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Unusual Activity Report
This daily report focuses on three key components that can lead to market momentum: unusual options activity, insider buying, and institutional sponsorship. By scanning for these signals each day, we uncover potential stock movements driven by notable trades, insider transactions, and institutional investments. Using advanced algorithms and proprietary research methods, we sift through vast amounts of data to identify unique opportunities, offering timely insights highlighting emerging market momentum.
Disclaimer: All data and information presented in this report are sourced from publicly available materials intended for informational purposes only. The content is not a recommendation to buy or sell securities and should not be relied upon as financial advice. Readers are encouraged to conduct their own research before making any investment decisions.
Standout Options Trades
This section highlights notable options trades reflecting significant sentiment—bullish, bearish, or mixed—characterized by high-dollar-value transactions or large trade sizes exceeding prior open interest. When open interest rises from the previous day, it often indicates the creation of new positions rather than the closing of existing ones, suggesting a fresh outlook on the underlying stock or ETF.
For instance, call buying generally signals an expectation of upward movement, while selling calls suggest the trader anticipates the price will stay below a certain level. Put selling reflects confidence that the price will hold above the strike, implying stability. In contrast, put buying may reveal a bearish outlook or serve as a hedge against a larger bullish position elsewhere.
This report highlights large, unusual options trades identified for their size and potential impact, representing individual sentiment rather than broad market consensus. These trades are informational and are not intended as buy or sell signals. They reflect noteworthy activity observed during the trading day and should be viewed as one part of a broader analysis.
Options Flow Analysis: Trading Day 2025-8-7
The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2025-8-7. 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.
Tesla (TSLA)
Sentiment: Bullish
Options Activity: Large premium collected from put selling, with $56.4M in put premium sold compared to $9.75M bought. Call activity showed $30M bought vs. $19.1M sold.
Total Premium: $57,547,703
Analysis: The dominant put selling suggests bullish sentiment, reflecting institutional confidence in price stability or further upside.
Duolingo (DUOL)
Sentiment: Bullish
Options Activity: Heavy call buying with $27.2M in premium, while put selling totaled $790K.
Total Premium: $25,910,836
Analysis: Strong call buying and modest put selling indicate institutional positioning for upside potential.
Avis Budget Group (CAR)
Sentiment: Bullish
Options Activity: Significant premium collected from put selling at $25.8M, while only $1.3M was spent on put buys.
Total Premium: $24,489,250
Analysis: The overwhelming premium collected through put selling highlights bullish sentiment and confidence in price holding up.
NVIDIA (NVDA)
Sentiment: Bullish
Options Activity: $62.9M in call premium bought vs. $50.2M sold. On the put side, more was sold ($22.9M) than bought ($16.8M).
Total Premium: $18,752,667
Analysis: A mix of call buying and put selling supports a bullish stance on further upside continuation.
Advanced Micro Devices (AMD)
Sentiment: Bullish
Options Activity: $43.6M in call premium bought, while put selling slightly outpaced buying.
Total Premium: $16,817,687
Analysis: Institutional flow favors upside continuation, supported by call buying and balanced put action.
Apple (AAPL)
Sentiment: Bullish
Options Activity: $69.2M in calls bought vs. $54.7M sold. Puts were relatively balanced.
Total Premium: $13,643,412
Analysis: Strong call demand combined with relatively muted put flows reinforces a bullish outlook.
Taiwan Semiconductor (TSM)
Sentiment: Bullish
Options Activity: $11.7M in call premium bought and modest put selling.
Total Premium: $11,072,510
Analysis: Call flow dominates, indicating expectations for upside in the near term.
The Boeing Company (BA)
Sentiment: Bullish
Options Activity: Moderate call buying and significant put selling activity.
Total Premium: $5,856,692
Analysis: The combination of collected premium from put selling and call buys points to institutional confidence.
Nebius Group (NBIS)
Sentiment: Bullish
Options Activity: $18.1M in call premium bought and $1.9M in put premium sold.
Total Premium: $4,855,144
Analysis: Strong call interest and collected put premium signal a bullish positioning.
Eos Energy (EOSE)
Sentiment: Bullish
Options Activity: $5.9M in calls bought and premium collected from put selling.
Total Premium: $4,488,207
Analysis: The aggressive call buying and added confidence from put selling point to institutional bullishness.
Bitmine Immersion Technologies (BMNR)
Sentiment: Bullish
Options Activity: $7.89M in call premium bought, alongside modest put selling.
Total Premium: $4,324,464
Analysis: Continued institutional interest reflected in both call buying and bullish put selling on this microcap name.
Oscar Health (OSCR)
Sentiment: Bullish
Options Activity: $4.8M in call premium bought vs. modest put buying and put selling.
Total Premium: $4,235,906
Analysis: Heavy call buying suggests institutions are expecting upward movement.
Sunrun (RUN)
Sentiment: Bullish
Options Activity: $4.6M in calls bought and $3.1M in puts sold.
Total Premium: $3,691,178
Analysis: The premium collected on the put side signals bullish sentiment and downside support.
PDD Holdings (PDD)
Sentiment: Bullish
Options Activity: $4.9M in call premium bought and modest put selling.
Total Premium: $3,036,517
Analysis: The premium skew supports a bullish outlook with a focus on upside participation.
Core Scientific (CORZ)
Sentiment: Bullish
Options Activity: $2.6M in calls bought and put selling matched closely.
Total Premium: $2,493,523
Analysis: Call interest combined with put premium collected signals continued bullish sentiment in the crypto mining space.
Alibaba (BABA)
Sentiment: Bullish
Options Activity: $4.1M in call premium bought and minimal put buying.
Total Premium: $2,422,494
Analysis: Call activity dominated the flow, suggesting upside expectations despite modest size.
Coinbase (COIN)
Sentiment: Bullish
Options Activity: $3.6M in calls bought and $1.6M in puts sold.
Total Premium: $2,331,829
Analysis: Institutions continue to express confidence in COIN through both call buying and put selling.
Guardant Health (GH)
Sentiment: Bullish
Options Activity: $1.1M in calls bought with notable put selling.
Total Premium: $2,293,720
Analysis: Institutions are positioning for upside while collecting premium through put selling.
