SYS Research – Unusual Activity – Thursday, September 25, 2025

Notice: The Unusual Activity report is provided for informational and educational purposes only and is not intended to be used as a stock-picking service or as financial advice. The charts and accompanying research are designed to support your analysis, serving as indicators rather than direct recommendations to buy or sell any security. The creator assumes no responsibility for actions taken by readers and strongly encourages individuals to fully understand the associated risks and potential outcomes before making investment decisions. Please note that any charts and/or information are intended to aid in research and should not be considered a definitive part of your personal trading strategy. Not all charts will lead to actionable buy or sell signals at any given time. Individuals should consider consulting a qualified financial advisor before making any investment decisions.

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Unusual Activity Report

This daily report focuses on three key components that can lead to market momentum: unusual options activity, insider buying, and institutional sponsorship. By scanning for these signals each day, we uncover potential stock movements driven by notable trades, insider transactions, and institutional investments. Using advanced algorithms and proprietary research methods, we sift through vast amounts of data to identify unique opportunities, offering timely insights highlighting emerging market momentum.

Disclaimer: All data and information presented in this report are sourced from publicly available materials intended for informational purposes only. The content is not a recommendation to buy or sell securities and should not be relied upon as financial advice. Readers are encouraged to conduct their own research before making any investment decisions.


Standout Options Trades

This section highlights notable options trades reflecting significant sentiment—bullish, bearish, or mixed—characterized by high-dollar-value transactions or large trade sizes exceeding prior open interest. When open interest rises from the previous day, it often indicates the creation of new positions rather than the closing of existing ones, suggesting a fresh outlook on the underlying stock or ETF.

For instance, call buying generally signals an expectation of upward movement, while selling calls suggest the trader anticipates the price will stay below a certain level. Put selling reflects confidence that the price will hold above the strike, implying stability. In contrast, put buying may reveal a bearish outlook or serve as a hedge against a larger bullish position elsewhere.

This report highlights large, unusual options trades identified for their size and potential impact, representing individual sentiment rather than broad market consensus. These trades are informational and are not intended as buy or sell signals. They reflect noteworthy activity observed during the trading day and should be viewed as one part of a broader analysis.

Options Flow Analysis: Trading Day 2025-9-25

The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2025-9-25. Each section highlights significant institutional activity, providing sentiment, key observations, and market expectations based on the data. All numbers represent large block trades likely executed by institutional players, not total-market figures.

Note: This report highlights institutional block option flow based on net premium. Strike prices and expiration dates are not available with block data.

lululemon athletica inc. (LULU)
Sentiment: Strongly Bullish
Options Activity: Institutions heavily engaged in put selling, collecting substantial premiums, alongside some put buying and call selling, reflecting a strategy focused on income generation through bullish exposure rather than aggressive directional bets or hedging.
Total Premium: $231,170,338
Net Premium: $150,850,784
Analysis: The dominant put premium collected significantly outweighs put purchases and call activity, signaling institutional confidence in LULU’s upside potential or stability, likely leveraging puts for yield in a resilient retail environment.


Microsoft Corporation (MSFT)
Sentiment: Bullish
Options Activity: Institutions showed balanced call activity with more selling than buying, paired with significant put selling that collected premiums exceeding put purchases, indicating income generation through puts with a neutral-to-bullish call stance, possibly for portfolio protection.
Total Premium: $33,916,672
Net Premium: $25,908,086
Analysis: Robust put premium collection drives the bullish net flow, suggesting institutions are layering yield strategies on MSFT’s tech leadership while call selling tempers aggressive upside bets.


Constellation Brands, Inc. (STZ)
Sentiment: Bullish
Options Activity: Exclusive focus on puts, with significant premium collected from selling far exceeding purchases, pointing to institutions generating income through bullish put sales, viewing STZ as undervalued in consumer staples.
Total Premium: $30,693,300
Net Premium: $23,362,900
Analysis: The one-sided put flow underscores strong confidence in STZ’s stability, with premium collection indicating limited downside risk, aligning with bullish sector expectations.


Intel Corporation (INTC)
Sentiment: Bullish
Options Activity: Heavy call buying offset by comparable selling, combined with put selling collecting more premiums than purchases, suggesting directional call plays alongside income-focused put sales, with hedging elements in balanced call flow.
Total Premium: $134,905,686
Net Premium: $20,819,886
Analysis: Bullish sentiment is driven by put premium collection, reflecting optimism in INTC’s semiconductor recovery, with call activity signaling tactical bets on AI-driven catalysts.


Oracle Corporation (ORCL)
Sentiment: Bullish
Options Activity: Modest call buying overshadowed by selling, with put selling collecting premiums exceeding purchases, indicating institutions favor income from puts over aggressive call accumulation, with some call sales for hedging.
Total Premium: $43,459,182
Net Premium: $9,573,350
Analysis: Robust put premium collection supports bullish positioning, aligning with ORCL’s cloud growth narrative, while call selling reflects cautious risk management.


DexCom, Inc. (DXCM)
Sentiment: Bullish
Options Activity: Balanced call buying and selling with minimal premiums, paired with dominant put selling collecting substantial premiums, signaling institutions pursuing high-yield bullish strategies in medtech.
Total Premium: $8,219,589
Net Premium: $7,389,661
Analysis: Strong put premium collection drives the bullish net, highlighting optimism in DXCM’s diabetes management innovations, positioning it as a defensive growth play.


Boston Scientific Corporation (BSX)
Sentiment: Bullish
Options Activity: Light call buying exceeded by selling, with substantial put selling collecting premiums without purchases, indicating a clear income-generation focus through bullish put exposure.
Total Premium: $7,655,943
Net Premium: $5,973,583
Analysis: Put premium collection fuels the bullish signal, reflecting confidence in BSX’s cardiovascular device momentum, with call activity suggesting tactical adjustments.


The Trade Desk, Inc. (TTD)
Sentiment: Bullish
Options Activity: Modest call buying dwarfed by selling, alongside put selling collecting more premiums than a single purchase, pointing to income generation via puts with call sales for hedging in adtech volatility.
Total Premium: $12,686,940
Net Premium: $4,223,236
Analysis: Bullish sentiment from put premium inflows aligns with TTD’s digital advertising resilience, with institutions balancing risk through call sales.


