
Notice: The Unusual Activity report is provided for informational and educational purposes only and is not intended to be used as a stock-picking service or as financial advice. The charts and accompanying research are designed to support your analysis, serving as indicators rather than direct recommendations to buy or sell any security. The creator assumes no responsibility for actions taken by readers and strongly encourages individuals to fully understand the associated risks and potential outcomes before making investment decisions. Please note that any charts and/or information are intended to aid in research and should not be considered a definitive part of your personal trading strategy. Not all charts will lead to actionable buy or sell signals at any given time. Individuals should consider consulting a qualified financial advisor before making any investment decisions.
Just a friendly reminder: Please pay close attention to the Daily Setups and Workspace scan results for potential future additions to stay ahead of the game.
If you’re facing challenges understanding the Daily Setups or need help crafting a trading strategy, don’t hesitate to ask for assistance. You can contact me via email at info@setyourstop.com or reach me through the Workspace. Let’s schedule a meeting to address your specific requirements and provide you with the guidance you need.
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 2025-8-26
The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2025-8-26. Each section highlights significant institutional activity, providing sentiment, key observations, and market expectations based on the data. All numbers represent large block trades likely executed by institutional players, not total-market figures.
Note: This report highlights institutional block option flow based on net premium. Strike prices and expiration dates are not available with block data.
Tesla (TSLA)
Options Activity: $69.5M in call premium bought versus $23.0M in call premium sold. Put premium included $15.9M bought and $12.6M in premium collected from puts sold.
Total Premium: $43.2M net inflow.
Sentiment: Bullish.
Analysis: Heavy call buying dominated Tesla’s flow, supported by additional bullish put selling. The strong net premium suggests institutional confidence in continued upside positioning.
Apple (AAPL)
Options Activity: $42.0M in call premium bought against $6.3M in call premium sold. Puts saw $2.1M bought and $3.1M in premium collected.
Total Premium: $36.7M net inflow.
Sentiment: Bullish.
Analysis: Institutional flows showed concentrated call accumulation paired with supportive put selling. The strong net premium reflects a broadly bullish outlook on Apple.
Palantir Technologies (PLTR)
Options Activity: $41.5M in call premium bought with $10.3M sold. Puts recorded $3.7M bought and $5.3M in premium collected.
Total Premium: $32.8M net inflow.
Sentiment: Bullish.
Analysis: Palantir continues to attract institutional call flows, with activity supported by bullish put selling. The strong positive net premium points to ongoing upside expectations.
Gold Fields (GFI)
Options Activity: $12.0M in call premium bought with no notable put flow.
Total Premium: $12.0M net inflow.
Sentiment: Bullish.
Analysis: Flows were concentrated entirely in calls, showing a singularly bullish bet on Gold Fields.
IREN Limited (IREN)
Options Activity: $6.1M in call premium bought, $2.1M sold. Puts showed $93K bought and $4.9M in premium collected.
Total Premium: $8.8M net inflow.
Sentiment: Bullish.
Analysis: Substantial call buying and strong put selling defined IREN’s activity. Institutions appear positioned for upside continuation, reflected in the sizeable positive net premium.
PDD Holdings (PDD)
Options Activity: $6.7M in call premium bought versus $17.3M sold. Puts recorded $4.6M bought against $21.4M in premium collected.
Total Premium: $6.2M net inflow.
Sentiment: Bullish.
Analysis: Despite significant call selling, the heavy premium collected from put selling outweighed bearish flows. Institutions positioned for stability or upside.
Vistra Corp. (VST)
Options Activity: $4.7M in call premium bought versus $208K sold. Puts showed no buys and $1.4M in premium collected.
Total Premium: $5.9M net inflow.
Sentiment: Bullish.
Analysis: Light but clean bullish activity, with call buying supported by put selling. Net premium flow suggests quiet confidence in upside.
Uber Technologies (UBER)
Options Activity: $5.9M in call premium bought versus $446K sold. Puts had $33K bought with no sales.
Total Premium: $5.4M net inflow.
Sentiment: Bullish.
Analysis: Strong call buying dominated Uber’s activity. With little put flow, the institutional tilt was clearly bullish.
JPMorgan Chase (JPM)
Options Activity: $4.1M in call premium bought against $63K sold. Puts saw no notable buying but $782K in premium collected.
Total Premium: $4.9M net inflow.
Sentiment: Bullish.
Analysis: Institutional flows leaned bullish, with upside call buying paired with supportive put selling.
