
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 2025-11-24
The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2025-11-24. 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.
Johnson & Johnson (JNJ)
Sentiment: Bullish – dominant call premium inflow
Options Activity: Institutions demonstrated strong conviction in upside potential through substantial call buying that significantly outpaced call selling, while aggressively selling puts to collect premium, indicating income generation with bullish undertones.
Key Totals: Total call premium bought of $223.5 million exceeded call premium sold of $112.3 million, with put premium bought at $1.3 million against $0.9 million premium collected from puts sold, yielding a net premium of $109.9 million.
Analysis: The data reveals a clear net premium surplus driven by call buying dominance and put selling activity, reflecting institutional positioning for potential price appreciation without evident hedging signals.
Alphabet Inc. (GOOG)
Sentiment: Bullish – net call premium dominance
Options Activity: Institutions engaged in directional call buying with a clear edge over selling, complemented by moderate put selling for premium collection, suggesting a blend of upside speculation and income strategies.
Key Totals: Total call premium bought of $54.1 million surpassed call premium sold of $19.5 million, put premium bought at $6.4 million versus $4.5 million premium collected from puts sold, resulting in a net premium of $32.7 million.
Analysis: Elevated net premium stems from higher call inflows relative to outflows, with balanced put activity contributing to overall positive flow, pointing to institutional confidence in stability or gains.
Tesla, Inc. (TSLA)
Sentiment: Bullish – robust put premium collection
Options Activity: Institutions balanced call buying and selling but leaned heavily into put selling, collecting significant premium, which underscores bullish income generation rather than protective hedging.
Key Totals: Total call premium bought of $41.9 million slightly exceeded call premium sold of $36.6 million, put premium bought at $11.9 million against $32.0 million premium collected from puts sold, for a net premium of $25.3 million.
Analysis: The substantial premium from puts sold offsets minor put buying, creating a bullish net flow that highlights institutional willingness to capitalize on time decay for potential upside exposure.
NVIDIA Corporation (NVDA)
Sentiment: Bullish – mixed flow with put selling support
Options Activity: Institutions traded calls actively in both directions with near parity, while put selling for premium collection outweighed put buying, indicating a strategy favoring income over downside protection.
Key Totals: Total call premium bought of $83.1 million narrowly topped call premium sold of $73.1 million, put premium bought at $40.2 million versus $54.5 million premium collected from puts sold, yielding a net premium of $24.3 million.
Analysis: Balanced call activity combined with net put premium inflow demonstrates institutional positioning that absorbs volatility through selling, resulting in positive overall flow.
Moderna, Inc. (MRNA)
Sentiment: Bullish – explosive put premium harvest
Options Activity: Minimal call activity was overshadowed by significant put selling, where institutions collected premium aggressively, aligning with bullish income tactics.
Key Totals: Total call premium bought of $0.3 million exceeded call premium sold of $0.2 million, put premium bought at $0.1 million versus $14.5 million premium collected from puts sold, for a net premium of $14.4 million.
Analysis: Overwhelming premium from puts sold drives the positive net, with negligible put buying, indicating strong institutional support for price stability or upside.
Alibaba Group Holding Limited – Depositary Receipt (Common Stock) (BABA)
Sentiment: Bullish – call buying leadership
Options Activity: Institutions pursued net call buying for directional exposure, supported by put selling that added premium income, reflecting combined speculative and yield-focused strategies.
Key Totals: Total call premium bought of $21.5 million topped call premium sold of $8.4 million, put premium bought at $5.7 million against $5.0 million premium collected from puts sold, yielding a net premium of $12.3 million.
Analysis: Net call inflow paired with balanced put flow contributes to bullish net premium, showing institutional alignment on potential gains.
Core Scientific, Inc. (CORZ)
Sentiment: Bullish – aggressive call deployment
Options Activity: Institutions committed heavily to call buying with minimal offsets, while put activity remained light, emphasizing pure upside momentum.
Key Totals: Total call premium bought of $11.4 million far exceeded call premium sold of $0.09 million, put premium bought at $0.7 million versus $0.08 million premium collected from puts sold, for a net premium of $10.7 million.
Analysis: Disproportionate call premium dominance creates a robust positive net, with limited put involvement reinforcing directional bullish intent.
Terns Pharmaceuticals, Inc. (TERN)
Sentiment: Bullish – targeted call investment
Options Activity: Institutions executed focused call buying without any sales or put trades, indicating high-conviction upside plays.
Key Totals: Total call premium bought of $10.6 million, with no call premium sold, put premium bought, or premium collected from puts sold, resulting in a net premium of $10.6 million.
Analysis: Exclusive call inflow delivers un diluted net premium, highlighting straightforward institutional optimism in the data.
Strategy Inc (MSTR)
Sentiment: Bullish – comprehensive put income strategy
Options Activity: Institutions balanced call flows but excelled in put selling for premium collection, suggesting income generation as a core bullish tactic.
Key Totals: Total call premium bought of $6.0 million exceeded call premium sold of $2.6 million, put premium bought at $1.3 million against $7.3 million premium collected from puts sold, for a net premium of $9.4 million.
Analysis: Strong put premium collection overshadows minor put buying, driving net positivity alongside net call gains.
IREN Limited (IREN)
Sentiment: Bullish – call volume surge
Options Activity: Institutions ramped up call buying over selling, with put selling providing additional premium support, blending speculation and yield.
Key Totals: Total call premium bought of $13.7 million surpassed call premium sold of $4.8 million, put premium bought at $0.3 million versus $0.6 million premium collected from puts sold, yielding a net premium of $9.1 million.
Analysis: Net call premium advantage, enhanced by put income, results in solid bullish flow without significant counter pressures.
Alphabet Inc. (GOOGL)
Sentiment: Bullish – sustained call momentum
Options Activity: Institutions maintained net call buying amid active trading, with put selling offsetting some buying to collect premium, favoring overall upside.
Key Totals: Total call premium bought of $58.9 million topped call premium sold of $49.9 million, put premium bought at $7.4 million against $6.9 million premium collected from puts sold, for a net premium of $8.5 million.
Analysis: Call buying edge combined with near-balanced puts sustains positive net, indicating consistent institutional bullishness.
Meta Platforms, Inc. (META)
Sentiment: Bullish – call-driven premium build
Options Activity: Institutions net bought calls for exposure, while put selling for income outweighed limited buying, supporting bullish positioning.
Key Totals: Total call premium bought of $14.1 million exceeded call premium sold of $4.9 million, put premium bought at $1.7 million versus $0.7 million premium collected from puts sold, resulting in a net premium of $8.2 million.
Analysis: Pronounced net call inflow and put premium collection foster bullish net flow, reflecting targeted institutional optimism.
Amazon.com, Inc. (AMZN)
Sentiment: Bullish – equilibrated premium gains
Options Activity: Institutions showed net call buying interest, paralleled by balanced put selling that collected premium, indicating measured upside and income plays.
Key Totals: Total call premium bought of $19.5 million surpassed call premium sold of $12.9 million, put premium bought at $3.5 million against $4.1 million premium collected from puts sold, for a net premium of $7.1 million.
Analysis: Symmetric net positives in calls and puts drive the overall surplus, underscoring institutional balance toward gains.
Netflix, Inc. (NFLX)
Sentiment: Bullish – put selling uplift
Options Activity: Institutions offset call selling with buying and emphasized put selling for substantial premium, prioritizing income generation bullishly.
Key Totals: Total call premium bought of $1.6 million fell short of call premium sold of $2.1 million, put premium bought at $3.6 million against $8.8 million premium collected from puts sold, for a net premium of $4.7 million.
Analysis: Put premium dominance reverses minor call deficits, creating net bullish flow via income-focused activity.
Broadcom Inc. (AVGO)
Sentiment: Bullish – resilient put collection
Options Activity: Near-even call flows were bolstered by net put selling for premium, where institutions favored yield strategies over protection.