Cipher Mining Inc. (CIFR)
Sentiment: Bullish
Options Activity: Balanced call buying and selling with similar premiums, paired with put selling collecting more than purchases, suggesting neutral call positioning but bullish income generation via puts in crypto mining.
Total Premium: $25,690,147
Net Premium: $3,405,973
Analysis: Put premium collection drives the bullish net, reflecting opportunistic bets on CIFR’s bitcoin exposure, with balanced call flow indicating steady interest.


Alibaba Group Holding Limited (BABA)
Sentiment: Bullish
Options Activity: Steady call buying slightly above selling, with put selling collecting premiums exceeding purchases, reflecting bullish call accumulation paired with income from puts amid e-commerce recovery.
Total Premium: $18,726,354
Net Premium: $3,159,252
Analysis: Modest net premium underscores balanced bullish flows, with put collection adding yield to call bets, signaling confidence in BABA’s global expansion.


Apple Inc. (AAPL)
Sentiment: Bullish
Options Activity: Robust call buying offset by similar selling, paired with put selling collecting more premiums than purchases, indicating a hedging-heavy approach with bullish income from puts.
Total Premium: $40,703,206
Net Premium: $3,153,720
Analysis: Slight net positive from put flows reinforces bullishness, as institutions navigate AAPL’s product cycle risks with balanced calls and yield-focused puts.


Alphabet Inc. (GOOGL)
Sentiment: Bullish
Options Activity: Solid call buying exceeded by selling, with put selling collecting premiums above purchases, pointing to income generation via puts alongside call hedging in AI and search dominance.
Total Premium: $28,061,459
Net Premium: $2,690,031
Analysis: Bullish net from put premium collection highlights yield strategies on GOOGL’s core franchises, with call sales tempering aggressive upside exposure.


Carvana Co. (CVNA)
Sentiment: Bullish
Options Activity: Call buying outpaced by selling, with minimal put activity where sales collected more premium than a small purchase, suggesting light income focus on puts amid call hedging in used-car retail.
Total Premium: $4,461,788
Net Premium: $2,334,356
Analysis: Modest put premium collection drives bullish sentiment, reflecting tactical bets on CVNA’s operational turnaround, with call balance indicating cautious optimism.


Scholar Rock Holding Corporation (SRRK)
Sentiment: Bullish
Options Activity: No call activity, with put selling collecting premiums far exceeding purchases, indicating pure income-generation through bullish put sales on biotech pipeline prospects.
Total Premium: $2,979,040
Net Premium: $2,230,960
Analysis: Dominant put premium collection fuels bullish sentiment, positioning SRRK as an undervalued biotech target for yield on clinical milestones.


Rocket Lab Corporation (RKLB)
Sentiment: Bullish
Options Activity: Call buying above selling, with put selling collecting more premiums than a minor purchase, pointing to directional call bets complemented by put income in the space sector.
Total Premium: $4,943,997
Net Premium: $2,086,293
Analysis: Net positive from call and put flows underscores bullish interest in RKLB’s launch capabilities, blending growth pursuit with yield strategies.


Vistra Corp. (VST)
Sentiment: Strongly Bullish
Options Activity: Exclusive call buying with no other activity, signaling aggressive directional bets by institutions on energy infrastructure upside.
Total Premium: $2,079,139
Net Premium: $2,079,139
Analysis: Pure call premium outflow reflects high-conviction bullish positioning, likely tied to power sector tailwinds, with no counterflows indicating unhedged optimism.


Barrick Mining Corporation (B)
Sentiment: Bullish
Options Activity: Dominant call buying over light selling, with negligible put activity where sales collected minimal premium against a small purchase, focusing institutions on upside calls in gold mining.
Total Premium: $2,151,809
Net Premium: $2,021,743
Analysis: Call-driven net premium highlights bullish flows on B’s commodity exposure, with puts playing a minor role in overall positive sentiment.


Berkshire Hathaway Inc. – Class B (BRKB)
Sentiment: Bullish
Options Activity: Modest call buying matched by selling, with put selling collecting premiums well above a small purchase, indicating income generation through puts on diversified holdings.
Total Premium: $3,114,742
Net Premium: $1,959,622
Analysis: Bullish tilt from put premium collection suggests institutions using BRKB for yield in a value-oriented portfolio, balancing calls with steady income plays.


iShares Silver Trust (SLV)
Sentiment: Bullish
Options Activity: Heavy call buying slightly above selling, with put selling collecting more premiums than purchases, pointing to directional calls paired with put income in precious metals.
Total Premium: $34,959,175
Net Premium: $4,872,381
Analysis: Strong net positive from put flows amid call balance reflects bullish hedging on silver’s inflation-hedge appeal, with premium dynamics favoring upside.


Tickers: LULU, MSFT, STZ, INTC, ORCL, DXCM, BSX, TTD, CIFR, BABA, AAPL, GOOGL, CVNA, SRRK, RKLB, VST, B, BRKB, SLV

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 2025-9-25

This section focuses on unusual trades that stand out on an individual basis. These trades are highlighted for their distinctiveness, reflecting significant activity that diverges from typical market behavior.

Mirion Technologies, Inc. (MIR)
Sentiment: Bullish
Options Activity: Calls bought for the October 17, 2025 expiry, with a strike price of $20 compared to the spot price around $20 (at-the-money), and multiple instances where the trade size exceeded prior open interest.
Total Values: Total premium paid $1,332,440
Strike Price: $20
Analysis: With twenty-two days to expiration, this options flow indicates bullish sentiment as investors are paying substantial premiums for the right to buy shares at the strike, anticipating potential upside in the stock price. Several trades surpassed prior open interest, suggesting the initiation of new positions.


Marvell Technology, Inc. (MRVL)
Sentiment: Bullish
Options Activity: Calls bought for the December 19, 2025 expiry, with a strike price of $75 compared to the spot price of $82.73 (out-of-the-money by approximately 9.34%).
Total Values: Total premium paid $1,342,310
Strike Price: $75
Analysis: With eighty-five days to expiration, this options flow reflects bullish sentiment as investors pay a large premium for upside exposure below the current spot, expecting further gains. The longer-term expiry highlights confidence in sustained growth.


Expedia Group, Inc. (EXPE)
Sentiment: Bearish
Options Activity: Puts bought for the October 17, 2025 expiry, with a strike price of $210 compared to the spot price around $214 (in-the-money by approximately 2%).
Total Values: Total premium paid $990,318
Strike Price: $210
Analysis: With twenty-two days to expiration, this activity signals bearish sentiment as investors are paying premiums for the right to sell shares at the strike, anticipating a decline below the strike level.