Alphabet (GOOG)
Options Activity: $5.2M in call premium bought, $2.0M sold. Puts recorded $25K bought and $674K in premium collected.
Total Premium: $3.9M net inflow.
Sentiment: Bullish.
Analysis: Steady bullish activity driven by call buying and put selling suggests continued institutional confidence.
Qualcomm (QCOM)
Options Activity: $3.9M in call premium bought, $42K sold. Puts saw $350K bought with no sales.
Total Premium: $3.5M net inflow.
Sentiment: Bullish.
Analysis: Institutional flows favored calls heavily, with limited put activity. Net premium shows a clear bullish tilt.
Broadcom (AVGO)
Options Activity: $3.1M in call premium bought, $529K sold. Puts included $39K bought and $316K in premium collected.
Total Premium: $2.9M net inflow.
Sentiment: Bullish.
Analysis: Activity was weighted toward call buying with additional put selling, keeping sentiment firmly bullish.
Micron Technology (MU)
Options Activity: $4.0M in call premium bought versus $211K sold. Puts saw $1.5M bought and $556K in premium collected.
Total Premium: $2.8M net inflow.
Sentiment: Bullish.
Analysis: Net premium remained positive despite some put buying, as call demand dominated flows.
IBM (IBM)
Options Activity: $93K in call premium bought, $17K sold. Puts showed $1.1M bought and $3.5M in premium collected.
Total Premium: $2.5M net inflow.
Sentiment: Bullish.
Analysis: The decisive factor was put selling, which outweighed put buying and drove bullish sentiment despite limited call activity.
UnitedHealth (UNH)
Options Activity: $3.1M in call premium bought, $5.5M sold. Puts showed $3.7M bought versus $8.5M in premium collected.
Total Premium: $2.4M net inflow.
Sentiment: Bullish.
Analysis: Heavy call selling was offset by aggressive put selling. Institutions appear confident downside risk is limited.
Alibaba (BABA)
Options Activity: $3.2M in call premium bought, $2.5M sold. Puts had $126K bought against $1.8M in premium collected.
Total Premium: $2.3M net inflow.
Sentiment: Bullish.
Analysis: Flow favored calls, and strong put selling reinforced bullish conviction despite some offsetting sales.
Nu Holdings (NU)
Options Activity: $2.4M in call premium bought, $217K sold. Puts showed $26K bought and $92K in premium collected.
Total Premium: $2.2M net inflow.
Sentiment: Bullish.
Analysis: Strongly positive flow concentrated in calls with supporting put selling points to institutional upside positioning.
iShares Silver Trust (SLV)
Options Activity: $7.3M in call premium bought, $1.9M sold. Puts had $97K bought versus $534K in premium collected.
Total Premium: $5.8M net inflow.
Sentiment: Bullish.
Analysis: Clear bullish activity with calls leading and additional confirmation from put selling.
iShares 20+ Year Treasury Bond ETF (TLT)
Options Activity: $3.3M in call premium bought, $2.7M sold. Puts showed $358K bought and $3.4M in premium collected.
Total Premium: $3.5M net inflow.
Sentiment: Bullish.
Analysis: Net flows positive, supported by put selling. Institutions positioned for stabilization or upside.
KraneShares China Internet ETF (KWEB)
Options Activity: $1.3M in call premium bought, $1.8M sold. Puts showed $173K bought and $3.7M in premium collected.
Total Premium: $3.1M net inflow.
Sentiment: Bullish.
Analysis: Despite call selling, heavy put selling drove net premium positive, reflecting confidence in downside protection.
VanEck Gold Miners ETF (GDX)
Options Activity: $1.8M in call premium bought, $163K sold. Puts had $80K bought and $530K in premium collected.
Total Premium: $2.1M net inflow.
Sentiment: Bullish.
Analysis: Bullish flows concentrated in calls with supportive put selling. Institutions remain constructive on gold miners.
iShares Ethereum Trust (ETHA)
Options Activity: $16.1M in call premium bought, $14.0M sold. Puts recorded $1.2M bought and $529K in premium collected.
Total Premium: $1.4M net inflow.
Sentiment: Bullish.
Analysis: Significant two-way activity with large call buying and selling. Net inflow tilted bullish, with added support from put selling, reflecting institutional positioning for potential Ethereum upside.
Tickers: TSLA, AAPL, PLTR, GFI, IREN, PDD, VST, UBER, JPM, GOOG, QCOM, AVGO, MU, IBM, UNH, BABA, NU, SLV, TLT, KWEB, GDX, ETHA
Important Note: The numbers above only represent aggregate figures of large block trades made by institutions. They are not total-market figures and should not be interpreted as such.