Key Totals: Total call premium bought of $18.1 million matched call premium sold of $18.1 million closely, put premium bought at $9.4 million versus $14.0 million premium collected from puts sold, resulting in a net premium of $4.6 million.
Analysis: Neutral calls paired with put income yield positive net, demonstrating institutional leverage of volatility for gains.
Oklo Inc. (OKLO)
Sentiment: Bullish – call buying prevalence
Options Activity: Institutions net bought calls amid light selling, with put buying present but not offsetting the upside focus.
Key Totals: Total call premium bought of $5.6 million exceeded call premium sold of $0.7 million, put premium bought at $1.3 million with no premium collected from puts sold, yielding a net premium of $3.7 million.
Analysis: Call net inflow outweighs put costs, fostering bullish premium dynamics in the data.
Barrick Mining Corporation (B)
Sentiment: Bullish – call expansion focus
Options Activity: Institutions net acquired calls for growth exposure, with negligible put activity underscoring pure bullish directionality.
Key Totals: Total call premium bought of $3.2 million far exceeded call premium sold of $0.3 million, put premium bought at $0.01 million against $0.02 million premium collected from puts sold, for a net premium of $2.9 million.
Analysis: Dominant call premium build, minimally impacted by puts, signals strong institutional upside alignment.
CrowdStrike Holdings, Inc. (CRWD)
Sentiment: Bullish – concentrated call commitment
Options Activity: Institutions targeted call buying with minimal counter trades, reflecting focused speculative intent.
Key Totals: Total call premium bought of $2.7 million exceeded call premium sold of $0.07 million, put premium bought at $0.06 million with no premium collected from puts sold, yielding a net premium of $2.7 million.
Analysis: Overwhelming call inflow dwarfs put costs, driving clear positive net flow.
Intel Corporation (INTC)
Sentiment: Bullish – layered income and calls
Options Activity: Institutions net bought calls while selling puts for premium, combining exposure with yield capture.
Key Totals: Total call premium bought of $6.0 million topped call premium sold of $3.9 million, put premium bought at $1.4 million against $1.9 million premium collected from puts sold, resulting in a net premium of $2.6 million.
Analysis: Dual net positives from calls and puts sustain bullish flow, highlighting balanced institutional support.
Coinbase Global, Inc. (COIN)
Sentiment: Bullish – put selling counterbalance
Options Activity: Balanced calls were augmented by net put selling for premium collection, shifting toward income-driven bullishness.
Key Totals: Total call premium bought of $2.0 million matched call premium sold of $1.0 million closely, put premium bought at $16.6 million against $18.2 million premium collected from puts sold, for a net premium of $2.6 million.
Analysis: Put premium edge reverses put buying costs, yielding net positive alongside neutral calls.
VanEck ETF Trust – VanEck Semiconductor ETF (SMH)
Sentiment: Bullish – put premium dominance
Options Activity: Minimal call activity contrasted with strong put selling for income, where institutions collected premium bullishly.
Key Totals: Total call premium bought of $1.0 million exceeded call premium sold of $0.2 million, put premium bought at $1.3 million against $32.6 million premium collected from puts sold, yielding a net premium of $32.1 million.
Analysis: Vast put income overwhelms other flows, creating exceptional bullish net in the ETF data.
iShares Silver Trust (SLV)
Sentiment: Bullish – call buying intensity
Options Activity: Institutions aggressively net bought calls, with put selling adding premium support, emphasizing upside in the commodity ETF.
Key Totals: Total call premium bought of $14.2 million surpassed call premium sold of $5.5 million, put premium bought at $3.3 million against $1.8 million premium collected from puts sold, for a net premium of $7.2 million.
Analysis: Call net gain, bolstered by put income, drives positive flow indicative of bullish ETF positioning.
VanEck ETF Trust – VanEck Gold Miners ETF (GDX)
Sentiment: Bullish – unopposed call flow
Options Activity: Institutions net acquired calls without put selling offsets, focusing on directional exposure in the mining ETF.
Key Totals: Total call premium bought of $1.5 million exceeded call premium sold of $0.8 million, put premium bought at $1.0 million with no premium collected from puts sold, resulting in a net premium of $0.8 million.
Analysis: Call premium surplus offsets put costs, reflecting net bullish intent in limited ETF activity.
iShares Ethereum Trust – iShares Ethereum Trust ETF (ETHA)
Sentiment: Bullish – integrated premium strategy
Options Activity: Institutions balanced call buying with selling but net sold puts for premium, favoring income in the crypto ETF.
Key Totals: Total call premium bought of $3.5 million topped call premium sold of $1.6 million, put premium bought at $2.0 million against $1.6 million premium collected from puts sold, for a net premium of $1.5 million.
Analysis: Modest call and put net positives combine for bullish flow, showing institutional yield and exposure blend.
Tickers: JNJ, GOOG, TSLA, NVDA, MRNA, BABA, CORZ, TERN, MSTR, IREN, GOOGL, META, AMZN, NFLX, AVGO, OKLO, B, CRWD, INTC, COIN, SMH, SLV, GDX, ETHA
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 2025-11-24
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.
Cipher Mining Inc. (CIFR)
Sentiment: Bullish
Options Activity: Calls bought, expiry June 18, 2026, strike 15.90 versus spot 76.15, size exceeds prior open interest.
Total Values: Total premium paid $541,156.
Strike Price: 15.90.
Analysis: The flow consists of buying call contracts expiring in approximately two hundred six days, with the strike price significantly below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Upstart Holdings, Inc. (UPST)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025, strike 38.24 versus spot 17.67, size exceeds prior open interest.
Total Values: Total premium paid $388,000.
Strike Price: 38.24.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Meta Platforms, Inc. (META)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 5, 2025 and November 28, 2025, strikes 620 and 607.50 versus spot 602.54, size exceeds prior open interest.
Total Values: Total premium paid $1,929,991.
Strike Price: 620 and 607.50.
Analysis: The flow consists of buying call contracts expiring in approximately eleven days and four days, with the strike prices above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Novo Nordisk A/S (NVO)
Sentiment: Bullish
Options Activity: Puts sold, expiry December 19, 2025, strike 43.81 versus spot 39, size exceeds prior open interest.
Total Values: Total premium collected $1,020,800.
Strike Price: 43.81.
Analysis: The flow consists of selling put contracts expiring in approximately twenty-five days, with the strike price above the current spot price. This selling activity collects premium to establish bullish positions, as the puts are sold much higher than the spot, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Uranium Energy Corp. (UEC)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025, strike 11.07 versus spot 9, size exceeds prior open interest.
Total Values: Total premium paid $189,600.
Strike Price: 11.07.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Canadian Natural Resources Limited (CNQ)
Sentiment: Bullish
Options Activity: Calls bought, expiry January 16, 2026, strike 32.98 versus spot 33.75, size does not exceed prior open interest.
Total Values: Total premium paid $191,445.
Strike Price: 32.98.
Analysis: The flow consists of buying call contracts expiring in approximately fifty-three days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, with the trade size not exceeding the prior open interest.
iShares Bitcoin Trust ETF (IBIT)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 5, 2025, strike 50.37 versus spot 53.50, size exceeds prior open interest.
Total Values: Total premium paid $2,278,523.
Strike Price: 50.37.
Analysis: The flow consists of buying call contracts expiring in approximately eleven days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Innodata Inc. (INOD)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 26, 2025, strike 55.56 versus spot 55, size exceeds prior open interest.
Total Values: Total premium paid $248,352.
Strike Price: 55.56.
Analysis: The flow consists of buying call contracts expiring in approximately thirty-two days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Micron Technology, Inc. (MU)
Sentiment: Bullish
Options Activity: Calls bought, expiry January 2, 2026, strike 221.18 versus spot 275, size exceeds prior open interest.