Uber Technologies (UBER)
Sentiment: Bullish
Options Activity: $3.2M in calls bought, supported by put selling.
Total Premium: $2,005,572
Analysis: Positive net premium and call-heavy flows suggest institutions are leaning bullish.
Viking Therapeutics (VKTX)
Sentiment: Bullish
Options Activity: $1.8M in call premium bought.
Total Premium: $1,842,400
Analysis: Call flow highlights speculative bullish positioning in this biotech name.
iShares Bitcoin Trust (IBIT)
Sentiment: Bullish
Options Activity: $9.5M in calls bought and put selling also contributed.
Total Premium: $7,594,475
Analysis: Strong bullish stance as capital flows into both call positions and premium collection from put selling.
SPDR Gold Trust (GLD)
Sentiment: Bullish
Options Activity: $3.4M in calls bought, supported by $5.1M in put selling.
Total Premium: $6,484,860
Analysis: The combination of call interest and strong premium collected from put selling reflects bullish commodity sentiment.
Grayscale Bitcoin Trust (GBTC)
Sentiment: Bullish
Options Activity: $6.2M in call premium bought.
Total Premium: $6,255,000
Analysis: Strong directional call buying indicates bullish bets on Bitcoin through GBTC.
iShares Ethereum Trust (ETHA)
Sentiment: Bullish
Options Activity: $6.7M in call premium bought and premium collected from put selling.
Total Premium: $5,034,954
Analysis: Ethereum ETF continues to attract bullish interest from institutions as technical levels improve.
Invesco QQQ Trust (QQQ)
Sentiment: Bullish
Options Activity: $22.8M in call premium bought, with more puts sold than bought.
Total Premium: $4,824,238
Analysis: Heavy QQQ call buying and net put selling suggest confidence in broader tech strength.
iShares Silver Trust (SLV)
Sentiment: Bullish
Options Activity: $7.2M in call premium bought and $810K in put selling.
Total Premium: $2,291,995
Analysis: Continued bullish positioning in silver with capital favoring long exposure.
Important Note: The numbers above only represent aggregate figures of large block trades made by institutions. They are not total-market figures and should not be interpreted as such.
Individual Options Trades: Trading Day 2025-8-7
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.
Pony.ai (PONY)
Sentiment: Bullish
Options Activity: Notable call buying for the November 21, 2025 expiry, with trades executed near the money at the $15 strike. Contracts were bought at slightly varying spot prices ($14.93–$15.01) with over $292,000 in total premium.
Days to Expiry: 106
Total Premium: $292,680
Analysis: The activity suggests positioning for upside into year-end. The clustering of trades near the $15 level indicates traders may be anticipating a move higher from current levels around $15.
Viking Therapeutics (VKTX)
Sentiment: Bullish
Options Activity: Sizeable call buying for the November 21, 2025 expiry at the $45 strike, well above the spot price of $34.57. The trade was marked “Size > Prior OI,” suggesting a new position.
Days to Expiry: 106
Total Premium: $1,695,000
Analysis: Traders appear to be positioning for a substantial move higher, possibly based on expected catalysts or technical momentum. The strike is significantly out-of-the-money, implying high conviction in upside potential.
Hewlett Packard Enterprise (HPE)
Sentiment: Bullish
Options Activity: High-volume call buying across multiple strikes and expirations, mostly for November 21, 2025, and August 15, 2025. Multiple trades were tagged as “Size > Prior OI.”
Days to Expiry: 8 and 106
Total Premium: $1,044,324
Analysis: The consistent call accumulation suggests growing bullish sentiment. With the stock trading near $20.30, repeated targeting of $22–$23 strikes points to expectations for continued upside.
Baidu (BIDU)
Sentiment: Bullish
Options Activity: Long-dated call buying at the $95 strike for January 15, 2027, with the trade tagged “Size > Prior OI.” Spot was $87.10 at the time.
Days to Expiry: 526
Total Premium: $757,500
Analysis: Positioning appears strategic, targeting longer-term gains as traders look beyond near-term volatility. The trade reflects confidence in BIDU’s long-term recovery.
Cisco Systems (CSCO)
Sentiment: Bullish
Options Activity: Repeated call buying for the September 19, 2025 expiry at the $70 strike, with all trades initiated above spot ($69.28–$69.60).
Days to Expiry: 43
Total Premium: $251,848
Analysis: With the strike slightly out-of-the-money, these trades suggest a bet on near-term strength. The premium size reflects solid conviction for a move through the $70 level.
AbbVie Inc. (ABBV)
Sentiment: Bullish
Options Activity: Aggressive call buying for the August 15, 2025 expiry at the $200 strike and put selling at the $185 strike.
Days to Expiry: 8
Total Premium: $389,931
Analysis: The combination of call buying and out-of-the-money put selling reflects confidence in ABBV holding or advancing from the current $198 level into expiration.
Guess Inc. (GES)
Sentiment: Bullish
Options Activity: Two “Size > Prior OI” call trades at the $10 strike for the September 19, 2025 expiry, with the spot price at $13.58.
Days to Expiry: 43
Total Premium: $218,295
Analysis: Deep in-the-money calls suggest a leveraged bullish bet with limited time decay risk. Traders may expect continuation of upside momentum.
BitMine Immersion Technologies (BMNR)
Sentiment: Bullish
Options Activity: Heavy call buying across October 17, 2025 and February 20, 2026 expiries. All trades marked as “Size > Prior OI,” including multiple multi-million dollar premium flows.
Days to Expiry: 71 and 197
Total Premium: $6,546,000
Analysis: Institutional-grade positioning suggests anticipation of another leg higher. The consistent interest across expirations implies both short- and medium-term bullish outlooks.
Energy Vault Holdings (NRGV)
Sentiment: Bullish
Options Activity: Notable put selling for both August 15 and September 19, 2025 expiries at the $2 strike. All trades marked “Size > Prior OI.”
Days to Expiry: 8 and 43
Total Premium: $459,688
Analysis: With the stock trading at $1.50, traders are expressing confidence that NRGV will hold the $2 level or recover above it. The aggressive put selling reflects bullish risk-taking.
