Buyers paid premium for calls expiring in about 81 days (April 17, 2026), strike above spot around 321, with size exceeding prior open interest, indicating fresh bullish bets on appreciation.


Apple Inc. (AAPL)
Sentiment: Bullish
Options Activity: Calls bought extensively (May 2026), strikes well above spot, sizes exceeding prior open interest on numerous multi-sweeps and trades; premiums paid total well over $20 million across the flow.
Strike Price: 285
Analysis: Buyers aggressively paid large premiums for calls expiring in about 109 days (May 15, 2026), strikes significantly above spot around 255, with trade sizes exceeding prior open interest, reflecting strong new bullish positioning as participants establish long call exposure expecting substantial upward movement.


Intel Corporation (INTC)
Sentiment: Bullish
Options Activity: Puts sold (May 2026), strike below spot, size exceeding prior open interest; premium collected $1,700,000.
Strike Price: 40
Analysis: Sellers collected premium on puts expiring in about 109 days (May 15, 2026), strike below spot around 43, with size exceeding prior open interest, indicating bullish confidence through premium collection as sellers express the underlying will remain above the strike.


Carvana Co. (CVNA)
Sentiment: Bullish
Options Activity: Calls bought (February 2026), strike well above spot, size exceeding prior open interest; premium paid $204,000.
Strike Price: 525
Analysis: Buyers paid premium for calls expiring in about 11 days (February 6, 2026), strike well above spot around 471, with size exceeding prior open interest, showing new bullish positioning expecting significant near-term upside.


Vistra Corp. (VST)
Sentiment: Bullish
Options Activity: Calls bought (May 2026), strikes above spot, sizes exceeding prior open interest on trades; premiums paid total around $1,518,750.
Strike Price: 170
Analysis: Buyers paid premiums for calls expiring in about 109 days (May 15, 2026), strikes above spot around 159, with sizes exceeding prior open interest, indicating fresh bullish exposure expecting appreciation in the underlying.


Tickers: CPER, OPTT, BHP, APLD, OKTA, BAX, VFC, PVH, TRX, XME, FSM, TSM, RIO, RELL, BN, TIGR, ORCL, GME, WULF, ZM, VZLA, AMAT, AAPL, INTC, CVNA, VST


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

Abbott Laboratories (ABT)
Buyer: Ford, Robert B (Chairman and CEO)
Shares Purchased: 18,800 (+9.5%)
Price: US$ 107.13
Total Value: US$ 2,013,966.92

Streamex Corp (STEX)
Buyer: Williams, Mitchell Young (Chief Investment Officer)
Shares Purchased: 51,511 (+5.2%)
Price: US$ 3.03
Total Value: US$ 155,851.68

Streamex Corp (STEX)
Buyer: Lekstrom, Morgan Lee (Non-Executive Director)
Shares Purchased: 41,000 (+585.7%)
Price: US$ 3.13
Total Value: US$ 128,485.80

GameStop Corp (GME)
Buyer: Cheng, Lawrence (Non-Executive Director)
Shares Purchased: 5,000 (+6.0%)
Price: US$ 22.87
Total Value: US$ 114,368.50

Peoples Financial Corp (PFBX)
Buyer: Stilwell, Joseph (Large shareholder)
Shares Purchased: 1,840 (+0.4%)
Price: US$ 20.50
Total Value: US$ 37,720.00

Ark Venture Fund (XARKX)
Buyer: Wolfe, Dana Forest (Chief Legal Officer)
Shares Purchased: 1,064 (+2127.2%)
Price: US$ 47.01
Total Value: US$ 49,999.98

US Insider Sales

Procter & Gamble Co (PG)
Seller: Pritchard, Marc S. (Chief Brand Officer)
Shares Sold: 95,903 (-34.4%)
Price: US$ 151.15
Total Value: US$ 14,495,690.50

Halliburton Co (HAL)
Seller: Miller, Jeffrey Allen (Director, President & CEO)
Shares Sold: 171,200 (-13.5%)
Price: US$ 34.96
Total Value: US$ 5,985,152.00