Total Values: Total premium paid $302,286.
Strike Price: 221.18.
Analysis: The flow consists of buying call contracts expiring in approximately thirty-nine days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
AST SpaceMobile, Inc. (ASTS)
Sentiment: Bullish
Options Activity: Calls bought, expiry November 28, 2025, strike 52.16 versus spot 53, size exceeds prior open interest.
Total Values: Total premium paid $99,897.
Strike Price: 52.16.
Analysis: The flow consists of buying call contracts expiring in approximately four days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
RadNet, Inc. (RDNT)
Sentiment: Bullish
Options Activity: Puts sold, expiry December 19, 2025, strike 83.48 versus spot 75, size exceeds prior open interest.
Total Values: Total premium collected $80,000.
Strike Price: 83.48.
Analysis: The flow consists of selling put contracts expiring in approximately twenty-five days, with the strike price above the current spot price. This selling activity collects premium to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Alphabet Inc. (GOOG)
Sentiment: Bullish
Options Activity: Calls bought, expiry January 21, 2028 and December 18, 2026, strikes 317.04 and 316.78 versus spot 300, size exceeds prior open interest for one trade.
Total Values: Total premium paid $15,292,000.
Strike Price: 317.04 and 316.78.
Analysis: The flow consists of buying call contracts expiring in approximately seven hundred eighty-eight days and three hundred eighty-nine days, with the strike prices above the current spot price. This buying activity results in premium paid to establish bullish positions, with one trade’s size exceeding the prior open interest, indicating new positioning for that portion.
The Boston Beer Company, Inc. (SAM)
Sentiment: Bullish
Options Activity: Puts sold, expiry December 19, 2025, strike 192.89 versus spot 180, size exceeds prior open interest.
Total Values: Total premium collected $251,094.
Strike Price: 192.89.
Analysis: The flow consists of selling put contracts expiring in approximately twenty-five days, with the strike price above the current spot price. This selling activity collects premium to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
IREN Limited (IREN)
Sentiment: Bullish
Options Activity: Calls bought, expiry March 20, 2026, strike 47.23 versus spot 55, size does not exceed prior open interest.
Total Values: Total premium paid $5,988,140.
Strike Price: 47.23.
Analysis: The flow consists of buying call contracts expiring in approximately one hundred sixteen days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, with the trade size not exceeding the prior open interest.
Tesla, Inc. (TSLA)
Sentiment: Bullish
Options Activity: Calls bought, expiry May 15, 2026, strike 412.89 versus spot 710, size exceeds prior open interest.
Total Values: Total premium paid $932,465.
Strike Price: 412.89.
Analysis: The flow consists of buying call contracts expiring in approximately one hundred seventy-two days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Riot Platforms, Inc. (RIOT)
Sentiment: Bullish
Options Activity: Calls bought, expiry February 20, 2026, strike 13.49 versus spot 17, size exceeds prior open interest.
Total Values: Total premium paid $1,914,511.
Strike Price: 13.49.
Analysis: The flow consists of buying call contracts expiring in approximately eighty-eight days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
StubHub Holdings, Inc. (STUB)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025, strike 11.02 versus spot 12.50, size exceeds prior open interest for one trade.
Total Values: Total premium paid $124,250.
Strike Price: 11.02.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, with one trade’s size exceeding the prior open interest, indicating new positioning for that portion.
Antero Resources Corporation (AR)
Sentiment: Bullish
Options Activity: Puts sold, expiry January 16, 2026, strike 33.38 versus spot 28, size exceeds prior open interest.
Total Values: Total premium collected $1,104,642.
Strike Price: 33.38.
Analysis: The flow consists of selling put contracts expiring in approximately fifty-three days, with the strike price above the current spot price. This selling activity collects premium to establish bullish positions, as the puts are sold much higher than the spot, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
B2Gold Corp. (BTG)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025, strike 4.03 versus spot 4.50, size exceeds prior open interest.
Total Values: Total premium paid $143,855.
Strike Price: 4.03.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Digi Power X Inc. (DGXX)
Sentiment: Bullish
Options Activity: Calls bought, expiry June 18, 2026, strike 4.02 versus spot 4.02, size exceeds prior open interest.
Total Values: Total premium paid $248,672.
Strike Price: 4.02.
Analysis: The flow consists of buying call contracts expiring in approximately two hundred six days, with the strike price at the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
PACS Group, Inc. (PACS)
Sentiment: Bullish
Options Activity: Calls bought, expiry March 20, 2026 and June 18, 2026, strike 35 versus spot 29.67, size exceeds prior open interest.
Total Values: Total premium paid $774,249.
Strike Price: 35.
Analysis: The flow consists of buying call contracts expiring in approximately one hundred sixteen days and two hundred six days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
NextEra Energy, Inc. (NEE)
Sentiment: Bullish
Options Activity: Calls bought, expiry November 28, 2025, strikes 85 and 86 versus spot 84.56, size exceeds prior open interest.
Total Values: Total premium paid $126,041.
Strike Price: 85 and 86.
Analysis: The flow consists of buying call contracts expiring in approximately four days, with the strike prices above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Opendoor Technologies Inc. (OPEN)
Sentiment: Bullish
Options Activity: Calls bought, expiry February 20, 2026, strike 7.52 versus spot 10, size exceeds prior open interest.
Total Values: Total premium paid $681,894.
Strike Price: 7.52.
Analysis: The flow consists of buying call contracts expiring in approximately eighty-eight days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
NVIDIA Corporation (NVDA)
Sentiment: Bullish
Options Activity: Puts sold, expiry December 19, 2025, strike 182.50 versus spot 182.93, size exceeds prior open interest.
Total Values: Total premium collected $1,265,600.
Strike Price: 182.50.
Analysis: The flow consists of selling put contracts expiring in approximately twenty-five days, with the strike price below the current spot price. This selling activity collects premium to establish bullish positions, as the puts are sold much lower than the spot, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Shopify Inc. (SHOP)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 5, 2025, strikes 155, 157.50, and 165 versus spot 154.95, size exceeds prior open interest.
Total Values: Total premium paid $1,162,493.
Strike Price: 155, 157.50, and 165.
Analysis: The flow consists of buying call contracts expiring in approximately eleven days, with the strike prices above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Applied Materials, Inc. (AMAT)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 5, 2025, strikes 250 and 252.50 versus spot 232.24, size exceeds prior open interest.
Total Values: Total premium paid $56,319.
Strike Price: 250 and 252.50.
Analysis: The flow consists of buying call contracts expiring in approximately eleven days, with the strike prices above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Hut 8 Corp. (HUT)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 5, 2025, strike 45 versus spot 38.19, size exceeds prior open interest.
Total Values: Total premium paid $199,632.
Strike Price: 45.
Analysis: The flow consists of buying call contracts expiring in approximately eleven days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
SPDR S&P Retail ETF (XRT)
Sentiment: Bullish
Options Activity: Calls bought, expiry November 28, 2025, strike 81 versus spot 80.30, size exceeds prior open interest.
Total Values: Total premium paid $302,302.
Strike Price: 81.
Analysis: The flow consists of buying call contracts expiring in approximately four days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Tempus AI, Inc. (TEM)
Sentiment: Bullish
Options Activity: Calls bought and puts sold, expiry December 5, 2025, December 19, 2025, and January 16, 2026, strikes 60, 75, and 79 versus spot 73.88, size exceeds prior open interest for some trades.
Total Values: Total premium paid $560,657; total premium collected $37,940.
Strike Price: 60, 75, and 79.
Analysis: The flow consists of buying call contracts expiring in approximately eleven days and fifty-three days, and selling put contracts expiring in approximately twenty-five days, with strike prices varying relative to the current spot price. The call buying results in premium paid to establish bullish positions, while the put selling collects premium to establish bullish positions, as the puts are sold much lower than the spot; the trade sizes exceed the prior open interest for some portions, indicating new positioning.