Utilities Select Sector SPDR Fund (XLU)
Sentiment: Bullish
Options Activity: Two put-selling trades for December 2025 and December 2027 expiries, both marked “Size > Prior OI.”
Days to Expiry: 134 and 863
Total Premium: $610,500
Analysis: Selling puts near current levels implies traders expect continued stability or moderate upside in the utility sector over long horizons.
Tesla Inc. (TSLA)
Sentiment: Bullish
Options Activity: Large call trade for December 19, 2025 at the $235 strike, far out-of-the-money with TSLA trading near $320.
Days to Expiry: 134
Total Premium: $7,251,090
Analysis: Despite the strike being well below current price, the trade could represent a complex spread or a hedge. The size implies strong directional conviction.
QuantumScape Corporation (QS)
Sentiment: Bullish
Options Activity: Call buying at the $7 strike for the September 19, 2025 expiry. The spot was $8.95, making these deep in-the-money.
Days to Expiry: 43
Total Premium: $919,072
Analysis: Traders appear to be targeting leverage through in-the-money calls, anticipating further upside in the near term.
USA Rare Earth (USAR)
Sentiment: Bullish
Options Activity: Call buying at the $11 strike for the September 19, 2025 expiry, well below the spot of $14.82.
Days to Expiry: 43
Total Premium: $574,050
Analysis: In-the-money call accumulation reflects strong directional bets on continued upside in USAR.
GDS Holdings (GDS)
Sentiment: Bullish
Options Activity: Multiple trades in the August 15, 2025 expiry, including call buying at $39–$40 strikes and put selling at $36. A “Size > Prior OI” tag confirmed fresh positioning.
Days to Expiry: 8
Total Premium: $486,042
Analysis: The mix of long calls and short puts reflects confidence in price staying elevated above $36 in the very near term.
Venture Global (VG)
Sentiment: Bearish
Options Activity: Put buying across September 2025 and January 2026 expiries, with strikes far below spot ($14.46).
Days to Expiry: 44 and 163
Total Premium: $1,300,545
Analysis: These trades suggest downside hedging or bearish directional bets, particularly given the deep out-of-the-money strikes.
AdvisorShares Pure US Cannabis ETF (MSOS)
Sentiment: Bullish
Options Activity: Call buying at the $5 strike for the January 16, 2026 expiry, deep in-the-money with spot at $3.47.
Days to Expiry: 162
Total Premium: $403,012
Analysis: Positioning suggests traders are looking to participate in any major rebound in the cannabis sector with controlled downside.
iShares Bitcoin Trust (IBIT)
Sentiment: Bullish
Options Activity: Call buying for November and December 2025 expiries at the $70 strike. Spot price was $66.85.
Days to Expiry: 106 and 134
Total Premium: $4,025,800
Analysis: The call accumulation reflects a directional bet on Bitcoin strength continuing into year-end, with IBIT as the chosen proxy.
Standard Lithium Ltd. (SLI)
Sentiment: Bullish
Options Activity: Call buying for the January 16, 2026 expiry at the $5 strike, with the trade marked “Size > Prior OI” and tagged as Pre-Earnings.
Days to Expiry: 162
Total Premium: $99,600
Analysis: The pre-earnings positioning signals confidence in a positive catalyst ahead. The deep in-the-money structure reflects strong conviction for a rebound as earnings approach.
First Majestic Silver Corp. (AG)
Sentiment: Bullish
Options Activity: Call buying at the $10 strike for January 15, 2027. Spot was $8.73 at the time.
Days to Expiry: 526
Total Premium: $219,895
Analysis: Traders may be positioning for a long-term recovery in the silver space. The trade structure suggests patient accumulation.
iShares Silver Trust (SLV)
Sentiment: Bullish
Options Activity: Massive call buying for December 19, 2025 at the $32 strike, with over $3.1 million in premium.
Days to Expiry: 134
Total Premium: $3,162,711
Analysis: Heavy institutional flow betting on a silver breakout. The size and strike suggest expectations for significant upside in coming months.
Oscar Health (OSCR)
Sentiment: Bullish
Options Activity: Put selling for the December 19, 2025 expiry at the $12 strike, marked “Size > Prior OI.”
Days to Expiry: 134
Total Premium: $420,910
Analysis: Traders are expressing confidence that OSCR will remain above $12, collecting premium while anticipating stability or a bounce.
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
Aurora Innovation Inc (AUR)
Buyer: Donahoe John J (Non-Executive Director)
Shares Purchased: 162,337 (+inf%)
Price: USD 6.10
Total Value: USD 989,460
Avidia Bancorp Inc (AVBC)
Buyer: Karmelek Nicolas (Officer)
Shares Purchased: 20,779 (+5804.2%)
Price: USD 14.44
Total Value: USD 300,001
Avidia Bancorp Inc (AVBC)
Buyer: Doane Thomas (Officer)
Shares Purchased: 14,665 (+5534.0%)
Price: USD 14.44
Total Value: USD 211,729
Aramark (ARMK)
Buyer: ZILLMER JOHN J (Executive Director)
Shares Purchased: 6,387 (+0.8%)
Price: USD 39.07
Total Value: USD 249,569
Olin Corp (OLN)
Buyer: Ehrhardt Marc (Officer)
Shares Purchased: 20,000 (+inf%)
Price: USD 18.70
Total Value: USD 373,956
Kemmer Corp (KMPR)
Buyer: Gorevic Jason N (Non-Executive Director)
Shares Purchased: 2,000 (+10.0%)
Price: USD 49.14
Total Value: USD 98,280
Kemmer Corp (KMPR)
Buyer: Canida Teresa Alvarez (Non-Executive Director)