Halliburton Co (HAL)
Seller: Beckwith, Van H. (EVP, Secretary and CLO)
Shares Sold: 54,348 (-13.6%)
Price: US$ 34.96
Total Value: US$ 1,900,006.08

BlackRock ESG Capital Allocation Trust (ECAT)
Seller: Saba Capital Management, L.P. (Large shareholder)
Shares Sold: 58,213 (-0.2%)
Price: US$ 15.50
Total Value: US$ 902,301.50

Tredegar Corp (TG)
Seller: Gottwald, William M (Large shareholder)
Shares Sold: 24,823 (-3.7%)
Price: US$ 8.52
Total Value: US$ 211,516.78

Tredegar Corp (TG)
Seller: Gottwald, James T. (Large shareholder)
Shares Sold: 24,823 (-3.7%)
Price: US$ 8.52
Total Value: US$ 211,516.78

Tredegar Corp (TG)
Seller: Gottwald, John D (Large shareholder)
Shares Sold: 24,824 (-3.7%)
Price: US$ 8.52
Total Value: US$ 211,525.30

Taylor Devices Inc (TAYD)
Seller: Armenat, Fritz Eric (Non-Executive Director)
Shares Sold: 700 (-100.0%)
Price: US$ 72.85
Total Value: US$ 50,995.00

Taylor Devices Inc (TAYD)
Seller: Armenat, Fritz Eric (Non-Executive Director)
Shares Sold: 528 (-34.6%)
Price: US$ 72.10
Total Value: US$ 38,070.38

Taylor Devices Inc (TAYD)
Seller: Armenat, Fritz Eric (Non-Executive Director)
Shares Sold: 300 (-30.0%)
Price: US$ 71.19
Total Value: US$ 21,357.00


CDN Insider Purchases

No insider purchase transactions were reported for Canadian-listed companies during this period.

CDN Insider Sales

Avino Silver & Gold Mines Ltd (ASM)
Seller: Harte, Nathan (Senior Officer of Issuer)
Shares Sold: 100,000 (-11.4%)
Price: CA$ 12.40
Total Value: CA$ 1,240,000.00

Blackrock Silver Corp (BRC)
Seller: Wood, Antony (Non-Executive Director)
Shares Sold: 100,000 (-35.0%)
Price: CA$ 1.75
Total Value: CA$ 175,000.00

Canadian Chrome Company Inc (CACR)
Seller: Fancamp Exploration Ltd. (10% Security Holder of Issuer)
Shares Sold: 3,300,000 (-24.4%)
Price: CA$ 0.01
Total Value: CA$ 38,610.00


Institutional Spotlight: January 26, 2026

CAPR

ANG CAPITAL MANAGEMENT LLC reported ownership of 3,399,900 SH, representing 6.60% ownership.


VYGR

INTEGRATED CORE STRATEGIES (US) LLC disclosed a position totaling 3,407,969 SH, equating to 6.10% ownership.


BDSX

TELEMARK ASSET MANAGEMENT LLC held 427,824 SH, corresponding to 5.40% ownership.


FTAI AVIATION LTD.

SHIKIAR ASSET MANAGEMENT INC reported ownership of 159,800 SH, representing 6.20% ownership.


ESTC

PICTET ASSET MANAGEMENT SA disclosed a stake of 5,288,262 SH, amounting to 5.00% ownership.


NVIDIA CORP (CRWV)

The filing reflects ownership of 47,213,353 SH, representing 11.50% ownership.


ASA

SABA CAPITAL MANAGEMENT LP reported a holding of 5,465,362 SH, equating to 28.96% ownership.


BCTX

CITADEL ADVISORS LLC disclosed ownership of 717,198 SH, representing 9.99% ownership.