SharpLink Gaming, Inc. (SBET)
Sentiment: Bullish
Options Activity: Calls bought, expiry April 17, 2026, strike 12 versus spot 9.71, size exceeds prior open interest.
Total Values: Total premium paid $250,333.
Strike Price: 12.
Analysis: The flow consists of buying call contracts expiring in approximately one hundred forty-four days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
TMC the metals company Inc. (TMC)
Sentiment: Bullish
Options Activity: Calls bought, expiry November 28, 2025, strike 5.50 versus spot 5.29, size exceeds prior open interest.
Total Values: Total premium paid $14,000.
Strike Price: 5.50.
Analysis: The flow consists of buying call contracts expiring in approximately four days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
UGI Corporation (UGI)
Sentiment: Bullish
Options Activity: Calls bought, expiry January 16, 2026, strike 40 versus spot 38.78, size exceeds prior open interest.
Total Values: Total premium paid $90,000.
Strike Price: 40.
Analysis: The flow consists of buying call contracts expiring in approximately fifty-three days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
SoFi Technologies, Inc. (SOFI)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 26, 2025, strike 32 versus spot 26.99, size exceeds prior open interest.
Total Values: Total premium paid $170,644.
Strike Price: 32.
Analysis: The flow consists of buying call contracts expiring in approximately thirty-two days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Bitfarms Ltd. (BITF)
Sentiment: Bullish
Options Activity: Calls bought, expiry January 2, 2026, strike 3.50 versus spot 2.71, size exceeds prior open interest.
Total Values: Total premium paid $26,600.
Strike Price: 3.50.
Analysis: The flow consists of buying call contracts expiring in approximately thirty-nine days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Defiance Daily Target 2X Long AVGO ETF (AVGX)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025, strike 72 versus spot 58.49, size exceeds prior open interest.
Total Values: Total premium paid $153,000.
Strike Price: 72.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Broadcom Inc. (AVGO)
Sentiment: Bullish
Options Activity: Calls bought, expiry June 17, 2027, strike 390 versus spot 373.74, size exceeds prior open interest.
Total Values: Total premium paid $12,300,360.
Strike Price: 390.
Analysis: The flow consists of buying call contracts expiring in approximately five hundred seventy days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
CenterPoint Energy, Inc. (CNP)
Sentiment: Bullish
Options Activity: Calls bought, expiry January 16, 2026, strike 41 versus spot 39.49, size exceeds prior open interest.
Total Values: Total premium paid $334,294.
Strike Price: 41.
Analysis: The flow consists of buying call contracts expiring in approximately fifty-three days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Entergy Corporation (ETR)
Sentiment: Bullish
Options Activity: Calls bought, expiry January 16, 2026, strike 100 versus spot 94.99, size exceeds prior open interest.
Total Values: Total premium paid $382,800.
Strike Price: 100.
Analysis: The flow consists of buying call contracts expiring in approximately fifty-three days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Indivior PLC (INDV)
Sentiment: Bullish
Options Activity: Calls bought, expiry January 16, 2026, strike 35 versus spot 33.21, size exceeds prior open interest.
Total Values: Total premium paid $95,000.
Strike Price: 35.
Analysis: The flow consists of buying call contracts expiring in approximately fifty-three days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
ACV Auctions Inc. (ACVA)
Sentiment: Bullish
Options Activity: Puts sold, expiry May 15, 2026, strike 7.50 versus spot 6.92, size exceeds prior open interest.
Total Values: Total premium collected $121,675.
Strike Price: 7.50.
Analysis: The flow consists of selling put contracts expiring in approximately one hundred seventy-two days, with the strike price above the current spot price. This selling activity collects premium to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Boston Scientific Corporation (BSX)
Sentiment: Bullish
Options Activity: Calls bought and puts sold, expiry December 19, 2025 and February 20, 2026, strikes 85 and 98 versus spot 98.26, size exceeds prior open interest.
Total Values: Total premium paid $145,800; total premium collected $237,413.
Strike Price: 85 and 98.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days and selling put contracts expiring in approximately eighty-eight days, with strike prices below the current spot price for the calls and below for the puts. The call buying results in premium paid to establish bullish positions, while the put selling collects premium to establish bullish positions, as the puts are sold much lower than the spot; the trade sizes exceed the prior open interest, indicating new positioning.
Amazon.com, Inc. (AMZN)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 5, 2025, strike 230 versus spot 225.83, size does not exceed prior open interest.
Total Values: Total premium paid $3,780,075.
Strike Price: 230.
Analysis: The flow consists of buying call contracts expiring in approximately eleven days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, with the trade size not exceeding the prior open interest.
Newmont Corporation (NEM)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 12, 2025, strike 94 versus spot 87.22, size exceeds prior open interest.
Total Values: Total premium paid $66,880.
Strike Price: 94.
Analysis: The flow consists of buying call contracts expiring in approximately eighteen days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Financial Select Sector SPDR Fund (XLF)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025 and December 26, 2025, strike 52.50 and 53.50 versus spot 51.85, size exceeds prior open interest.
Total Values: Total premium paid $924,103.
Strike Price: 52.50 and 53.50.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days and thirty-two days, with the strike prices above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Oklo Inc. (OKLO)
Sentiment: Bullish
Options Activity: Calls bought, expiry September 18, 2026, strike 91.76 versus spot 140, size exceeds prior open interest.
Total Values: Total premium paid $3,921,300.
Strike Price: 91.76.
Analysis: The flow consists of buying call contracts expiring in approximately two hundred ninety-eight days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
CRH plc (CRH)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025 and November 28, 2025, strikes 110 and 113 versus spot 112.20, size exceeds prior open interest.
Total Values: Total premium paid $500,000.
Strike Price: 110 and 113.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days and four days, with the strike prices below the current spot price for one and above for the other. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Neumora Therapeutics, Inc. (NMRA)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025, strikes 2 and 2.50 versus spot 2.19, size exceeds prior open interest for one trade.
Total Values: Total premium paid $133,930.
Strike Price: 2 and 2.50.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days, with the strike prices below the current spot price for one and above for the other. This buying activity results in premium paid to establish bullish positions, with one trade’s size exceeding the prior open interest, indicating new positioning for that portion.
Coupang, Inc. (CPNG)
Sentiment: Bullish
Options Activity: Calls bought, expiry December 19, 2025, strike 27.50 versus spot 27.52, size exceeds prior open interest.
Total Values: Total premium paid $181,356.
Strike Price: 27.50.
Analysis: The flow consists of buying call contracts expiring in approximately twenty-five days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Arcus Biosciences, Inc. (RCUS)
Sentiment: Bullish
Options Activity: Calls bought, expiry April 17, 2026, strike 30 versus spot 23.16, size exceeds prior open interest.
Total Values: Total premium paid $1,625,000.
Strike Price: 30.
Analysis: The flow consists of buying call contracts expiring in approximately one hundred forty-four days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Global X Uranium ETF (URA)
Sentiment: Bullish
Options Activity: Calls bought, expiry April 17, 2026, strike 50 versus spot 43.28, size exceeds prior open interest.
Total Values: Total premium paid $951,600.
Strike Price: 50.
Analysis: The flow consists of buying call contracts expiring in approximately one hundred forty-four days, with the strike price above the current spot price. This buying activity results in premium paid to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Amplify Junior Silver Miners ETF (SILJ)
Sentiment: Bullish
Options Activity: Calls bought, expiry May 15, 2026, strike 20 versus spot 22.86, size does not exceed prior open interest.
Total Values: Total premium paid $236,040.
Strike Price: 20.