Shares Purchased: 2,000 (+7.5%)
Price: USD 48.96
Total Value: USD 97,920
Aurora Innovation Inc (AUR)
Buyer: Donahoe John J (Non-Executive Director)
Shares Purchased: 162,337 (+inf%)
Price: USD 6.10
Total Value: USD 989,460
Ark Restaurants Corp (ARKR)
Buyer: SATTERFIELD THOMAS A JR (Large shareholder)
Shares Purchased: 12,125 (+7.1%)
Price: USD 7.48
Total Value: USD 90,695
Avidia Bancorp Inc (AVBC)
Buyer: Jensen Barry H (Officer)
Shares Purchased: 5,000 (+166.7%)
Price: USD 14.30
Total Value: USD 71,500
Mackenzie Realty Capital Inc (NONE)
Buyer: DIXON ROBERT E (Officer)
Shares Purchased: 22,559 (+inf%)
Price: USD 4.31
Total Value: USD 97,229
Tronox Holdings PLC (TROX)
Buyer: Jones Stephen J (Non-Executive Director)
Shares Purchased: 7,000 (+19.4%)
Price: USD 3.20
Total Value: USD 22,379
Northwest Bancshares Inc (NWBI)
Buyer: Hunter Timothy M (Non-Executive Director)
Shares Purchased: 10,000 (+5.7%)
Price: USD 11.66
Total Value: USD 116,560
Phinia Inc (PHIN)
Buyer: Gustanski Christopher (Officer)
Shares Purchased: 3,100 (+13.4%)
Price: USD 50.80
Total Value: USD 157,486
Southern National Bancorp of Virginia Inc (SONA)
Buyer: GARRETT F L III (Non-Executive Director)
Shares Purchased: 2,261 (+5.3%)
Price: USD 11.07
Total Value: USD 25,029
Princeton Bancorp Inc (BPRN)
Buyer: TUCHMAN MARTIN (Non-Executive Director, Large shareholder)
Shares Purchased: 1,539 (+1.3%)
Price: USD 31.03
Total Value: USD 47,759
Avidia Bancorp Inc (AVBC)
Buyer: Cozzone Robert D (Executive Director)
Shares Purchased: 1,000 (+inf%)
Price: USD 14.30
Total Value: USD 14,300
First National Corp (FXNC)
Buyer: Schwartz Brad E (Officer)
Shares Purchased: 1,000 (+25.0%)
Price: USD 21.02
Total Value: USD 21,020
Kforce Inc (KFRC)
Buyer: Brooks Derrick Dewan (Non-Executive Director)
Shares Purchased: 336 (+18.9%)
Price: USD 32.71
Total Value: USD 10,991
US Insider Sales
American Express Co (AXP)
Seller: Seeger Laureen (Officer)
Shares Sold: 16,998 (-65.4%)
Price: USD 294.83
Total Value: USD 5,011,520
A. O. Smith Corp (AOS)
Seller: STERN JAMES F (Officer)
Shares Sold: 17,434 (-15.0%)
Price: USD 71.24
Total Value: USD 1,241,953
Unity Software Inc (U)
Seller: Bar-Zeev Tomer (Non-Executive Director)
Shares Sold: 49,509 (-2.3%)
Price: USD 38.32
Total Value: USD 1,897,185
Comfort Systems USA Inc (FIX)
Seller: MYERS FRANKLIN (Non-Executive Director)
Shares Sold: 4,500 (-4.3%)
Price: USD 683.57
Total Value: USD 3,076,045
Oshkosh Corp (OSK)
Seller: Freeders James C (Officer)
Shares Sold: 5,575 (-37.7%)
Price: USD 136.68
Total Value: USD 761,991
Oshkosh Corp (OSK)
Seller: Freeders James C (Officer)
Shares Sold: 4,300 (-31.8%)
Price: USD 136.59
Total Value: USD 587,346
Standex International Corp (SXI)
Seller: Sarcevic Ademir (Officer)
Shares Sold: 3,047 (-21.2%)
Price: USD 191.80
Total Value: USD 584,405
Oshkosh Corp (OSK)
Seller: Freeders James C (Officer)
Shares Sold: 2,250 (-19.6%)
Price: USD 136.72
Total Value: USD 307,620
BlackRock California Municipal Income Trust (BFZ)
Seller: Saba Capital Management, L.P. (Large shareholder)
Shares Sold: 67,985 (-1.7%)
Price: USD 10.59
Total Value: USD 719,961
Trex Company Inc (TREX)
Seller: Fernandez Amy M. (Officer)
Shares Sold: 1,538 (-6.3%)
Price: USD 64.18
Total Value: USD 98,711
Nuveen Pennsylvania Quality Municipal Income Fund (NQP)
Seller: Saba Capital Management, L.P. (Large shareholder)
Shares Sold: 8,505 (-0.2%)
Price: USD 11.05
Total Value: USD 93,980
Portland General Electric Co (POR)
Seller: McFarland John Carter (Officer)
Shares Sold: 2,190 (-9.5%)
Price: USD 42.34
Total Value: USD 92,725
First Mid Bancshares Inc (FMBH)
Seller: Dean Clay M (Officer)
Shares Sold: 1,553 (-12.1%)
Price: USD 37.64
Total Value: USD 58,440
Yum! Brands Inc (YUM)
Seller: Cornell Brian C (Non-Executive Director)
Shares Sold: 1,993 (-100.0%)
Price: USD 139.92
Total Value: USD 278,861
Yum! Brands Inc (YUM)
Seller: Cornell Brian C (Non-Executive Director)
Shares Sold: 87 (-100.0%)
Price: USD 139.92
Total Value: USD 12,173
Prosperity Bancshares Inc (PB)
Seller: HOLMES NED S (Non-Executive Director)
Shares Sold: 500 (-0.4%)
Price: USD 66.33
Total Value: USD 33,166
Prosperity Bancshares Inc (PB)
Seller: HOLMES NED S (Non-Executive Director)
Shares Sold: 500 (-0.5%)
Price: USD 66.33
Total Value: USD 33,166
Prosperity Bancshares Inc (PB)
Seller: HOLMES NED S (Non-Executive Director)
Shares Sold: 100 (-0.2%)
Price: USD 66.35
Total Value: USD 6,635
Sensient Technologies Corp (SXT)
Seller: Jain Sharad P (Non-Executive Director)
Shares Sold: 1 (-0.0%)
Price: USD 114.14
Total Value: USD 141
Unity Software Inc (U)
Seller: Bar-Zeev Tomer (Non-Executive Director)
Shares Sold: 491 (-0.0%)
Price: USD 38.86
Total Value: USD 19,080
Yum! Brands Inc (YUM)
Seller: Mezvinsky Scott (Officer)
Shares Sold: 263 (-13.0%)
Price: USD 139.92
Total Value: USD 36,799
CDN Insider Purchases
Freeman Gold Corp (FMAN)
Buyer: Moubarak, Bassam (Executive Director)
Shares Purchased: 1,750,000 (+27.7%)
Price: CAD 0.10
Total Value: CAD 175,000
Freeman Gold Corp (FMAN)
Buyer: Matysek, Paul Frank (Executive Director)
Shares Purchased: 1,750,000 (+23.6%)
Price: CAD 0.10
Total Value: CAD 175,000
Wolfden Resources Corp (WLF)
Buyer: Kinross Gold Corporation (Large shareholder)