Individual Options Trades: Trading Day 2025-8-26
This section focuses on unusual trades that stand out on an individual basis. These trades are highlighted for their distinctiveness, reflecting significant activity that diverges from typical market behavior.
BRILLIANT EARTH GROUP (BRLT)
Sentiment: Bullish
Options Activity: Multiple call purchases across the September 19, 2025 expiry (24 days to expiry) and October 17, 2025 expiry (fifty-two days to expiry) at the $2.50 strike with spot prices near $2.20. Several trades were flagged as size greater than prior open interest, suggesting new positioning.
Total Values: Approximately $135,000 in total premium paid across all contracts.
Strike Price: $2.50
Analysis: Investors accumulated calls at the $2.50 strike, both short-term (September) and medium-term (October), with activity concentrated well above prior open interest. With spot trading near $2.20, this positioning indicates bullish conviction that the stock could move higher into these expirations.
HECLA MINING (HL)
Sentiment: Bullish
Options Activity: Large-scale call buying for the January 16, 2026 expiry (one hundred forty-three days to expiry) at the $10 and $11 strikes. Trades were marked as size greater than prior open interest, pointing to new positions being established.
Total Values: More than $480,000 in premium paid across these strikes.
Strike Price: $10.00 and $11.00
Analysis: Investors targeted long-dated calls nearly five months out, positioning at strikes well above the current $7.96 spot. The size and fresh positioning reflect confidence in a strong upside move for Hecla Mining into early 2026.
ENERGY FUELS (UUUU)
Sentiment: Bullish
Options Activity: Calls purchased at the $14 strike expiring October 17, 2025 (fifty-two days to expiry), flagged as size greater than prior open interest.
Total Values: $120,000 in premium paid.
Strike Price: $14.00
Analysis: With spot at $12.40, call buyers are targeting upside through mid-October. The size relative to prior open interest highlights new bullish positioning, indicating expectations of a breakout higher.
UBER TECHNOLOGIES (UBER)
Sentiment: Bullish
Options Activity: Heavy accumulation of long-dated calls, including the June 18, 2026 expiry (two hundred ninety-six days to expiry) at the $110 strike and the January 15, 2027 expiry (five hundred seven days to expiry) at the $120 strike.
Total Values: Over $3.6 million in premium paid across multiple contracts.
Strike Price: $110.00 and $120.00
Analysis: Investors established significant long-term upside exposure, with strikes 15–25% above spot at $95.70. The scale and horizon of this activity reflect strong conviction in Uber’s long-term growth prospects.
NEW FORTRESS ENERGY (NFE)
Sentiment: Bullish
Options Activity: Aggressive call buying at the $15 strike for the December 19, 2025 expiry (one hundred fifteen days to expiry). Many trades were flagged as size greater than prior open interest.
Total Values: More than $362,000 in premium paid across contracts.
Strike Price: $15.00
Analysis: With spot at $2.59, the deep out-of-the-money calls represent highly speculative bullish bets. The activity suggests investors are targeting a sharp rebound into year-end, with size indicating fresh positioning.
FLUOR CORPORATION (FLR)
Sentiment: Bullish
Options Activity: Calls bought at the $42.50 strike expiring November 21, 2025 (eighty-seven days to expiry), including trades greater than prior open interest.
Total Values: Roughly $338,000 in premium paid.
Strike Price: $42.50
Analysis: Spot at $41.48 sits just below strike, making these calls relatively close to the money. Activity greater than prior open interest signals new bullish exposure looking for upside continuation into late November.
INTEL (INTC)
Sentiment: Bullish
Options Activity: Multiple call purchases at the $30 strike expiring October 3, 2025 (thirty-eight days to expiry). Trades were flagged as size greater than prior open interest.
Total Values: About $185,000 in premium paid.
Strike Price: $30.00
Analysis: With spot at $24.31, these calls are placed nearly 23% out of the money, suggesting investors are positioning for a near-term rally. The flow points to new bullish bets into early October.
RIGETTI COMPUTING (RGTI)
Sentiment: Bullish
Options Activity: Calls bought at the $15.50 strike expiring September 26, 2025 (thirty-one days to expiry). Activity was size greater than prior open interest.
Total Values: About $301,000 in premium paid.
Strike Price: $15.50
Analysis: Spot at $15.05 sits close to the strike, and the short-term expiry highlights conviction in an imminent move higher. The trades suggest new bullish positioning ahead of a potential breakout.