Analysis: The flow consists of buying call contracts expiring in approximately one hundred seventy-two days, with the strike price below the current spot price. This buying activity results in premium paid to establish bullish positions, with the trade size not exceeding the prior open interest.
iShares 20+ Year Treasury Bond ETF (TLT)
Sentiment: Bullish
Options Activity: Puts sold, expiry December 26, 2025, strike 92.50 versus spot 89.98, size exceeds prior open interest.
Total Values: Total premium collected $1,199,640.
Strike Price: 92.50.
Analysis: The flow consists of selling put contracts expiring in approximately thirty-two days, with the strike price above the current spot price. This selling activity collects premium to establish bullish positions, and the trade size exceeds the prior open interest, indicating new positioning rather than closing existing trades.
Tickers: CIFR, UPST, META, NVO, UEC, CNQ, IBIT, INOD, MU, ASTS, RDNT, GOOG, SAM, IREN, TSLA, RIOT, STUB, AR, BTG, DGXX, PACS, NEE, OPEN, NVDA, SHOP, AMAT, HUT, XRT, TEM, SBET, TMC, UGI, SOFI, BITF, AVGX, AVGO, CNP, ETR, INDV, ACVA, BSX, AMZN, NEM, XLF, OKLO, CRH, NMRA, CPNG, RCUS, URA, SILJ, TLT
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
Omega Flex Inc (OFLX)
Buyer: Moran Edwin B. (Executive Director)
Shares Purchased: 500 (+100.0%)
Price: USD 27.29
Total Value: USD 13,645
Global Self Storage Inc (SELF)
Buyer: WINMILL & CO. INC (See “Explanation of Responses”)
Shares Purchased: 4,064 (+3.2%)
Price: USD 5.14
Total Value: USD 20,904
Kayne Anderson MLP/Midstream Investment Co (KYN)
Buyer: Baker James C (Executive Director)
Shares Purchased: 25,000 (+2.9%)
Price: USD 11.74
Total Value: USD 293,500
UMH Properties Inc (UMH)
Buyer: Mitchell William Edward (Non-Executive Director)
Shares Purchased: 2,000 (+7.5%)
Price: USD 14.92
Total Value: USD 29,840
SR Bancorp Inc (SRBK)
Buyer: Pribula Christopher J (Executive Director)
Shares Purchased: 1,000 (+2.0%)
Price: USD 15.09
Total Value: USD 15,090
Consolidated Water Co Ltd (CWCO)
Buyer: Adamson Kimberly Anne (Non-Executive Director)
Shares Purchased: 2,619 (+inf%)
Price: USD 33.82
Total Value: USD 88,575
Ipsidy Inc (IDTY)
Buyer: Garchik Stephen Jeffrey (Non-Executive Director Large shareholder)
Shares Purchased: 126,608 (+2899.2%)
Price: USD 1.71
Total Value: USD 216,500
Quidelortho Corp (QDEL)
Buyer: POLAN MARY LAKE PH D (Non-Executive Director)
Shares Purchased: 1,000 (+8.6%)
Price: USD 22.43
Total Value: USD 22,430
AudioEye Inc (AEYE)
Buyer: HAWKINS JAMES B (Non-Executive Director)
Shares Purchased: 2,000 (+1.2%)
Price: USD 11.05
Total Value: USD 22,100
Inhibikase Therapeutics Inc (IKT)
Buyer: Sands Capital Life Sciences Pulse Fund II, L.P. (Large shareholder)
Shares Purchased: 2,068,965 (+18.9%)
Price: USD 1.45
Total Value: USD 2,999,999
Airship AI Holdings Inc (AISP)
Buyer: Huang Victor (Executive Director Large shareholder)
Shares Purchased: 5,000 (+2.5%)
Price: USD 3.02
Total Value: USD 15,099
Airship AI Holdings Inc (AISP)
Buyer: Huang Victor (Executive Director Large shareholder)
Shares Purchased: 5,000 (+2.6%)
Price: USD 3.03
Total Value: USD 15,130
OFF THE HOOK YS INC. (OTH)
Buyer: SIMMONS ANDREW JAMES (Executive Director)
Shares Purchased: 15,873 (+inf%)
Price: USD 3.19
Total Value: USD 50,613
Tompkins Financial Corp (TMP)
Buyer: Rahilly Ita M (Non-Executive Director)
Shares Purchased: 1,463 (+16.2%)
Price: USD 68.36
Total Value: USD 100,000
OFF THE HOOK YS INC. (OTH)
Buyer: John Brian (Executive Director Large shareholder)
Shares Purchased: 10,000 (+0.2%)
Price: USD 3.14
Total Value: USD 31,380
Valvoline Inc (VVV)
Buyer: WILLIS J KEVIN (Officer)
Shares Purchased: 10,000 (+78.6%)
Price: USD 31.41
Total Value: USD 314,100
Independent Bank Corp (Michigan) (IBCP)
Buyer: Archer Dennis W. Jr (Non-Executive Director)
Shares Purchased: 288 (+2.6%)
Price: USD 31.58
Total Value: USD 9,095
Independent Bank Corp (Michigan) (IBCP)
Buyer: Archer Dennis W. Jr (Non-Executive Director)
Shares Purchased: 212 (+1.9%)
Price: USD 31.57
Total Value: USD 6,693
Evolv Technologies Holdings Inc (EVLV)
Buyer: Kedzierski John (Executive Director)
Shares Purchased: 8,000 (+inf%)
Price: USD 5.91
Total Value: USD 47,280
Prairie Operating Co (PROP)
Buyer: Narrogal Nominees Pty Ltd ATF Gregory K O’Neill Family Trust (Large shareholder)
Shares Purchased: 186,977 (+1.4%)
Price: USD 1.69
Total Value: USD 316,477
Prairie Operating Co (PROP)
Buyer: Narrogal Nominees Pty Ltd ATF Gregory K O’Neill Family Trust (Large shareholder)
Shares Purchased: 50,000 (+0.4%)
Price: USD 1.67
Total Value: USD 83,490
Donegal Group Inc (DGICA)
Buyer: DONEGAL MUTUAL INSURANCE CO (Large shareholder)
Shares Purchased: 43,404 (+0.9%)
Price: USD 17.50
Total Value: USD 759,570
Donegal Group Inc (DGICA)
Buyer: DONEGAL MUTUAL INSURANCE CO (Large shareholder)
Shares Purchased: 8,000 (+0.1%)
Price: USD 19.80
Total Value: USD 158,378
Phio Pharmaceuticals Corp (PHIO)
Buyer: Bitterman Robert J (Executive Director)
Shares Purchased: 5,000 (+1.8%)
Price: USD 1.14
Total Value: USD 5,700
Solitario Zinc Corp (XPL)
Buyer: HERALD CHRISTOPHER E (Officer)
Shares Purchased: 10,000 (+0.4%)
Price: USD 0.55
Total Value: USD 5,500
Eagle Bancorp Inc (EGBN)
Buyer: Mathews Louis P. Jr. (Non-Executive Director)
Shares Purchased: 1,500 (+17.3%)
Price: USD 17.20
Total Value: USD 25,800
ASA Gold and Precious Metals Ltd (ASA)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 9,784 (+0.2%)
Price: USD 46.94
Total Value: USD 459,261
Turn Therapeutics Inc (TTRX)
Buyer: GOLDEN ARTHUR F (Non-Executive Director)
Shares Purchased: 20,532 (+68.0%)
Price: USD 2.87
Total Value: USD 58,927
US Insider Sales
Criteo SA (CRTO)
Seller: Glickman Sarah JS (Officer)
Shares Sold: 3,982 (-1.1%)
Price: USD 19.51
Total Value: USD 77,689
Criteo SA (CRTO)
Seller: Damon Ryan (Officer)
Shares Sold: 3,394 (-2.8%)
Price: USD 19.51
Total Value: USD 66,217
Consolidated Water Co Ltd (CWCO)
Seller: MCTAGGART FREDERICK W. (Executive Director)
Shares Sold: 5,000 (-1.9%)
Price: USD 33.50
Total Value: USD 167,500
Guidewire Software Inc (GWRE)
Seller: Rosenbaum Michael George (Executive Director)
Shares Sold: 1,400 (-0.6%)
Price: USD 213.23