Shares Purchased: 2,328,181 (+14.9%)
Price: CAD 0.08
Total Value: CAD 186,254
CI Financial Corp (CIX)
Buyer: Butt, William Emerson (Non-Executive Director)
Shares Purchased: 157,000
Price: CAD 31.93
Total Value: CAD 5,013,120
TC Energy Corp (TRP)
Buyer: JONES, SUSAN C. (Non-Executive Director)
Shares Purchased: 7,410 (+52.3%)
Price: CAD 67.47
Total Value: CAD 499,930
Air Canada (AC)
Buyer: Strom, Murray Douglas (Officer)
Shares Purchased: 5,250 (+53.2%)
Price: CAD 18.90
Total Value: CAD 99,225
Freeman Gold Corp (FMAN)
Buyer: Marcotte, Simon (Non-Executive Director)
Shares Purchased: 950,000 (+26.7%)
Price: CAD 0.10
Total Value: CAD 95,000
ARC Resources Ltd (ARX)
Buyer: Banducci, Carol (Non-Executive Director)
Shares Purchased: 3,725 (+164.5%)
Price: CAD 27.36
Total Value: CAD 101,916
Sol Strategies Inc (HODL)
Buyer: Guoga, Antanas (Tony) (Large shareholder)
Shares Purchased: 14,500 (+0.4%)
Price: CAD 10.41
Total Value: CAD 150,946
Sol Strategies Inc (HODL)
Buyer: Guoga, Antanas (Tony) (Large shareholder)
Shares Purchased: 5,500 (+0.1%)
Price: CAD 10.04
Total Value: CAD 55,193
Spartan Metals Corp.
Buyer: Egger, Burton (Non-Executive Director)
Shares Purchased: 100,000 (+1.5%)
Price: CAD 0.30
Total Value: CAD 30,000
Canadian North Resources Inc (CNRI)
Buyer: Shim, Lee Q. (Non-Executive Director, Large shareholder)
Shares Purchased: 11,500 (+2.2%)
Price: CAD 0.70
Total Value: CAD 8,050
GFG Resources Inc (GFG)
Buyer: Skanderbeg, Brian Neville (Officer)
Shares Purchased: 40,000 (+0.6%)
Price: CAD 0.14
Total Value: CAD 5,600
Imperial Equities Inc (IEI)
Buyer: CHADI, SINE KASSIM (Executive Director, Large shareholder)
Shares Purchased: 2,500 (+0.1%)
Price: CAD 3.85
Total Value: CAD 9,625
VersaBank (VBNK)
Buyer: George, Patrick (Director or Senior Officer of 10% Security Holder)
Shares Purchased: 700 (+0.1%)
Price: CAD 15.60
Total Value: CAD 10,920
VersaBank (VBNK)
Buyer: George, Patrick (Director or Senior Officer of 10% Security Holder)
Shares Purchased: 2,500 (+0.3%)
Price: CAD 15.50
Total Value: CAD 38,750
Churchill Resources Inc (CRI)
Buyer: Fisher, William J. (Non-Executive Director)
Shares Purchased: 50,000 (+47.8%)
Price: CAD 0.94
Total Value: CAD 46,750
Churchill Resources Inc (CRI)
Buyer: Fisher, William J. (Non-Executive Director)
Shares Purchased: 8,000 (+5.2%)
Price: CAD 0.09
Total Value: CAD 720
Quimbaya Gold Inc (QIM)
Buyer: Poirier Boivin, Alexandre (Executive Director, Large shareholder)
Shares Purchased: 10,000 (+0.2%)
Price: CAD 0.57
Total Value: CAD 5,650
Quimbaya Gold Inc (QIM)
Buyer: Poirier Boivin, Alexandre (Executive Director, Large shareholder)
Shares Purchased: 10,000 (+0.2%)
Price: CAD 0.55
Total Value: CAD 5,510
Touchstone Exploration Inc (TXP)
Buyer: Baay, Paul Raymond (Executive Director)
Shares Purchased: 25,232 (+1.0%)
Price: CAD 0.25
Total Value: CAD 6,308
Touchstone Exploration Inc (TXP)
Buyer: Budau, Christopher Scott (Officer)
Shares Purchased: 17,663 (+1.6%)
Price: CAD 0.25
Total Value: CAD 4,416
Touchstone Exploration Inc (TXP)
Buyer: Shipka, James (Officer)
Shares Purchased: 16,149 (+1.5%)
Price: CAD 0.25
Total Value: CAD 4,037
Banyan Gold Corp (BYN)
Buyer: Blythe, Marc Girthon (Non-Executive Director)
Shares Purchased: 60,000 (+480.0%)
Price: CAD 0.36
Total Value: CAD 21,600
Erdene Resource Development Corp (ERD)
Buyer: Biolik, Anna (Non-Executive Director)
Shares Purchased: 100,000 (+40.6%)
Price: CAD 0.49
Total Value: CAD 49,000
Hemostemix Inc (HEM)
Buyer: Smeenk, Thomas (Non-Executive Director)
Shares Purchased: 200,000 (+5.1%)
Price: CAD 0.12
Total Value: CAD 23,000
CDN Insider Sales
CI Financial Corp (CIX)
Seller: Butt, William Emerson (Non-Executive Director)
Shares Sold: 157,000
Price: CAD 31.93
Total Value: CAD 5,013,120
Santacruz Silver Mining Ltd (SCZ)
Seller: Lohner, Roland (Non-Executive Director)
Shares Sold: 100,000 (-8.6%)
Price: CAD 1.41
Total Value: CAD 141,000
Shopify Inc (SHOP)
Seller: Goodman, Gail Faye (Non-Executive Director)
Shares Sold: 1,200 (-1.6%)
Price: USD 124.75
Total Value: USD 149,700
Storagevault Canada Inc (SVI)
Seller: Simpson, Alan Arthur (Non-Executive Director)
Shares Sold: 14,300 (-1.7%)
Price: CAD 4.63
Total Value: CAD 66,255
Storagevault Canada Inc (SVI)
Seller: Simpson, Alan Arthur (Non-Executive Director)
Shares Sold: 2,600 (-0.3%)
Price: CAD 4.63
Total Value: CAD 12,038
Fairfax Financial Holdings Ltd (FFH)
Seller: Johnston, David Lloyd (Non-Executive Director)
Shares Sold: 40 (-2.7%)
Price: CAD 2,421.11
Total Value: CAD 96,844
Pyrogenesis Inc
Seller: Pascali, Photis Peter (Executive Director, Large shareholder)
Shares Sold: 76,500 (-0.1%)
Price: CAD 0.39
Total Value: CAD 30,087
Canso Credit Income Fund (PBY.UN)
Seller: Lysander Funds Limited (Executive Director)
Shares Sold: 200 (-0.0%)
Price: CAD 16.11
Total Value: CAD 3,222
Institutional Spotlight: August 7, 2025
Today’s filings revealed a broad wave of institutional positioning across biotech, fintech, energy, SPACs, and ETFs. Notable hedge funds, asset managers, and advisory firms disclosed fresh stakes or increased ownership in a diverse set of companies, with several holdings surpassing the 10% threshold. Below is a breakdown of key activities.