Tickers: CAPR, VYGR, BDSX, ESTC, CRWV, ASA, BCTX


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

SGML, GORO, SIDU, SATL, ENGN, AGQ, WWR, USGO, LUCD, CRML, VGZ, STI, CHNR, QURE, FLNT, EKSO, USAU, WULF, SCYX, APLD, HYMC, IREN, IPX, EQ, ASTI, GSIT, BBGI, BW, DSVSF, LRMR, BLBX, MAIA, SLV, DBVT, UAMY, LYV, GEVO, PSLV, CMCL, BDSX, NB, SPPP, PLTM, AG, LION, OPXS, LLYVA, TARA, UPWK, SNBR, ATAI, RDW, ASPI, AREC, MNPR, THM, CLSK, CORZ, NKTX, CURR, GILD, AMCR, LBTYA, BTDR, PL, AS, IPI, GDMN, PALI, AU, BP, SPWR, LTH, ASND, TYGO, ENLV, CTNM, UNFI, RMTI, VET, AXGN, FROG, ARVN, DFTX, UGL, CNTA, IDAI, OGI, MUX, PRAX, CSX, USCI, VRDN, AMD, INTR, TSM, MGNX, ISSC, SDST, EDU, OXY, UUU, DMAC, ORMP, AMZN, YPF, GNT, CAAP, WMB, ACIU, APPS, TTWO, SBUX, SHIP, AMBP, TAC, CNQ, MP, PM, DVN, AMPG, DBB, OPAL, INSW, HL, IHD, OCS, DG, FIP, CCK, WMG, NESR, NVDA, COP, TGT, TWLO, CNC, REPYY, EQT, MO, FANG, WFG, GOLF, KO, STLD, AZN, MNST, ZM, CDE, TIGO, IVA, BN, CMTL, ICFI, RIOT, MSGE, PR, AMAT, LNSR, CNTX, GLPI, CIA, GDE, GDS, FXF, DEA, MCD, PSEC, RKLB, CIFR, CACI

 

Canadian Institutional Momentum Watchlist

EXPORT – Canadian Institutional Momentum Watchlist

ASM.TO, PTM.TO, TRX.TO, GOLD.TO, CS.TO, USA.TO, SLI.V, ACT.CA, FOM.TO, AYA.TO, DSV.TO, TMQ.TO, ERO.TO, FURY.TO, TKO.TO, FM.TO, CGG.TO, OLA.TO, CFX.TO, GLO.TO, SGD.TO, ARG.TO, LAC.TO, MDI.TO, AG.TO, SVM.TO, LUN.TO, GGD.TO, IMG.TO, PAAS.TO, POU.TO, BNE.TO, EFR.TO, IPO.TO, NTR.TO, LGO.TO, NUAG.TO, EDR.TO, ABX.TO, III.TO, SII.TO, HBM.TO, FTG.TO, CFP.TO, SDE.TO, CAS.TO, CURA.TO, GLXY.TO, ITR.V, ARIS.TO, CNL.TO, ARTG.V, CRON.TO, ITH.TO, HAI.TO, AGI.TO, OBE.TO, SAP.TO, CEF.TO, LUC.TO, VET.TO, VLE.TO, HWX.TO, REI/UN.TO, GUD.TO, SCR.TO, CHR.TO, GEI.TO, WRN.TO, PEY.TO, KNT.TO, TRP.TO, FCR/UN.TO, CVO.TO, TPZ.TO, ELD.TO, GRSL.V, TOU.TO, WEF.TO, GRT/UN.TO, LUG.TO, MX.TO, FVI.TO, SES.TO, BCE.TO, ATH.TO, RSI.TO, PPL.TO, SU.TO, SGY.TO, DBM.TO, NXR/UN.TO, KEY.TO, IMO.TO, CVE.TO, CCO.TO, CGY.TO, CNQ.TO, EDV.TO, TA.TO, NGD.TO, TXG.TO, T.TO, NPI.TO, SLF.TO, CG.TO, KEL.TO, WTE.TO, WPM.TO, ARX.TO, CCA.TO, BTO.TO, L.TO, ACO/X.TO, ENB.TO, K.TO, SRU/UN.TO, CRR/UN.TO, FRU.TO, IFP.TO, ALS.TO, DPM.TO, FAR.TO, OGC.TO, MTA.V, WFG.TO, WN.TO, NEO.TO, ATS.TO, EQX.TO, JOY.TO, WPK.TO, HR/UN.TO, LAR.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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