Gorilla Technology Group Inc. (GRRR)
Sentiment: Bullish
Options Activity: Calls bought for the February 20, 2026 expiry, with a strike price of $20 compared to the spot price around $18.70 (out-of-the-money by approximately 7%).
Total Values: Total premium paid $228,220
Strike Price: $20
Analysis: With one hundred forty-eight days to expiration, this flow suggests bullish sentiment as investors pay premiums for long-term upside potential above the strike, expecting appreciation in the months ahead.


Futu Holdings Limited (FUTU)
Sentiment: Bullish
Options Activity: Calls bought for the October 17, 2025 expiry, with a strike price of $195 compared to the spot price of $183.14 (out-of-the-money by 6.48%), and the trade size exceeded prior open interest.
Total Values: Total premium paid $259,390
Strike Price: $195
Analysis: With twenty-two days to expiration, this activity reflects bullish positioning for near-term upside. Since the trade size exceeded prior open interest, it points to new positions being established.


BHP Group Limited (BHP)
Sentiment: Bullish
Options Activity: Calls bought for the October 17, 2025 expiry, with a strike price of $60 compared to the spot price around $55.40 (out-of-the-money by approximately 8.3%), and multiple instances where the trade size exceeded prior open interest.
Total Values: Total premium paid $364,005
Strike Price: $60
Analysis: With twenty-two days to expiration, this options flow indicates bullish sentiment, as premiums were paid for potential upside above the strike. Sizes exceeding prior open interest highlight the creation of new positions.


Sigma Lithium Corporation (SGML)
Sentiment: Bullish
Options Activity: Calls bought for the April 17, 2026 expiry, with a strike price of $10 compared to the spot price of $7.05 (out-of-the-money by 41.94%), and the trade size exceeded prior open interest.
Total Values: Total premium paid $450,000
Strike Price: $10
Analysis: With two hundred four days to expiration, investors are paying for long-dated upside, suggesting confidence in significant growth potential. The size over prior open interest confirms new bullish bets.


SEALSQ Corp (LAES)
Sentiment: Bullish
Options Activity: Calls bought across multiple expiries including January 16, 2026 (strike $4.5 and $5), October 10, 2025 (strike $4.5), September 26, 2025 (strike $4.5), and December 19, 2025 (strikes $4 and $5), with strikes compared to spot prices around $4 (out-of-the-money by 11% to 25%). Several trades exceeded prior open interest.
Total Values: Total premium paid $1,560,217
Strike Price: $4, $4.5, $5
Analysis: With expiries ranging from one to one hundred thirteen days, this activity shows strong bullish sentiment, as investors pay premiums across time frames for upside exposure. Consistent trades exceeding prior open interest point to broad new positioning.


MP Materials Corp. (MP)
Sentiment: Bullish
Options Activity: Calls bought for the October 17, 2025 expiry, with a strike price of $100 compared to the spot price around $80 (out-of-the-money by approximately 25%), and the trade size exceeded prior open interest.
Total Values: Total premium paid $1,292,181
Strike Price: $100
Analysis: With twenty-two days to expiration, this options flow highlights bullish sentiment on a significant rally. Sizes over prior open interest confirm new bullish positioning.


uniQure N.V. (QURE)
Sentiment: Bullish
Options Activity: Calls bought for the October 17, 2025 expiry, with strikes of $75 and $60 compared to the spot price around $51 (out-of-the-money by 18% to 46%), and the trade size exceeded prior open interest.
Total Values: Total premium paid $254,610
Strike Price: $60, $75
Analysis: With twenty-two days to expiration, investors are paying for upside exposure well above spot. New positions are evident as trade sizes exceeded prior open interest.


Warrior Met Coal, Inc. (HCC)
Sentiment: Bullish
Options Activity: Calls bought across expiries including April 17, 2026 (strike $80), November 21, 2025 (strike $75), and December 19, 2025 (strike $75), with strikes compared to spot prices around $64 (out-of-the-money by 15% to 24%). Multiple trades exceeded prior open interest.
Total Values: Total premium paid $459,658
Strike Price: $75, $80
Analysis: With expiries ranging from sixty-four to two hundred four days, this activity reflects bullish bets on sustained appreciation. Exceeding prior open interest indicates new positioning.


XPeng Inc. (XPEV)
Sentiment: Bullish
Options Activity: Calls bought across expiries including September 26, 2025 (strike $23), January 15, 2027 (strike $25), and January 16, 2026 (strike $28), with strikes compared to spot prices around $22.50 (out-of-the-money by 2% to 24%).
Total Values: Total premium paid $1,103,784
Strike Price: $23, $25, $28
Analysis: With expiries from one to four hundred seventy-seven days, this flow highlights bullish sentiment across short and long horizons. Broad new interest is reflected in activity spanning multiple terms.


Zevra Therapeutics, Inc. (ZVRA)
Sentiment: Bullish
Options Activity: Calls bought for the October 17, 2025 expiry, with a strike price of $10 compared to the spot price around $9.25 (out-of-the-money by approximately 8%). Multiple trades exceeded prior open interest.
Total Values: Total premium paid $300,515
Strike Price: $10
Analysis: With twenty-two days to expiration, investors are betting on a breakout above the strike. The activity suggests new bullish positions.


Offerpad Solutions Inc. (OPAD)
Sentiment: Bullish
Options Activity: Calls bought across expiries including November 21, 2025 (strike $10) and April 17, 2026 (strike $10), compared to the spot price around $4.30 (out-of-the-money by 114% to 146%). Trade sizes exceeded prior open interest.
Total Values: Total premium paid $272,656
Strike Price: $10
Analysis: With expiries from fifty-seven to two hundred four days, these aggressive out-of-the-money bets highlight strong bullish sentiment. Exceeding prior open interest underscores conviction in explosive upside.


Nu Skin Enterprises, Inc. (NUS)
Sentiment: Bullish
Options Activity: Calls bought for the March 20, 2026 expiry, with a strike price of $15 compared to the spot price around $11.80 (out-of-the-money by approximately 27%). Trade sizes exceeded prior open interest.
Total Values: Total premium paid $336,219
Strike Price: $15
Analysis: With one hundred seventy-six days to expiration, this flow indicates long-dated bullish positioning. New positions are evident as sizes surpassed prior open interest.