Lexeo Therapeutics (LXEO)
Integrated Core Strategies (US) LLC, managed by Israel Englander, disclosed ownership of 2,836,292 shares in Lexeo Therapeutics, representing 5.30% ownership. This position reinforces the firm’s continued interest in emerging biotech plays and suggests confidence in Lexeo’s long-term pipeline potential.
Sequans Communications (SQNS)
Lynrock Lake LP, led by Cynthia Paul, reported a sizable position in Sequans Communications totaling 9,370,760 shares, equating to 0.70% ownership. The activity signals ongoing institutional alignment with the company’s wireless broadband initiatives.
D Boral Arc Acquisition I Corp
Sculptor Capital LP, under the direction of Robert Shafir, has taken an 8.80% stake in D Boral Arc Acquisition I Corp, owning 2,200,000 shares. The large position suggests Sculptor may see strategic value in the blank-check company’s upcoming deal potential.
Renatus Tactical Acquisition Corp I
Boothbay Fund Management LLC, headed by Ari Glass, disclosed a 3.10% stake in Renatus Tactical Acquisition Corp I, with ownership of 738,400 shares. The allocation is consistent with Boothbay’s SPAC-driven strategies and event-oriented exposure.
Mallinckrodt (MNK)
Hudson Bay Capital Management LP, led by Sander Gerber, reported holding 2,481,694 shares of Mallinckrodt, representing 6.30% ownership. The position marks a high-conviction move into a company navigating restructuring and market recovery.
Tactile Systems Technology (TCMD)
Cadian Capital Management LP, under Eric Bannasch, now owns 2,192,823 shares of Tactile Systems Technology, equivalent to 9.80% ownership. This near-double-digit stake points to bullish sentiment on operational turnaround or M&A potential in the medical device space.
PagerDuty (PD)
ARK Investment Management LLC, led by Catherine Wood, has taken a significant position in PagerDuty, with 10,016,520 shares, amounting to 10.87% ownership. This move reflects ARK’s focus on digital operations and real-time infrastructure plays.
Beam Therapeutics (BEAM)
Also under Catherine Wood, ARK Investment Management LLC disclosed 10,410,137 shares in Beam Therapeutics, representing 10.35% ownership. ARK’s continued investment highlights its conviction in gene editing and synthetic biology.
Pine Island Acquisition Corp (PNI)
Saba Capital Management LP, managed by Boaz Weinstein, revealed ownership of 585,124 shares in Pine Island Acquisition Corp, equaling 5.22% ownership. The trade fits Saba’s wider strategy of leveraging SPAC inefficiencies and event-driven outcomes.
Gabelli Global Utility & Income Trust (GBAB)
Morgan Stanley disclosed a 10.40% ownership in GBAB, with 2,799,316 shares held. This sizeable stake underscores institutional demand for income-generating assets with global utility exposure.
Sound Point Meridian Capital, Inc.
Karpus Management Inc. reported two blocks in Sound Point Meridian Capital, Inc.—1,219,655 shares (26.51% ownership) and 435,044 shares (9.46% ownership). The high concentration suggests Karpus is asserting strong influence over the fund’s direction.
Mexico Equity & Income Fund (MXE)
City of London Investment Management Co Ltd announced a large stake in MXE, holding 917,922 shares for a 20.90% ownership. The firm has historically focused on emerging markets, and this position reaffirms that strategic tilt.
East West Bancorp (EWBC)
Invesco Ltd reported ownership of 10,683,377 shares in East West Bancorp, representing a 7.80% stake. The position suggests growing institutional support for regional banks with Asia-facing operations.
Oppenheimer Multi-Factor Large Cap ETF (OMFL)
Invesco Ltd also disclosed a dominant 24.10% ownership in OMFL, with 20,645,448 shares. This commanding position indicates strong internal allocation into one of its own quantitative strategies.
Babylon Holdings (BBNX)
Morgan Stanley filed ownership of 2,928,838 shares in BBNX, translating to 6.80% ownership. The exposure may be linked to speculative positioning around healthcare AI applications or strategic partnerships.
Bloom Energy (BE)
A major stake in Bloom Energy was revealed by Morgan Stanley, holding 11,939,835 shares, or 5.10% ownership. This signals institutional alignment with the company’s positioning in alternative energy and hydrogen fuel infrastructure.
Endava (DAVA)
Invesco Ltd reported a holding of 3,661,123 shares in Endava, equal to 8.20% ownership. The firm’s investment affirms conviction in outsourced digital transformation services across global markets.