BRINKER INTERNATIONAL (EAT)
Sentiment: Bullish
Options Activity: Large call purchase at the $185 strike expiring January 16, 2026 (one hundred forty-three days to expiry), flagged as size greater than prior open interest.
Total Values: $430,000 in premium paid.
Strike Price: $185.00
Analysis: With spot at $158.97, investors positioned over 16% above current levels. The long-dated call buying reflects bullish sentiment into early 2026, with activity suggesting new positioning.
SOLID POWER (SLDP)
Sentiment: Bullish
Options Activity: Concentrated call buying at the $7.50 strike expiring November 21, 2025 (eighty-seven days to expiry), with size greater than prior open interest.
Total Values: Over $164,000 in premium paid.
Strike Price: $7.50
Analysis: Spot at $4.81 means these calls are nearly 56% out of the money. Activity greater than prior open interest suggests fresh speculative positioning for a sharp rally.
ROCKET LAB (RKLB)
Sentiment: Bullish
Options Activity: Heavy call buying at the $70 strike for the April 17, 2026 expiry (two hundred thirty-four days to expiry), flagged as size greater than prior open interest.
Total Values: About $830,000 in premium paid across multiple trades.
Strike Price: $70.00
Analysis: With spot at $49.46, investors are targeting long-dated upside with conviction. The size indicates new positioning, with investors betting on substantial gains over the next seven months.
RED ROBIN GOURMET BURGERS (RRGB)
Sentiment: Bullish
Options Activity: Calls purchased at the $7.50 strike expiring September 19, 2025 (twenty-four days to expiry).
Total Values: About $66,000 in premium paid.
Strike Price: $7.50
Analysis: With spot near $7.30, these calls sit close to the money. Short-dated positioning suggests investors are anticipating near-term strength into the September expiry.
QUALCOMM (QCOM)
Sentiment: Bullish
Options Activity: Significant call buying at the $165 strike expiring March 20, 2026 (two hundred six days to expiry), flagged as size greater than prior open interest.
Total Values: Over $3.3 million in premium paid.
Strike Price: $165.00
Analysis: With spot at $159.47, investors positioned just above current levels. The scale of long-dated call buying highlights strong conviction in continued upside momentum for Qualcomm.
URANIUM ENERGY CORP (UEC)
Sentiment: Bullish
Options Activity: A mix of call buying and put selling across near-term and long-dated expiries. Notably, calls at the $12 strike expiring October 3, 2025 (thirty-eight days to expiry) were flagged as size greater than prior open interest. Additionally, investors sold puts at the $7 strike expiring October 17, 2025 (fifty-two days to expiry), collecting premium.
Total Values: Over $302,000 in premium paid on calls and $16,800 in premium collected from put selling.
Strike Price: $7.00, $11.00, and $12.00
Analysis: With spot at $10.90, investors showed confidence both by buying upside calls and collecting premium on put sales well below spot. The activity suggests new bullish positioning, reinforcing confidence in stability and upside for UEC.
KNIGHT-SWIFT TRANSPORTATION (KNX)
Sentiment: Bullish
Options Activity: Heavy call buying at the $47.50 strike expiring September 19, 2025 (twenty-four days to expiry). Multiple trades were flagged as size greater than prior open interest, suggesting new positioning.
Total Values: Over $940,000 in premium paid across contracts.
Strike Price: $47.50
Analysis: With spot at $44.30, investors positioned for short-term upside momentum. The large scale of call buying and activity exceeding prior open interest reflect strong conviction in near-term strength.
KRISPY KREME (DNUT)
Sentiment: Bullish
Options Activity: Long-dated calls purchased at the $20 strike expiring January 15, 2027 (five hundred seven days to expiry). Some trades flagged as size greater than prior open interest.
Total Values: About $46,000 in premium paid.
Strike Price: $20.00
Analysis: With spot near $3.77, investors targeted deeply out-of-the-money long-term calls, indicating speculative bullish bets. The activity points to fresh positioning on a multi-year horizon.
IONQ (IONQ)
Sentiment: Bullish
Options Activity: Calls bought at the $42 and $44 strikes expiring August 29, 2025 (three days to expiry), flagged as size greater than prior open interest. Additionally, puts at the $30 strike expiring September 26, 2025 (thirty-one days to expiry) were sold, with premium collected.
Total Values: Over $143,000 in premium paid on calls and $116,000 in premium collected on puts.