Total Value: USD 298,522
Imax Corp (IMAX)
Seller: Fernandes Natasha (Officer)
Shares Sold: 2,652 (-7.8%)
Price: USD 36.15
Total Value: USD 95,864
Hanmi Financial Corp (HAFC)
Seller: Pangrazio Joseph (Officer)
Shares Sold: 486 (-15.5%)
Price: USD 27.41
Total Value: USD 13,321
Travelers Companies Inc (TRV)
Seller: HEYMAN WILLIAM H (Officer)
Shares Sold: 1,000 (-0.4%)
Price: USD 292.00
Total Value: USD 292,000
Travelers Companies Inc (TRV)
Seller: HEYMAN WILLIAM H (Officer)
Shares Sold: 1,000 (-0.4%)
Price: USD 291.00
Total Value: USD 291,000
Hinge Health Inc (HNGE)
Seller: Leslie Kristina M (Non-Executive Director)
Shares Sold: 1,250 (-4.3%)
Price: USD 45.68
Total Value: USD 57,106
Independent Bank Corp (Massachusetts) (INDB)
Seller: Nadeau Gerard F (Non-Executive Director)
Shares Sold: 3,000 (-11.8%)
Price: USD 70.00
Total Value: USD 210,000
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 160 (-0.0%)
Price: USD 1,066.15
Total Value: USD 170,584
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 1,459 (-0.0%)
Price: USD 1,065.57
Total Value: USD 1,554,665
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 3,378 (-0.0%)
Price: USD 1,064.43
Total Value: USD 3,595,655
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 8,576 (-0.0%)
Price: USD 1,063.57
Total Value: USD 9,121,193
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 9,051 (-0.0%)
Price: USD 1,062.52
Total Value: USD 9,616,841
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 10,492 (-0.0%)
Price: USD 1,061.56
Total Value: USD 11,137,877
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 7,582 (-0.0%)
Price: USD 1,060.53
Total Value: USD 8,040,946
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 23,916 (-0.0%)
Price: USD 1,059.66
Total Value: USD 25,342,781
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 9,729 (-0.0%)
Price: USD 1,058.46
Total Value: USD 10,297,767
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 5,064 (-0.0%)
Price: USD 1,057.58
Total Value: USD 5,355,605
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 1,546 (-0.0%)
Price: USD 1,056.40
Total Value: USD 1,633,188
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 2,495 (-0.0%)
Price: USD 1,055.45
Total Value: USD 2,633,353
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 1,629 (-0.0%)
Price: USD 1,054.42
Total Value: USD 1,717,653
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 1,987 (-0.0%)
Price: USD 1,053.46
Total Value: USD 2,093,221
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 2,885 (-0.0%)
Price: USD 1,052.36
Total Value: USD 3,036,061
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 5,506 (-0.0%)
Price: USD 1,051.48
Total Value: USD 5,789,471
Eli Lilly and Co (LLY)
Seller: LILLY ENDOWMENT INC (Large shareholder)
Shares Sold: 9,871 (-0.0%)
Price: USD 1,050.27
Total Value: USD 10,367,235
Entergy Corp (ETR)
Seller: Landreaux Laura R (Officer)
Shares Sold: 2,500 (-10.5%)
Price: USD 93.66
Total Value: USD 234,150
Qualys Inc (QLYS)
Seller: Kim Joo Mi (Officer)
Shares Sold: 1,400 (-1.2%)
Price: USD 144.20
Total Value: USD 201,874
Qualys Inc (QLYS)
Seller: Kim Joo Mi (Officer)
Shares Sold: 2,594 (-2.2%)
Price: USD 143.37
Total Value: USD 371,903
Qualys Inc (QLYS)
Seller: Kim Joo Mi (Officer)
Shares Sold: 900 (-0.7%)
Price: USD 142.41
Total Value: USD 128,168
Qualys Inc (QLYS)
Seller: Kim Joo Mi (Officer)
Shares Sold: 600 (-0.5%)
Price: USD 141.58
Total Value: USD 84,948
Qualys Inc (QLYS)
Seller: Kim Joo Mi (Officer)
Shares Sold: 700 (-0.6%)
Price: USD 139.98
Total Value: USD 97,983
Qualys Inc (QLYS)
Seller: Kim Joo Mi (Officer)
Shares Sold: 800 (-0.7%)
Price: USD 138.77
Total Value: USD 111,015
Qualys Inc (QLYS)
Seller: Kim Joo Mi (Officer)
Shares Sold: 700 (-0.6%)
Price: USD 137.57
Total Value: USD 96,301
TransDigm Group Inc (TDG)
Seller: Stein Kevin M (Non-Executive Director)
Shares Sold: 230 (-2.7%)
Price: USD 1,360.31
Total Value: USD 312,871
Consolidated Water Co Ltd (CWCO)
Seller: MCTAGGART FREDERICK W. (Executive Director)
Shares Sold: 18,152 (-6.3%)
Price: USD 33.50
Total Value: USD 608,092
Travelers Companies Inc (TRV)
Seller: Rowland David Donnay (Officer)
Shares Sold: 5,000 (-22.2%)
Price: USD 290.57
Total Value: USD 1,452,849
Doximity Inc (DOCS)
Seller: Cabral Timothy S (Non-Executive Director)
Shares Sold: 10,000 (-75.6%)
Price: USD 50.00
Total Value: USD 500,000
Hinge Health Inc (HNGE)
Seller: Pursley James (Officer)
Shares Sold: 2,954 (-0.4%)
Price: USD 46.09
Total Value: USD 136,145
Hinge Health Inc (HNGE)
Seller: Pursley James (Officer)
Shares Sold: 9,332 (-1.2%)
Price: USD 45.75
Total Value: USD 426,965
Hinge Health Inc (HNGE)
Seller: Pursley James (Officer)
Shares Sold: 2,714 (-0.3%)
Price: USD 44.35
Total Value: USD 120,376
Medpace Holdings Inc (MEDP)
Seller: Troendle August J. (Executive Director Large shareholder)
Shares Sold: 21,858 (-2.6%)
Price: USD 592.18
Total Value: USD 12,943,870
Colgate-Palmolive Co (CL)
Seller: Massey Sally (Officer)
Shares Sold: 1,237 (-8.3%)
Price: USD 80.89
Total Value: USD 100,061
Celcuity Inc (CELC)
Seller: Dalvey David (Non-Executive Director)
Shares Sold: 15,000 (-12.0%)
Price: USD 100.00
Total Value: USD 1,500,017
Bandwidth Inc (BAND)
Seller: Bailey Brian D. (Non-Executive Director)
Shares Sold: 3,033 (-4.6%)
Price: USD 13.78
Total Value: USD 41,798
Bridgewater Bancshares Inc (BWB)
Seller: Crocker Mary Jayne (Officer)
Shares Sold: 5,920 (-2.7%)
Price: USD 17.00
Total Value: USD 100,640
Oshkosh Corp (OSK)
Seller: Cortina Ignacio A (Officer)
Shares Sold: 8,000 (-15.0%)
Price: USD 124.41
Total Value: USD 995,280
Palomar Holdings Inc (PLMR)
Seller: Armstrong Mac (Executive Director)
Shares Sold: 876 (-0.2%)
Price: USD 123.98
Total Value: USD 108,605
Palomar Holdings Inc (PLMR)
Seller: Armstrong Mac (Executive Director)
Shares Sold: 3,124 (-0.9%)
Price: USD 123.01
Total Value: USD 384,296
Palomar Holdings Inc (PLMR)
Seller: Armstrong Mac (Executive Director)
Shares Sold: 700 (-0.2%)
Price: USD 121.87
Total Value: USD 85,307
Palomar Holdings Inc (PLMR)
Seller: Armstrong Mac (Executive Director)
Shares Sold: 300 (-0.1%)
Price: USD 120.34
Total Value: USD 36,103
1-800-Flowers.Com Inc (FLWS)