Intel Corporation (INTC)
Sentiment: Bullish
Options Activity: Calls bought for the December 17, 2027 expiry, with a strike price of $47 compared to the spot price of $33.18 (out-of-the-money by 41.67%). Trade size exceeded prior open interest.
Total Values: Total premium paid $308,250
Strike Price: $47
Analysis: With eight hundred thirteen days to expiration, this long-term bet signals bullish expectations for recovery and growth. The size exceeding prior open interest highlights a new major position.


BuzzFeed, Inc. (BZFD)
Sentiment: Bullish
Options Activity: Calls bought across expiries including November 21, 2025 (strike $2) and January 16, 2026 (strike $3), compared to the spot price around $1.80 (out-of-the-money by 10% to 72%). Multiple trades exceeded prior open interest.
Total Values: Total premium paid $36,467
Strike Price: $2, $3
Analysis: With expiries ranging from fifty-seven to one hundred fourteen days, this options flow highlights bullish sentiment as investors position for sharp upside moves.


Northern Dynasty Minerals Ltd. (NAK)
Sentiment: Bullish
Options Activity: Calls bought across expiries including October 17, 2025 (strike $1.5), October 3, 2025 (strike $1), and November 21, 2025 (strike $1), with strikes compared to spot prices around $1.07 (in-the-money to out-of-the-money by -5% to 41%). One trade exceeded prior open interest.
Total Values: Total premium paid $421,590
Strike Price: $1, $1.5
Analysis: With expiries from eight to fifty-seven days, this flow signals bullish sentiment across near- and medium-term calls. Exceeding prior open interest confirms new entries.


Sunrun Inc. (RUN)
Sentiment: Bullish
Options Activity: Calls bought for the October 3, 2025 expiry, with a strike price of $19 compared to the spot price of $16.76 (out-of-the-money by 13.4%). Trade size exceeded prior open interest.
Total Values: Total premium paid $34,375
Strike Price: $19
Analysis: With eight days to expiration, this short-term bullish bet suggests confidence in immediate upside. Exceeding prior open interest indicates a new position.


Peloton Interactive, Inc. (PTON)
Sentiment: Bullish
Options Activity: Calls bought for the November 21, 2025 expiry, with a strike price of $9 compared to the spot price of $8.52 (out-of-the-money by 5.7%).
Total Values: Total premium paid $210,370
Strike Price: $9
Analysis: With fifty-seven days to expiration, investors are paying premiums for moderate upside, reflecting expectations of recovery.


Daqo New Energy Corp. (DQ)
Sentiment: Bullish
Options Activity: Calls bought across expiries including April 17, 2026 (strikes $39 and $35), November 21, 2025 (strike $30), and January 16, 2026 (strike $31), with strikes compared to spot prices around $29 (out-of-the-money by 6% to 26%). Trade sizes exceeded prior open interest.
Total Values: Total premium paid $548,424
Strike Price: $30, $31, $35, $39
Analysis: With expiries from fifty-eight to two hundred five days, this flow indicates bullish bets across medium- to long-term horizons. Exceeding prior open interest confirms multiple new positions.


Kura Oncology, Inc. (KURA)
Sentiment: Bullish
Options Activity: Calls bought for the October 17, 2025 expiry, with a strike price of $9 compared to the spot price of $8.28 (out-of-the-money by 8.76%). Trade size exceeded prior open interest.
Total Values: Total premium paid $95,290
Strike Price: $9
Analysis: With twenty-two days to expiration, this activity reflects bullish sentiment, possibly tied to upcoming catalysts. New positioning is evident.


Lightbridge Corporation (LTBR)
Sentiment: Bullish
Options Activity: Calls bought for the January 15, 2027 expiry, with a strike price of $30 compared to the spot price of $19.65 (out-of-the-money by 52.71%). Trade size exceeded prior open interest.
Total Values: Total premium paid $204,144
Strike Price: $30
Analysis: With four hundred seventy-seven days to expiration, this deep out-of-the-money long-term bet shows bullish conviction in major future developments. Exceeding prior open interest confirms a new substantial position.


Apple Inc. (AAPL)
Sentiment: Bullish
Options Activity: Puts sold for the October 3, 2025 expiry, with a strike price of $265 compared to the spot price of $256.25 (in-the-money by 3.41%). Trade size exceeded prior open interest.
Total Values: Total premium collected $920,000
Strike Price: $265
Analysis: With eight days to expiration, this flow signals bullish sentiment as investors collect premiums while taking on potential assignment above current spot. The activity suggests confidence that the stock will hold steady or rise, with new positions being established.


Clear Secure, Inc. (YOU)
Sentiment: Bearish
Options Activity: Puts bought for the January 16, 2026 expiry, with a strike price of $35 compared to the spot price of $36.39 (in-the-money by 3.81%). Trade size exceeded prior open interest.
Total Values: Total premium paid $279,720
Strike Price: $35
Analysis: With one hundred thirteen days to expiration, this options flow highlights bearish sentiment, as premiums were paid for downside exposure. The trade size over prior open interest signals a new bearish position.


Tickers: MIR, MRVL, EXPE, GRRR, FUTU, BHP, SGML, LAES, MP, QURE, HCC, XPEV, ZVRA, OPAD, NUS, INTC, BZFD, NAK, RUN, PTON, DQ, KURA, LTBR, AAPL, YOU


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

Vitality Biopharma Inc (VBIO)
Buyer: LoConti Joseph E. (Large shareholder)
Shares Purchased: 2,333,333 (+13.9%)
Price: USD 0.15
Total Value: USD 350,000

Vitality Biopharma Inc (VBIO)
Buyer: Cavanaugh Michael R. (Chief Executive Officer)
Shares Purchased: 666,667 (+35.5%)
Price: USD 0.15
Total Value: USD 100,000

Vitality Biopharma Inc (VBIO)
Buyer: Feighan Edward F. (Non-Executive Director)
Shares Purchased: 666,667 (+21.7%)
Price: USD 0.15
Total Value: USD 100,000

Prospect Capital Corp (PSEC)
Buyer: Barry John F. (Chief Executive Officer)
Shares Purchased: 384,000 (+0.5%)
Price: USD 2.66
Total Value: USD 1,021,478