Strike Price: $30.00, $42.00, and $44.00
Analysis: With spot near $40, both call buying and put selling highlight bullish conviction. The combination of premium collected on puts below spot and aggressive call purchases suggests new upside positioning in both short-term and one-month horizons.
GATES INDUSTRIAL (GTES)
Sentiment: Bullish
Options Activity: Call buying at the $26 strike expiring October 17, 2025 (fifty-two days to expiry), with trades flagged as size greater than prior open interest.
Total Values: About $247,000 in premium paid.
Strike Price: $26.00
Analysis: With spot near $25.65, investors targeted strikes close to the money. The activity suggests fresh bullish bets on continued strength into October.
HIVE BLOCKCHAIN (HIVE)
Sentiment: Bullish
Options Activity: Large call buying at the $4.50, $5.00, and $4.00 strikes expiring January 16, 2026 (one hundred forty-three days to expiry). Several trades were flagged as size greater than prior open interest.
Total Values: Over $600,000 in premium paid across contracts.
Strike Price: $4.00, $4.50, and $5.00
Analysis: With spot near $2.78, investors are accumulating longer-term upside exposure in deep out-of-the-money calls. The substantial activity exceeding prior open interest reflects speculative bullish conviction in a potential rebound.
BITFARMS (BITF)
Sentiment: Bullish
Options Activity: Calls purchased at the $1.50 strike for the November 21, 2025 expiry (eighty-seven days to expiry) and the January 16, 2026 expiry (one hundred forty-three days to expiry). Activity exceeded prior open interest.
Total Values: More than $166,000 in premium paid across both expirations.
Strike Price: $1.50
Analysis: With spot near $1.28, investors are targeting moderate-term and long-dated upside. The repeated accumulation signals fresh bullish positioning.
ISHARES RUSSELL 2000 ETF (IWM)
Sentiment: Bullish
Options Activity: A massive single call purchase at the $238 strike expiring September 19, 2025 (twenty-four days to expiry), flagged as size greater than prior open interest.
Total Values: $1,750,000 in premium paid.
Strike Price: $238.00
Analysis: With spot at $234.38, this close-to-the-money call signals a strong, short-term bullish bet on small-cap strength. The size of the premium paid underscores conviction.
OUTLOOK THERAPEUTICS (OTLK)
Sentiment: Bullish
Options Activity: Calls purchased at the $5 strike expiring November 21, 2025 (eighty-seven days to expiry). Multiple trades flagged as size greater than prior open interest.
Total Values: About $69,000 in premium paid.
Strike Price: $5.00
Analysis: With spot at $2.72, these calls sit far out of the money. The flow suggests speculative bullish bets with fresh positioning into late November.
VISTRA (VST)
Sentiment: Bullish
Options Activity: Large call buying at the $200 strike expiring December 19, 2025 (one hundred fifteen days to expiry). Several trades flagged as size greater than prior open interest.
Total Values: More than $4.5 million in premium paid.
Strike Price: $200.00
Analysis: With spot near $192, investors are positioning slightly above current levels. The scale and concentration of activity reflect significant bullish conviction into year-end.
GITLAB (GTLB)
Sentiment: Bullish
Options Activity: Calls purchased at the $52.50 strike expiring January 16, 2026 (one hundred forty-three days to expiry), flagged as size greater than prior open interest.
Total Values: About $134,000 in premium paid.
Strike Price: $52.50
Analysis: With spot near $44.33, these calls are placed nearly 19% out of the money. The flow reflects new bullish positioning for medium-term upside.
ALTENERGY ACQUISITION (ALTS)
Sentiment: Bullish
Options Activity: Call buying at the $13 strike expiring September 19, 2025 (twenty-four days to expiry), flagged as size greater than prior open interest.
Total Values: About $80,000 in premium paid.
Strike Price: $13.00
Analysis: With spot near $7.20, these out-of-the-money calls reflect speculative bullish positioning, with trades showing new exposure into September.
OPEN LENDING (LPRO)
Sentiment: Bullish
Options Activity: Calls purchased at the $2.50 strike expiring November 21, 2025 (eighty-seven days to expiry).
Total Values: Roughly $78,000 in premium paid.
Strike Price: $2.50
Analysis: With spot near $2.11, investors targeted slightly out-of-the-money calls. The flow suggests fresh bullish positioning into late November.
SKYWORKS TECHNOLOGY (SKYT)
Sentiment: Bullish
Options Activity: Call buying across the $11.50, $12.00, and $13.00 strikes expiring August 29, 2025 (three days to expiry). All flagged as size greater than prior open interest.