Roivant Sciences (ROIV)
With 37,646,676 shares owned, Morgan Stanley now holds 5.50% of Roivant Sciences. The biotech holding represents a notable bet on Roivant’s drug development platform and its growing pipeline of subsidiaries.
Globant (GLOB)
Invesco Ltd disclosed a 6.40% stake in Globant, totaling 2,827,155 shares. This position reflects confidence in digital consulting and software development for enterprise clients.
Enphase Energy (ENPH)
A key disclosure from Invesco Ltd shows a 5.10% stake in Enphase Energy, with 6,743,674 shares. The move continues a trend of institutional accumulation in solar technology and energy storage solutions.
MGM Resorts International (MGM)
Davis Selected Advisers reported 23,821,109 shares in MGM Resorts, equating to 9.50% ownership. The position may reflect optimism toward travel and leisure spending normalization post-pandemic.
BrightSpring Health Services (BTSG)
Invesco Ltd revealed a 5.30% ownership in BTSG, holding 9,178,327 shares. This represents institutional commitment to the home and community-based health services segment.
HUSV, HSMV, and HTAB ETFs
Bank of New York Mellon Corp disclosed high-conviction ETF positions with 17.70% in HUSV (371,702 shares), 22.10% in HSMV (132,448 shares), and 10.40% in HTAB (2,185,548 shares). These concentrated positions indicate strategic ETF allocations within their broader portfolio construction.
Bitcoin Depot (BTM)
Polar Securities Inc reported 2,820,424 shares in Bitcoin Depot, equaling 11.10% ownership. This sizeable holding suggests speculative positioning as digital asset infrastructure matures.
Ault Alliance (AAUC)
Helikon Investments Ltd has taken a large 12.24% stake in Ault Alliance, totaling 14,118,007 shares. The investment indicates deep exposure to diversified micro-cap operations.
FactSet Research Systems (FDS)
Morgan Stanley reported ownership of 2,167,472 shares in FactSet Research Systems, representing 5.70% ownership. This holding reflects a strategic position in one of the leading financial data providers, aligning with ongoing institutional reliance on analytics-driven platforms.
C4 Therapeutics (CCCC)
Morgan Stanley has increased its stake in C4 Therapeutics, disclosing ownership of 4,750,383 shares, or 6.70%. This suggests bullish positioning in targeted protein degradation therapies and early-stage biotech innovation.
Insight Enterprises (NSIT)
A new filing shows Morgan Stanley holding 1,632,248 shares of Insight Enterprises, equal to 5.10% ownership. This allocation may reflect confidence in the company’s growth across IT solutions and infrastructure deployment.
Nuveen Build America Bond Fund (NBB)
Morgan Stanley disclosed 1,944,465 shares in NBB, representing a 6.60% stake. This move supports a continued institutional shift toward tax-advantaged municipal bond exposure.
Western Asset Premier Bond Fund (WEA)
Another bond-related position by Morgan Stanley includes 1,855,693 shares in WEA, marking a substantial 15.60% ownership. The fund’s yield profile and credit focus appear to align with macro-driven institutional plays.
CEVA Inc. (CEVA)
Morgan Stanley also reported a 6.70% stake in CEVA, holding 1,609,575 shares. CEVA’s specialty in wireless IP and semiconductor licensing makes it a notable pick in the chip infrastructure space.
Chemomab Therapeutics (CMMB)
A major biotech position from Morgan Stanley was revealed in Chemomab Therapeutics, with 32,282,680 shares held—8.40% ownership. This substantial stake signals institutional interest in rare disease drug development.
Klaviyo Global Solutions (KGS)
Invesco Ltd disclosed ownership of 4,869,346 shares in KGS, totaling 5.50% ownership. The holding adds to Invesco’s roster of high-growth digital marketing and analytics-driven companies.
Semler Scientific (SMLR)
A new stake by Morgan Stanley in Semler Scientific includes 790,603 shares, equating to 5.80% ownership. The company’s focus on cardiovascular health diagnostics may appeal to long-term healthcare trend investors.
Essex Property Trust (ESS)
Cohen & Steers Inc reported a major position in Essex Property Trust, holding 6,648,555 shares, which amounts to 10.32% ownership. The real estate-focused firm remains one of the most prominent institutional sponsors in the REIT space.
GCI Liberty, Inc.
CrossingBridge Advisors LLC disclosed a 10.60% stake in GCI Liberty, Inc., holding 386,072 shares. This strategic position likely reflects a value-based approach in special situations or merger-related opportunities.
Dimensional Funds (DFGR, DIHP, MARU, XCNY, AVDV, NVBU)
Savant Capital LLC disclosed a series of concentrated ETF positions:
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6,697,999 shares of DFGR (7.43% ownership)
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23,936,337 shares of DIHP (18.02%)
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70,969 shares of MARU (9.46%)
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12,267 shares of XCNY (6.13%)
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10,983,707 shares of AVDV (8.32%)
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61,672 shares of NVBU (6.02%)
These filings reflect a robust ETF allocation strategy across international small-cap, value, and market-specific exposures.
Dynavax Technologies (DYN)
Henderson Group PLC filed ownership of 14,394,999 shares in Dynavax, representing 10.10% of the company. The position points to conviction in immunotherapy and vaccine adjuvant platforms.
Avidity Biosciences (RNA)
Also from Henderson Group PLC, a 10.10% stake was disclosed in Avidity Biosciences, totaling 12,132,108 shares. This holding highlights exposure to RNA-based therapeutics.
Travere Therapeutics (TVTX)
Completing a trio of biotech positions, Henderson Group PLC also reported 11,339,864 shares in Travere Therapeutics, equivalent to 12.80% ownership. The high concentration signals optimism around late-stage pipeline developments.
Viatris Inc. (VTRS)
Davis Selected Advisers reported 66,375,520 shares in Viatris, accounting for a 6.20% stake. This position aligns with value-driven investing in global generics and complex medications.
Vertiv Holdings (VRT)
Vanguard Group Inc disclosed 38,198,170 shares in Vertiv, equating to 10.00% ownership. As demand grows for data center infrastructure, this filing represents a strong institutional bet on backend power and cooling technology.