Seller: Feldman Jonathan J. (Officer)
Shares Sold: 7,259 (-12.4%)
Price: USD 3.10
Total Value: USD 22,503
Vicor Corp (VICR)
Seller: Gusinov Alex (Officer)
Shares Sold: 1,571 (-10.0%)
Price: USD 86.05
Total Value: USD 135,185
Progressive Corp (PGR)
Seller: Broz Steven (Officer)
Shares Sold: 1,345 (-4.6%)
Price: USD 228.29
Total Value: USD 307,050
Kirby Corp (KEX)
Seller: Grzebinski David W (Executive Director)
Shares Sold: 29,451 (-27.0%)
Price: USD 107.41
Total Value: USD 3,163,332
Kirby Corp (KEX)
Seller: Husted Amy D. (Officer)
Shares Sold: 10,413 (-47.0%)
Price: USD 107.42
Total Value: USD 1,118,564
CDN Insider Purchases
Tidewater Midstream and Infrastructure Ltd (TWM)
Buyer: Toor, Nauman (Nick) (Large shareholder)
Shares Purchased: 16,600 (+0.7%)
Price: CAD 4.99
Total Value: CAD 82,907
Greenland Resources Inc (MOLY)
Buyer: Shiffman, Ruben (Executive Director Large shareholder)
Shares Purchased: 112,122 (+1.5%)
Price: CAD 1.65
Total Value: CAD 185,001
First Mining Gold Corp (FF)
Buyer: Neumeyer, Keith (Non-Executive Director)
Shares Purchased: 140,500 (+0.3%)
Price: CAD 0.34
Total Value: CAD 47,068
Computer Modelling Group Ltd (CMG)
Buyer: Davern, Alexander (Non-Executive Director)
Shares Purchased: 14,125
Price: CAD 3.55
Total Value: CAD 50,144
Pine Cliff Energy Ltd (PNE)
Buyer: Fryk, Robert Brent (Non-Executive Director)
Shares Purchased: 23,000 (+18.4%)
Price: CAD 0.84
Total Value: CAD 19,320
Morguard Real Estate Investment Trust (MRT.UN)
Buyer: Armoyan, Sime (Large shareholder)
Shares Purchased: 15,000 (+3.0%)
Price: CAD 5.75
Total Value: CAD 86,250
Morguard Real Estate Investment Trust (MRT.UN)
Buyer: Armoyan, Sime (Large shareholder)
Shares Purchased: 1,000 (+0.2%)
Price: CAD 5.75
Total Value: CAD 5,750
Power Metallic Mines Inc (PNPN)
Buyer: Lynch, Terry (Officer)
Shares Purchased: 95,000
Price: CAD 0.88
Total Value: CAD 83,315
Americas Gold and Silver Corporation (USA)
Buyer: Sprott, Eric (Large shareholder)
Shares Purchased: 250,000 (+13.9%)
Price: CAD 5.41
Total Value: CAD 1,351,650
Americas Gold and Silver Corporation (USA)
Buyer: 2176423 Ontario Ltd. (Large shareholder)
Shares Purchased: 250,000 (+13.9%)
Price: CAD 5.41
Total Value: CAD 1,351,650
Lithium Argentina AG (LAR)
Buyer: Mignacco, Franco (Executive Director)
Shares Purchased: 400,000 (+18.0%)
Price: USD 5.20
Total Value: USD 2,080,000
Epsilon Energy Ltd (EPSN)
Buyer: Stabell, Jason P. (Officer)
Shares Purchased: 9,700 (+2.0%)
Price: USD 4.77
Total Value: USD 46,269
DiaMedica Therapeutics Inc (DMAC)
Buyer: Staahlberg, Jan (Senior Officer of 10% Security Holder)
Shares Purchased: 128,426 (+1.6%)
Price: USD 7.41
Total Value: USD 951,213
Canadian Tire Corporation Ltd (CTC.A)
Buyer: Hakeem, Imran (Bob) (Officer)
Shares Purchased: 720 (+94.0%)
Price: CAD 165.84
Total Value: CAD 119,403
Western Forest Products Inc (WEF)
Buyer: Kernaghan, Edward Hume (Large shareholder)
Shares Purchased: 700 (+0.0%)
Price: CAD 10.39
Total Value: CAD 7,273
Western Forest Products Inc (WEF)
Buyer: Kernaghan, Edward Hume (Large shareholder)
Shares Purchased: 2,300 (+0.1%)
Price: CAD 10.40
Total Value: CAD 23,920
Western Forest Products Inc (WEF)
Buyer: Kernaghan, Edward Hume (Large shareholder)
Shares Purchased: 3,000 (+0.2%)
Price: CAD 10.45
Total Value: CAD 31,350
Western Forest Products Inc (WEF)
Buyer: Kernaghan, Edward Hume (Large shareholder)
Shares Purchased: 2,700 (+0.1%)
Price: CAD 10.50
Total Value: CAD 28,350
CDN Insider Sales
Power Corporation of Canada (POW)
Seller: Orr, Robert Jeffrey (Executive Director)
Shares Sold: 50,000 (-5.0%)
Price: CAD 68.61
Total Value: CAD 3,430,505
Power Corporation of Canada (POW)
Seller: Orr, Robert Jeffrey (Executive Director)
Shares Sold: 50,000 (-4.7%)
Price: CAD 68.19
Total Value: CAD 3,409,325
Power Corporation of Canada (POW)
Seller: Généreux, Claude (Officer)
Shares Sold: 20,000 (-70.3%)
Price: CAD 68.82
Total Value: CAD 1,376,350
Manulife Financial Corp (MFC)
Seller: Hirji, Rahim (Officer)
Shares Sold: 33,000 (-51.3%)
Price: CAD 48.25
Total Value: CAD 1,592,250
Fortis Inc (FTS)
Seller: McCarthy, Karen (Officer)
Shares Sold: 4,544 (-54.9%)
Price: CAD 72.60
Total Value: CAD 329,879
Fortis Inc (FTS)
Seller: McCarthy, Karen (Officer)
Shares Sold: 4,796 (-56.2%)
Price: CAD 72.60
Total Value: CAD 348,173
Fortis Inc (FTS)
Seller: McCarthy, Karen (Officer)
Shares Sold: 3,508 (-48.4%)
Price: CAD 72.60
Total Value: CAD 254,669
Great-West Lifeco Inc (GWO)
Seller: Moritz, Christine Marie (Executive Director)
Shares Sold: 4,695 (-50.0%)
Price: CAD 63.02
Total Value: CAD 295,887
Canadian Natural Resources Ltd (CNQ)
Seller: Pisio, Kyle Grayson (Officer)
Shares Sold: 5,000 (-17.7%)
Price: CAD 49.15
Total Value: CAD 245,750
Wajax Corp (WJX)
Seller: Auld, Stuart Harrison (Officer)
Shares Sold: 3,000 (-13.1%)
Price: CAD 26.60
Total Value: CAD 79,786
Wajax Corp (WJX)
Seller: Alford, Thomas Malcolm (Non-Executive Director)
Shares Sold: 2,900 (-43.9%)
Price: CAD 27.05
Total Value: CAD 78,445
Village Farms International Inc (VFF)
Seller: Hauger, Carolyn (Non-Executive Director)
Shares Sold: 22,000 (-43.1%)
Price: USD 3.75
Total Value: USD 82,500
Stingray Group Inc (RAY.A)
Seller: Trahan, Jean-Pierre (Officer)
Shares Sold: 3,150 (-1.3%)
Price: CAD 14.75
Total Value: CAD 46,463
Stingray Group Inc (RAY.A)
Seller: Feldman, Lloyd Perry (Officer)
Shares Sold: 5,000 (-2.2%)
Price: CAD 14.95
Total Value: CAD 74,750
Birchcliff Energy Ltd (BIR)
Seller: Geremia, Bruno P. (Officer)
Shares Sold: 66,667
Price: CAD 7.55
Total Value: CAD 503,336
Birchcliff Energy Ltd (BIR)
Seller: Carlsen, Christopher Andrew (Officer)
Shares Sold: 50,000
Price: CAD 7.50
Total Value: CAD 375,000
CCL Industries Inc (CCL.B)
Seller: Lang, Stuart W. (Large shareholder)
Shares Sold: 6,900 (-0.4%)
Price: CAD 85.02
Total Value: CAD 586,638
Canadian Utilities Ltd (CU)
Seller: Normand, Robert John (Non-Executive Director)
Shares Sold: 3,000 (-8.9%)
Price: CAD 41.65
Total Value: CAD 124,950
Institutional Spotlight: November 24, 2025
MERSANA THERAPEUTICS (MRSN)
683 Capital Management LLC increased its position, holding 273,420 SH for 5.47% ownership, marking a notable institutional stake in the company.