Marvell Technology Inc (MRVL)
Buyer: Murphy Matthew J. (Chairman and CEO)
Shares Purchased: 13,600 (+5.3%)
Price: USD 77.09
Total Value: USD 1,048,424

Marvell Technology Inc (MRVL)
Buyer: Koopmans Chris (President and COO)
Shares Purchased: 6,800 (+6.9%)
Price: USD 78.03
Total Value: USD 530,604

Marvell Technology Inc (MRVL)
Buyer: Bharathi Sandeep (President, Data Center Group)
Shares Purchased: 3,400 (+4.9%)
Price: USD 78.03
Total Value: USD 265,302

Marvell Technology Inc (MRVL)
Buyer: Meintjes Willem A. (Chief Financial Officer)
Shares Purchased: 3,400 (+2.6%)
Price: USD 78.03
Total Value: USD 265,302

Hudson Global Inc (HSON)
Buyer: Eberwein Jeffrey E. (Chief Executive Officer)
Shares Purchased: 8,600 (+1.3%)
Price: USD 11.47
Total Value: USD 98,642

Retractable Technologies Inc (RVP)
Buyer: Shaw Thomas J. (President and CEO)
Shares Purchased: 17,500 (+0.1%)
Price: USD 0.80
Total Value: USD 14,035

Flat Rock Opportunity Fund (FROPX)
Buyer: Bates Shiloh R. (Chief Investment Officer)
Shares Purchased: 1,235 (+3.9%)
Price: USD 17.18
Total Value: USD 21,213

Butler National Corp (BUKS)
Buyer: Daly Joseph Patrick (Non-Executive Director, Large shareholder)
Shares Purchased: 12,700 (+0.3%)
Price: USD 1.80
Total Value: USD 22,860

BMC Fund Inc (NONE)
Buyer: Broyhill Markham Hunt (Trustee)
Shares Purchased: 1,200 (+2.0%)
Price: USD 20.46
Total Value: USD 24,552

Adams Street Private Equity Navigator Fund LLC (N/A)
Buyer: Walker James Francis (President and CEO)
Shares Purchased: 23,428 (new position)
Price: USD 10.67
Total Value: USD 249,977

Factset Research Systems Inc (FDS)
Buyer: McLoughlin Christopher (Chief Legal Officer)
Shares Purchased: 335 (+10.8%)
Price: USD 296.18
Total Value: USD 99,108

US Insider Sales

General Motors Co (GM)
Seller: Barra Mary T. (Chair & CEO)
Shares Sold: 372,024 (-37.0%)
Price: USD 59.95
Total Value: USD 22,302,839

General Motors Co (GM)
Seller: Barra Mary T. (Chair & CEO)
Shares Sold: 181,696 (-22.3%)
Price: USD 59.95
Total Value: USD 10,892,675

General Motors Co (GM)
Seller: Barra Mary T. (Chair & CEO)
Shares Sold: 200,000 (-31.6%)
Price: USD 59.95
Total Value: USD 11,990,000

CoreWeave Inc (CRWV)
Seller: McBee Brannin (Chief Development Officer)
Shares Sold: 85,100 (-27.0%)
Price: USD 130.74
Total Value: USD 11,126,059

CoreWeave Inc (CRWV)
Seller: McBee Brannin (Chief Development Officer)
Shares Sold: 70,755 (-30.7%)
Price: USD 131.69
Total Value: USD 9,317,903

CoreWeave Inc (CRWV)
Seller: McBee Brannin (Chief Development Officer)
Shares Sold: 63,300 (-39.7%)
Price: USD 132.64
Total Value: USD 8,396,283

CoreWeave Inc (CRWV)
Seller: McBee Brannin (Chief Development Officer)
Shares Sold: 61,943 (-64.4%)
Price: USD 133.67
Total Value: USD 8,279,890

NVIDIA Corp (NVDA)
Seller: Huang Jen Hsun (President and CEO)
Shares Sold: 29,827 (new sale)
Price: USD 176.96
Total Value: USD 5,278,275

NVIDIA Corp (NVDA)
Seller: Huang Jen Hsun (President and CEO)
Shares Sold: 20,588 (new sale)
Price: USD 178.23
Total Value: USD 3,669,346

NVIDIA Corp (NVDA)
Seller: Huang Jen Hsun (President and CEO)
Shares Sold: 14,767 (new sale)
Price: USD 178.93
Total Value: USD 2,642,277

Quest Diagnostics Inc (DGX)
Seller: Prevoznik Michael E. (SVP & General Counsel)
Shares Sold: 28,288 (-42.6%)
Price: USD 187.12
Total Value: USD 5,293,313

UiPath Inc (PATH)
Seller: Dines Daniel (CEO and Chairman)
Shares Sold: 122,733 (-6.2%)
Price: USD 12.02
Total Value: USD 1,474,846

UiPath Inc (PATH)
Seller: Dines Daniel (CEO and Chairman)
Shares Sold: 122,733 (-5.9%)
Price: USD 12.44
Total Value: USD 1,527,314

Klaviyo Inc (KVYO)
Seller: Bialecki Andrew (Chief Executive Officer)
Shares Sold: 181,553 (-85.9%)
Price: USD 35.52
Total Value: USD 6,448,763

Workday Inc (WDAY)
Seller: Duffield David A. (Large shareholder)
Shares Sold: 26,608 (-15.2%)
Price: USD 240.27
Total Value: USD 6,393,176

Workday Inc (WDAY)
Seller: Duffield David A. (Large shareholder)
Shares Sold: 13,006 (-10.7%)
Price: USD 243.21
Total Value: USD 3,163,183

Workday Inc (WDAY)
Seller: Duffield David A. (Large shareholder)
Shares Sold: 15,405 (-10.4%)
Price: USD 241.13
Total Value: USD 3,714,637

United Therapeutics Corp (UTHR)
Seller: Rothblatt Martine A. (Chairperson & CEO)
Shares Sold: 3,316 (-80.3%)
Price: USD 433.77
Total Value: USD 1,438,374

United Therapeutics Corp (UTHR)
Seller: Rothblatt Martine A. (Chairperson & CEO)
Shares Sold: 2,000 (-93.9%)
Price: USD 419.79
Total Value: USD 839,573

United Therapeutics Corp (UTHR)
Seller: Rothblatt Martine A. (Chairperson & CEO)
Shares Sold: 2,000 (-48.4%)
Price: USD 416.51
Total Value: USD 833,020