LPL Financial Holdings (LPLA)
Another large stake by Vanguard Group Inc includes 8,043,631 shares in LPL Financial, reflecting 10.05% ownership. This supports continued exposure to retail wealth management platforms.
Atkore Inc. (ATKR)
Vanguard Group Inc now owns 3,478,248 shares of Atkore, totaling 10.33%. The company’s electrical infrastructure business appears well-aligned with near-term industrial capex cycles.
Trade Desk (TTD)
A standout disclosure from Vanguard Group Inc shows ownership of 54,696,460 shares in Trade Desk, equivalent to 12.27%. This dominant stake reinforces institutional belief in programmatic advertising’s long-term growth.
HEICO Corp (HEI.A)
Vanguard Group Inc disclosed 8,421,468 shares in HEICO, for 10.01% ownership. HEICO’s aerospace niche and aftermarket dominance remain a staple in long-term growth portfolios.
TD SYNNEX (SNX)
Vanguard Group Inc also holds 8,274,403 shares in TD SYNNEX, equaling 10.03% ownership. This allocation reflects support for global IT distribution and integration services.
Steven Madden Ltd (SHOO)
FMR LLC disclosed a 10.40% stake in Steven Madden, with 7,519,684 shares. The investment signals institutional backing for consumer discretionary recovery and brand-driven footwear.
Soleno Therapeutics (SLNO)
In another aggressive biotech bet, FMR LLC reported 7,833,777 shares in Soleno Therapeutics, totaling 15.00% ownership. This reflects conviction in late-stage clinical assets targeting rare genetic disorders.
Disc Medicine (IRON)
FMR LLC revealed 4,221,058 shares in Disc Medicine, representing 12.20% ownership. The firm’s concentrated biotech portfolio suggests strong conviction in IRON’s hematology pipeline.
Compass Inc. (COMP)
FMR LLC continues its private market exposure with 54,513,624 shares in Compass, showing 10.50% ownership. Despite real estate sector volatility, institutional positioning remains firm.
Cytokinetics (CYTK)
FMR LLC filed 13,101,596 shares in Cytokinetics, amounting to 10.90% ownership. The bet points to strong belief in muscle biology platforms and commercial prospects.
10x Genomics (TXG)
FMR LLC disclosed 11,529,805 shares in 10x Genomics, totaling 10.30% ownership. The high concentration underscores expectations for leadership in single-cell genomic research.
Hills Bancorporation (HILS)
Hills Bank Trust Co reported a 7.50% stake in Hills Bancorporation, with 670,236 shares. As a local institution, the sizable position suggests deep alignment with community banking performance.
YSEP, PDT, HYI, GDEC, FEMB ETFs
First Trust Portfolios LP disclosed the following:
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402,689 shares in YSEP (10.33%)
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5,229,475 shares in PDT (10.63%)
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1,882,076 shares in HYI (14.69%)
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1,482,862 shares in GDEC (17.65%)
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2,239,991 shares in FEMB (30.27%)
The firm’s strong ETF presence reflects broad-based tactical allocation across income and emerging market strategies.
EOG Resources (EOG)
Capital World Investors disclosed 55,119,426 shares in EOG Resources, equaling 10.10% ownership. The energy major remains a core position among institutional holders seeking upstream oil and gas exposure.
VF Corporation (VFC)
M&G PLC reported ownership of 20,705,817 shares in VF Corporation, or 5.31%. The stake reflects long-term confidence in the company’s global brand portfolio despite near-term retail headwinds.
Flywire Corporation (FLYY)
Lastly, M&G PLC disclosed 1,835,681 shares in Flywire, translating to 7.09% ownership. The fintech’s focus on global payments and education markets appears to resonate with institutional growth mandates.
Institutional Momentum Watchlists
(Stocks are sorted to highlight those with the strongest momentum at the time of the scan)
Welcome to the Institutional Momentum Watchlist, an exclusive feature for our members. This list highlights stocks that have recently caught the attention of institutional investors, either through new purchases or significant additions. These stocks are selected based on promising technical setups that suggest potential momentum. Our systematic approach filters for opportunities where institutional sponsorship aligns with favorable technical conditions, offering a unique edge in your trading strategy. Keep an eye on this watchlist as we update it each weekend with the latest insights from the market.
Click on the CandleGlance chart to view it in full size. Find a chart that matches your criteria or interests. You can easily save it to your watchlist on StockCharts.com for further analysis and tracking or copy and paste the ticker list into your chart provider.
US Institutional Momentum Watchlist
EXPORT – US – Institutional – 2025-08-02
PHLT, FDMT, EVOK, SHOT, VVOS, RDDT, FMCC, AUPH, COOP, KALA, MPWR, FNMA, SRZN, ATNF, SPXC, ANEB, LWAY, NEOV, KNSA, NVNO, FSLR, MLTX, GROY, INDV, UGL, GDMN, GENI, ONDS, RYTM, MP, PARA, DG, ADMA, RBC, CRGO, OCUL, CBOE, DTM, OHI, TAC, SMMT, TDUP, ALNY, AZO, FXY, NHI, HTGC, DGX, CPIX, AES, BWA, KR, URGN, ZWS, TOI, BLD, JNJ, CAMT, FOR, TMDX, INSM, T, AZN, TJX, PPC, EVRG, MBB, WEC, DUK, DLTR
Canadian Institutional Momentum Watchlist
EXPORT – CDN – Institutional – 2025-08-02
MDA.TO, GTII.CA, DPM.TO, CS.TO, GAU.TO, CURA.TO, ARE.TO, TA.TO, KPT.TO, AFN.TO, ELD.TO, BTO.TO, ARIS.TO, ENB.TO, NG.TO, EDV.TO, FTS.TO, BBD/B.TO, H.TO, LUG.TO, GUD.TO, ARX.TO, ARTG.V, FNV.TO, ALS.TO, ECN.TO, TRP.TO, ALA.TO, WJX.TO, K.TO, VNP.TO, ABX.TO, AIM.TO, GEI.TO, EIF.TO, RCI/B.TO, KEY.TO, OR.TO, AIF.TO, WPM.TO, EMA.TO, SSL.TO, FCR/UN.TO, POW.TO, DOL.TO, NXR/UN.TO, CIX.TO, PIF.TO, GWO.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!