VERRICA PHARMACEUTICALS (VRCA)
Caligan Partners LP maintains a significant position with 6,503,054 SH, representing 9.99% ownership, reflecting a continued high-conviction stake.
SYLVAMO CORPORATION (SLVM)
Integrated Core Strategies (US) LLC holds 2,148,608 SH, amounting to 5.40% ownership, indicating a sustained institutional presence.
BILL HOLDINGS (BILL)
Point72 Asset Management LP holds 5,035,627 SH for 5.00% ownership, reflecting a continued sizable position.
ECHOSTAR / SATS (SATS)
Darsana Capital Partners LP holds 8,350,000 SH, representing 5.30% ownership, marking a firmly established stake.
BLACKSTONE PRIVATE REAL ESTATE CREDIT & INCOME FUND (N/A)
Blackstone Holdings I II GP LLC reports a major position of 21,346,002 SH, representing 78.20% ownership, indicating substantial control.
XPEL INC. (XPEL)
Alta Fox Opportunities Fund LP holds 1,438,831 SH, totaling 5.20% ownership, marking a significant institutional position.
HEALTH TECH FUNDING LTD. (HTFL)
HealthCor Partners Management LP holds 6,697,556 SH for 7.90% ownership, representing a notable and concentrated stake.
STAAR SURGICAL (STAA)
Broadwood Partners LP maintains a dominant position with 15,045,391 SH, equating to 30.20% ownership, reflecting long-standing high-conviction ownership.
Tickers: MRSN, VRCA, SLVM, BILL, SATS, XPEL, HTFL, STAA
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
CD, PSNL, RSSS, ADPT, FLYX, TARA, STI, IVA, MNPR, HRI, LYEL, MRVI, BLFS, LITE, SGHT, NRIX, WGS, TNDM, CDNA, COMP, VSCO, CGEM, RGNX, ORKA, ROST, AMLX, TRAW, ARQT, RKT, GDOT, VCYT, ONDS, ALLT, AAP, OFIX, FFWM, ORMP, IZEA, NPCE, WTM, FIGS, H, KNX, ST, COGT, LEN, FOR, BLD, IMNM, CLNN, TENX, AEO, SRRK, TMDX, LRMR, M, PCAR, YOU, EXPE, PRVA, AHCO, DYN, OLMA, LUV, PVH, BALY, LSCC, ANAB, GLUE, AAL, INBX, GH, STOK, ERAS, BURL, TSHA, ENTA, CCL, FDMT, SGML, CURI, ASMB, EHAB, SITE, MAR, NRIM, DGII, XHB, AXGN, DAL, COFS, GKOS, MDV, ORRF, PLNT, APGE, GMED, LION, ARVN, PFS, JBIO, PHAT, OCUL, IMRX, OUT, EBC, INDB, AN, ASC, NRXS, BHRB, MDRX, MCB, AXSM, A, CWBC, TOL, CGON, BIIB, LFST, UPS, URGN, UPWK, CFFN, LOCO, CEE, ALHC, FIVE, HLT, MIST, ZVIA, PRM, ULTA, CBU, ILMN, DD, LEG, HVT, COMM, MTD, VIK, NU, LEVI, SNWV, FXNC, AUPH, GOOGL, BUSE, DVAX, FSLY, SKY, ATRA, GOLF, TARS, BOKF, FNLC, THR, BKU, CMC, REAL, OMF, FCF, KROS, GM, WMG, GOOG, HROW, UBFO, STLD, WBS, MEG, SYF, TBPH, CVBF, SGI, HAS, CFG, ENVA, KW, PEN, INDV, LODE, SHIP, OBT, NESR, TPR, CORT, FOA, VRDN, MRK, CREX, CTMX, FUNC, MOD, UHS, WSBC, STRW, U, DRH, INSW, PVLA, GEF, CRBP, ROK, RPID, WINA, FIBK, ZWS, LBTYA, PTCT, AZN, NVGS, PFE, TK, CMA, LOW, TMO, BL, FLS, AB, NATL, IRON, PFGC, MITT, UNCY, APA, KO, NNI, TFC, FDX, SUI, ATMU, RSI, STAA, DHR, BN, EGP, DE, SNDX, BSVN, TJX, ELVN, MAMA, UNP, NTRA, AMRK, TLSI, KYMR, YEXT, NSC, PLD, CRNX, MMM, REPL, CHRW, ANDE, BNL, CMI, HALO, AAPL, SRE, CMRE, VEON, MCK, DGX, VSTM, BG, JHG, EWTX, SCO, XNCR, FR, PNC, PFSI, WCC, MDT, QQXT, ACRV, FXO, CHDN, MCD, ISRG, SEE, SXT, SPG, BDX, ORI, CNTA, GRCE, LH, WWD, MD, TGNA, LLY, BCAL, RAPP, CNK, CCK, KZR, TDG, ACT, FIHL, SSNC, FRI, ORLY, PTGX, RVMD, DVN, AENT, RPRX, YUMC, TPG, EPAM, GILD, EZPW, MSGE, WBD, AZO, EW, ALL, LNT, MOFG, WELL, WMB, HMN, BMEZ, EVRG, AMBP, MDGL, RYTM, OVV, TIGO
Canadian Institutional Momentum Watchlist
EXPORT – Canadian Institutional Momentum Watchlist
MG.TO, TMQ.TO, LNR.TO, ATZ.TO, MRE.TO, TVE.TO, ERO.TO, SGD.V, DOO.TO, AGF/B.TO, ATD.TO, DBM.TO, RCH.TO, PBH.TO, ARIS.TO, BN.TO, POW.TO, BBD/B.TO, ET.TO, NWH/UN.TO, IAG.TO, DFY.TO, SIA.TO, MFC.TO, CAS.TO, GWO.TO, KNT.TO, WPK.TO, SAP.TO, ELF.TO, FFH.TO, RY.TO, EFX.TO, MI/UN.TO, EXE.TO, MTL.TO, SLF.TO, ABX.TO, RCI/B.TO, QBR/B.TO, L.TO, LB.TO, WRN.TO, EFN.TO, CGO.TO, CHP/UN.TO, TOU.TO, ARG.TO, CRR/UN.TO, WN.TO, CCA.TO, H.TO, SES.TO, FCR/UN.TO, IGM.TO, KPT.TO, KEY.TO, REI/UN.TO, POU.TO, TD.TO, BCE.TO, NVA.TO, BNE.TO, NA.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!