CDN Insider Purchases

Axcap Ventures Inc (AXCP)
Buyer: Lennox-King, Oliver (Director of Issuer)
Shares Purchased: 10,000,000 (+new position)
Price: CAD 0.10
Total Value: CAD 1,000,000

Axcap Ventures Inc (AXCP)
Buyer: Vetro, Mario (Director of Issuer)
Shares Purchased: 3,000,000 (+new position)
Price: CAD 0.10
Total Value: CAD 300,000

Axcap Ventures Inc (AXCP)
Buyer: Cotiamco, Kenneth Walter (Director of Issuer)
Shares Purchased: 200,000 (+23.6%)
Price: CAD 0.10
Total Value: CAD 20,000

Eupraxia Pharmaceuticals Inc (EPRX)
Buyer: Freedman, Joseph Stuart (Director of Issuer)
Shares Purchased: 282,627 (+622.5%)
Price: USD 5.50
Total Value: USD 1,554,449

Eupraxia Pharmaceuticals Inc (EPRX)
Buyer: Montalbano, John (Director of Issuer)
Shares Purchased: 67,273 (+5.5%)
Price: USD 5.50
Total Value: USD 370,002

Eupraxia Pharmaceuticals Inc (EPRX)
Buyer: Freedman, Joseph Stuart (Director of Issuer)
Shares Purchased: 166,290 (+13.9%)
Price: USD 5.50
Total Value: USD 914,595

Eupraxia Pharmaceuticals Inc (EPRX)
Buyer: Freedman, Joseph Stuart (Director of Issuer)
Shares Purchased: 61,350 (new position)
Price: USD 5.50
Total Value: USD 337,425

Eupraxia Pharmaceuticals Inc (EPRX)
Buyer: Freedman, Joseph Stuart (Director of Issuer)
Shares Purchased: 13,145 (+59.8%)
Price: USD 5.50
Total Value: USD 72,298

Eupraxia Pharmaceuticals Inc (EPRX)
Buyer: Pimstone, Simon Neil (Director of Issuer)
Shares Purchased: 3,052 (+66.0%)
Price: USD 5.50
Total Value: USD 16,786

Eupraxia Pharmaceuticals Inc (EPRX)
Buyer: Wilmink, Michael (Director of Issuer)
Shares Purchased: 3,363 (+1.5%)
Price: USD 5.50
Total Value: USD 18,497

Bitfarms Ltd (BITF)
Buyer: Gagnon, Benjamin J. (Director and Senior Officer)
Shares Purchased: 35,000 (+4.0%)
Price: USD 2.65
Total Value: USD 92,575

Rubellite Energy Corp (RBY)
Buyer: Riddell Rose, Susan (10% Security Holder, Director, Senior Officer)
Shares Purchased: 50,000 (+2.8%)
Price: CAD 2.20
Total Value: CAD 110,000

Petrus Resources Ltd (PRQ)
Buyer: Gray, Kenneth Graham (Director and Senior Officer)
Shares Purchased: 46,700 (+1.6%)
Price: CAD 1.51
Total Value: CAD 70,517

Petrus Resources Ltd (PRQ)
Buyer: Gray, Kenneth Graham (Director and Senior Officer)
Shares Purchased: 43,400 (+1.5%)
Price: CAD 1.33
Total Value: CAD 57,722

Myriad Uranium Corp (M)
Buyer: Lee, Thomas (Director of Issuer)
Shares Purchased: 100,000 (new position)
Price: CAD 0.25
Total Value: CAD 25,000

Myriad Uranium Corp (M)
Buyer: Lamb, Thomas David (Director and Senior Officer)
Shares Purchased: 100,000 (+5.7%)
Price: CAD 0.25
Total Value: CAD 25,000

Erdene Resource Development Corp (ERD)
Buyer: McRae, Cameron (Director of Issuer)
Shares Purchased: 10,000 (+10.6%)
Price: CAD 2.94
Total Value: CAD 29,400

Intrepid Metals Corp (INTR)
Buyer: King & Bay West Management Corp. (Deemed Insider)
Shares Purchased: 50,000 (+4.7%)
Price: CAD 0.39
Total Value: CAD 19,500

First Mining Gold Corp (FF)
Buyer: Huang, Richard (Senior Officer of Issuer)
Shares Purchased: 50,000 (+5.1%)
Price: CAD 0.28
Total Value: CAD 14,000

BetterLife Pharma Inc (BETR)
Buyer: Sangha, Steven (10% Security Holder, Director of Issuer)
Shares Purchased: 150,000 (+0.7%)
Price: CAD 0.08
Total Value: CAD 12,000

High Arctic Energy Services Inc (HWO)
Buyer: Strong, Douglas John (Director of Issuer)
Shares Purchased: 13,500 (+44.2%)
Price: CAD 0.87
Total Value: CAD 11,680

eCobalt Solutions Inc (ECS)
Buyer: Varshney, Deepak (Director and Senior Officer)
Shares Purchased: 30,000 (+4.0%)
Price: CAD 0.37
Total Value: CAD 11,100

Olive Resource Capital Inc (OC)
Buyer: Singer, Jeffrey (Director of Issuer)
Shares Purchased: 100,000 (+15.2%)
Price: CAD 0.06
Total Value: CAD 6,000

Total Telcom Inc (TTZ)
Buyer: Andreola, Gianpaolo Fabrisio (Director of Issuer)
Shares Purchased: 35,000 (+13.8%)
Price: CAD 0.18
Total Value: CAD 6,300

CDN Insider Sales

Lundin Gold Inc (LUG)
Seller: Mir, Pablo (Executive Director)
Shares Sold: 16,345 (-42.3%)
Price: CAD 85.89
Total Value: CAD 1,403,872

Suncor Energy Inc (SU)
Seller: Zebedee, Peter Douglas (Senior Officer of Issuer)
Shares Sold: 35,461 (new sale)
Price: CAD 58.91
Total Value: CAD 2,088,901

Suncor Energy Inc (SU)
Seller: Zebedee, Peter Douglas (Senior Officer of Issuer)
Shares Sold: 18,519 (new sale)
Price: CAD 58.91
Total Value: CAD 1,090,899

Eldorado Gold Corp (ELD)
Seller: Frank, Per Niklas (Senior Officer of Issuer)
Shares Sold: 23,167 (-67.8%)
Price: CAD 39.44
Total Value: CAD 913,672

Endeavour Silver Corp (EDR)
Seller: Beck, Margaret (Director of Issuer)
Shares Sold: 19,597 (new sale)
Price: CAD 11.00
Total Value: CAD 215,567

Taseko Mines Ltd (TKO)
Seller: Bergot, Brian Lee (Senior Officer of Issuer)
Shares Sold: 40,000 (-23.1%)
Price: CAD 5.55
Total Value: CAD 222,000

Obsidian Energy Ltd (OBE)
Seller: Sykes, Gareth Robin (Senior Officer of Issuer)
Shares Sold: 4,570 (-4.0%)
Price: CAD 9.22
Total Value: CAD 42,117

Aurora Cannabis Inc (ACB)
Seller: Schick, Lori (Senior Officer of Issuer)
Shares Sold: 7,352 (-28.0%)
Price: CAD 7.08
Total Value: CAD 52,052

Millennial Potash Corp (MLP)
Seller: Morrison, Brian (Senior Officer of Issuer)
Shares Sold: 30,000 (-5.7%)
Price: CAD 3.06
Total Value: CAD 91,710

Blackrock Silver Corp (BRC)
Seller: Pollard, Andrew (Director and Senior Officer)
Shares Sold: 100,000 (-2.3%)
Price: CAD 0.93
Total Value: CAD 93,020

American Hotel Income Properties REIT LP (HOT.UN)
Seller: O’Neill, John Christopher (Director of Issuer)
Shares Sold: 100,000 (-12.6%)
Price: CAD 0.41
Total Value: CAD 40,600

VersaBank (VBNK)
Seller: Shah, Chintan (Senior Officer of Issuer)
Shares Sold: 700 (-17.5%)
Price: CAD 17.70
Total Value: CAD 12,390

VersaBank (VBNK)
Seller: Shah, Chintan (Senior Officer of Issuer)
Shares Sold: 300 (-9.1%)
Price: CAD 17.70
Total Value: CAD 5,311

Ero Copper Corp (ERO)
Seller: Braaten, Lyle (Director of Issuer)
Shares Sold: 3,400 (-1.3%)
Price: CAD 26.05
Total Value: CAD 88,570

Strategic Metals Ltd (SMD)
Seller: Groat, Lee Andrew (Director of Issuer)
Shares Sold: 42,603 (new sale)
Price: CAD 0.27
Total Value: CAD 11,503


Institutional Spotlight: Rising Hedge Fund Ownership

Upstart Holdings (UPST)
Hedge funds now own 7.82M shares of Upstart Holdings, an increase of 6.48M shares from the prior quarter. This marks a significant new positioning in the finance sector.


Merit Medical Systems (MRX)
Institutional ownership in Merit Medical Systems rose to 2.94M shares, reflecting an additional 2.37M shares acquired this quarter, signaling increased exposure to the finance sector.


Texas-New Mexico Power (TXNM)
Hedge funds lifted their stake in Texas-New Mexico Power to 7.82M shares, up by 6.25M shares from last quarter, marking a strong new allocation in the utilities space.


Avantor (AVTR)
Hedge fund holdings in Avantor expanded to 17.08M shares, an increase of 13.53M shares quarter-over-quarter, highlighting a major buildup in the industrials sector.


Bunge (BG)
Ownership in Bunge climbed to 3.00M shares, up by 2.33M shares from the prior quarter, reflecting notable new activity in consumer staples.


Hologic (HOLX)
Hedge funds boosted their stake in Hologic to 2.52M shares, an increase of 1.92M shares, underscoring rising interest in health care.


Celanese (CE)
Institutional ownership in Celanese increased to 4.60M shares, with 3.41M shares added this quarter, showing a significant buildup in the industrials sector.


Whirlpool (WHR)
Hedge fund positions in Whirlpool reached 1.12M shares, reflecting an additional 820.89K shares, marking an increased bet in consumer discretionary.


Rocket Companies (RKT)
Hedge funds now control 44.11M shares of Rocket Companies, up by 32.01M shares from last quarter, a substantial increase in finance sector exposure.


Biogen (BIIB)
Institutional holdings in Biogen rose to 5.24M shares, an increase of 3.79M shares, highlighting stronger positioning in health care.


Hyatt Hotels (H)
Ownership of Hyatt Hotels climbed to 3.11M shares, up 2.24M shares, reflecting renewed focus in consumer discretionary.


Dick’s Sporting Goods (DKS)
Hedge fund stakes in Dick’s Sporting Goods increased to 4.49M shares, with 3.23M shares added, marking stronger discretionary positioning.


Flowserve (FLS)
Holdings in Flowserve expanded to 8.26M shares, up 5.91M shares, a sizeable increase in the industrials sector.


Clearwater Analytics (CWAN)
Hedge funds boosted ownership in Clearwater Analytics to 5.79M shares, an increase of 4.08M shares, reinforcing interest in technology.


Fluor (FLR)
Institutional ownership of Fluor jumped to 17.12M shares, up 11.86M shares, signaling strong accumulation in the industrials sector.


DoubleVerify (DV)
Hedge funds increased their stake in DoubleVerify to 9.23M shares, an additional 6.31M shares, marking robust technology sector demand.


Zebra Technologies (ZBRA)
Ownership of Zebra Technologies rose to 1.48M shares, reflecting an increase of 1.01M shares, showing increased allocations to industrials.


Exelon (EXC)
Hedge fund positions in Exelon grew to 30.93M shares, up 20.65M shares, a substantial addition in the utilities space.


BWX Technologies (BWXT)
Holdings in BWX Technologies expanded to 3.16M shares, up 2.07M shares, reinforcing institutional interest in industrials.


PNC Financial Services (PNC)
Institutional stakes in PNC Financial Services increased to 3.42M shares, with 2.22M shares added, strengthening finance exposure.


Norfolk Southern (NSC)
Ownership of Norfolk Southern rose to 3.29M shares, up 2.05M shares, underscoring rising allocations in industrials.


Surgery Partners (SGRY)
Hedge funds now hold 12.39M shares of Surgery Partners, an increase of 7.68M shares, showing expanded positioning in health care.


EPAM Systems (EPAM)
Holdings in EPAM Systems reached 2.53M shares, up 1.55M shares, reflecting stronger technology exposure.


Cidara Therapeutics (CDTX)
Hedge funds boosted ownership in Cidara Therapeutics to 16.27M shares, an increase of 9.85M shares, highlighting health care sector accumulation.


Dollar General (DG)
Institutional positions in Dollar General rose to 7.82M shares, up 4.73M shares, showing increased commitment in consumer discretionary.


Hewlett Packard Enterprise (HPE)
Hedge funds expanded holdings in Hewlett Packard Enterprise to 40.32M shares, an increase of 24.34M shares, underscoring strong technology sector interest.


CenterPoint Energy (CNP)
Ownership in CenterPoint Energy climbed to 22.41M shares, up 13.28M shares, showing rising allocations to utilities.


Tripadvisor (TRIP)
Institutional stakes in Tripadvisor increased to 16.57M shares, with 9.56M shares added, marking notable new exposure in technology.


Xcel Energy (XEL)
Hedge funds lifted their position in Xcel Energy to 21.09M shares, up 12.17M shares, reinforcing utility sector demand.


Hasbro (HAS)
Institutional holdings in Hasbro grew to 5.19M shares, with 2.95M shares added, reflecting increased consumer discretionary exposure.


Tickers: UPST, MRX, TXNM, AVTR, BG, HOLX, CE, WHR, RKT, BIIB, H, DKS, FLS, CWAN, FLR, DV, ZBRA, EXC, BWXT, PNC, NSC, SGRY, EPAM, CDTX, DG, HPE, CNP, TRIP, XEL, HAS


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

OKLO, BHF, QUBT, SMR, NNE, LTBR, LAES, QBTS/WT, UMAC, SINT, RGTI, AREC, AQST, LPTH, AMPG, IZEA, DPRO, ENTO, LEU, HYMC, KALA, ARQQ, FBYD, PRE, EVTL, UAMY, HOVR, ASMB, NEOV, STEX, BBAI, MDAI, VNRX, SERV, ASTS, MGNI, KRRO, ANNX, BKSY, ASPI, EDSA, MPTI, CURI, CDE, GXAI, AEVA, AG, TNYA, AZ, MUX, ACHR, AIRS, BETR, IREN, SGLY, THM, SNT, GDMN, VIVS, LODE, RNXT, SA, IONQ, CIA, ARQ, FLR, VGZ, CRML, MVST, BE, GRRR, PSNL, TSSI, CMCL, DAVE, RPID, APP, VEON, ECX, IVA, BFRI, RCAT, BLBX, ORCL, UBER, SOUN, SNOW, GNLX, CIFR, CVNA, INBX, NNVC, NUTX, APPS, TIGO, WBD, AISP, STRL, NMTC, CBNA, AAPL, HOOD, RDWR, SATL, PLTR, CPSH, NEPH, AYTU, HIMS, APLD, INSG, LYFT, MATH, SLV, SCYX, TVTX, PRSO, VCYT, XMTR, CEG, AFRM, BNR, SRZN, PDYN, UPWK, AMBP, RDVT, YOU, OPXS, SEZL, COSM, FBRX, MDB, TLSA, TSLA, CXDO, EVAX, ROAD, GEV, STX, NVAX, UGL, FRHC, MAMA, INSE, ANEB, ANET, QRVO, INTU, STK, UTHR, MSFT, ZETA, ONDS, TARS, HL, SATS, ROM, MAR, HNRG, KOLD, REAL, GENI, PLTM, PBI, NFLX, NUVB, GSAT, ATAT, CYD, PRIM, APH, RSI, GDE, GGZ, GPCR, MP, BN, HNVR, DDOG, GETY, HALO, UBFO, RPRX, EVRG, WDC, LENZ, GROY, MFH, TRMB, WFC, FSLR, GE, TEM, UPRO, U, ENVX, FOXA, QLD, CEP, TAC, NXT, PANW, FTLF, CLSK, IMDX, MCK, VRT, GOOG, SE, STNE, NU, SCHW, RGR, ABT, ZS, GOOGL, AXON, INVZ, PCT, XLK

 

Canadian Institutional Momentum Watchlist

EXPORT – Canadian Institutional Momentum Watchlist

GRSL.V, DPRO.CA, ABX.TO, NEO.TO, EDR.TO, USA.TO, AG.TO, WRN.TO, ARTG.V, ODV.V, NUAG.TO, URE.TO, ASM.TO, EU.V, EFR.TO, EDV.TO, ARIS.TO, GLO.TO, FTG.TO, FNV.TO, SEA.TO, IAU.TO, PPTA.TO, SKE.TO, K.TO, MTA.V, GOLD.TO, ITR.V, BLDP.TO, NXE.TO, GAU.TO, SSRM.TO, DML.TO, CCO.TO, WDO.TO, NFG.V, SVM.TO, OR.TO, NG.TO, FAR.TO, BTO.TO, ELVA.TO, CNL.TO, CAE.TO, TXG.TO, GGD.TO, URC.TO, AGI.TO, LUG.TO, PAAS.TO, ELD.TO, AYA.TO, HBM.TO, SES.TO, GIL.TO, KNT.TO, IMG.TO, CG.TO, EQX.TO, GTII.CA, OGC.TO, ORA.TO, ALA.TO, WPM.TO, EFN.TO, FM.TO, FVI.TO, BBD/B.TO, ARG.TO, ATD.TO, NGD.TO, SLI.V, TKO.TO, EIF.TO, SSL.TO, ATRL.TO, LGO.TO, WILD.TO, LAC.TO, DFY.TO, MDI.TO, NWH/UN.TO, TIH.TO, FCR/UN.TO, AAUC.TO, CEF.TO, LUN.TO, ECN.TO, DNTL.TO, PRL.TO, FFH.TO, ALS.TO, REI/UN.TO, BN.TO, DRM.TO, MOGO.TO, POW.TO, CM.TO, SII.TO, CRR/UN.TO, TFPM.TO, TA.TO, SLF.TO, FTT.TO, NA.TO, DOL.TO, AP/UN.TO, SIA.TO, DPM.TO, IAG.TO, L.TO, PIF.TO, LI.V, WTE.TO, ATZ.TO

 

To conclude our report, we thank you for your engagement and insights. Your feedback is valuable, and we encourage you to share your recommendations. Stay attentive to the Daily Setups, the Workspace, and the Watchlists for emerging opportunities. Additionally, explore the PDFs of the scanner results provided in the Daily Setups report. Until next time, happy trading!

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