Total Values: About $45,600 in premium paid.
Strike Price: $11.50, $12.00, and $13.00
Analysis: With spot near $11.70, investors aggressively bought near-term calls just days before expiration. The activity reflects fresh speculative bullish positioning.
AMERICAN BATTERY TECHNOLOGY (ABAT)
Sentiment: Bullish
Options Activity: Calls purchased at the $2 strike expiring February 20, 2026 (one hundred seventy-eight days to expiry).
Total Values: About $168,000 in premium paid.
Strike Price: $2.00
Analysis: With spot near $2.70, investors targeted slightly in-the-money long-dated calls. The activity suggests bullish confidence over the medium term, with new positioning being established.
THE METALS COMPANY (TMC)
Sentiment: Bullish
Options Activity: Calls purchased across multiple expiries, including August 29, 2025 (three days to expiry), September 5, 2025 (ten days to expiry), and January 16, 2026 (one hundred forty-three days to expiry), at strikes between $5.00 and $6.00.
Total Values: Over $140,000 in premium paid.
Strike Price: $5.00, $5.50, and $6.00
Analysis: With spot near $5.30, investors accumulated calls across both very short-term and longer-term horizons. The activity reflects bullish conviction in both immediate and medium-term upside potential.
CANADA GOOSE (GOOS)
Sentiment: Bullish
Options Activity: Calls purchased at the $12.50 strike expiring September 5, 2025 (ten days to expiry). Trades flagged as size greater than prior open interest.
Total Values: About $34,000 in premium paid.
Strike Price: $12.50
Analysis: With spot near $12.80, investors are targeting short-dated upside. The activity signals fresh bullish positioning ahead of September expiration.
GOLD FIELDS (GFI)
Sentiment: Bullish
Options Activity: Very large-scale call buying at the $17 and $20 strikes expiring January 16, 2026 (one hundred forty-three days to expiry). Many trades flagged as size greater than prior open interest.
Total Values: Over $8.5 million in premium paid across all strikes.
Strike Price: $17.00 and $20.00
Analysis: With spot near $33.00, investors targeted deep out-of-the-money long-dated calls. The sheer size and breadth of activity suggest strong institutional bullish positioning on a long-term horizon.
ELASTIC (ESTC)
Sentiment: Bullish
Options Activity: Calls purchased at the $80 and $85 strikes, expiring September 19, 2025 (twenty-four days to expiry) and October 17, 2025 (fifty-two days to expiry). Several trades flagged as size greater than prior open interest.
Total Values: More than $1.26 million in premium paid.
Strike Price: $80.00 and $85.00
Analysis: With spot near $77.40, investors targeted near-the-money strikes in both September and October expiries. The scale and fresh positioning reflect strong bullish conviction in the stock’s near-term trajectory.
Tickers: BRLT, HL, UUUU, UBER, NFE, FLR, INTC, RGTI, EAT, SLDP, RKLB, RRGB, QCOM, UEC, KNX, DNUT, IONQ, GTES, HIVE, BITF, IWM, OTLK, VST, GTLB, ALTS, LPRO, SKYT, ABAT, TMC, GOOS, GFI, ESTC
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
AVITA Medical Inc (RCEL)
Buyer: O’Toole David D (CFO)
Shares Purchased: 2,000 (+6.7%)
Price: USD 4.52
Total Value: USD 9,040
Global Self Storage Inc (SELF)
Buyer: WINMILL & CO. INC (Large shareholder)
Shares Purchased: 7,788 (+15.4%)
Price: USD 5.26
Total Value: USD 40,973
Consumers Bancorp Inc (CBKM)
Buyer: Lober Ralph J II (CEO & President)
Shares Purchased: 3,000 (+4.2%)
Price: USD 20.70
Total Value: USD 62,100
Aebi Schmidt Holding AG (AEBI)
Buyer: Schenkirsch Thomas (Chief Group Services)
Shares Purchased: 3,500 (+3.7%)
Price: USD 11.77
Total Value: USD 41,195
Riverview Bancorp Inc (RVSB)
Buyer: Sherman Nicole (President/CEO)
Shares Purchased: 1,475 (+0.9%)
Price: USD 5.04
Total Value: USD 7,434
Shenandoah Telecommunications Co (SHEN)
Buyer: ECP Fiber Holdings GP, LLC (Large shareholder)
Shares Purchased: 1,500 (+0.0%)
Price: USD 13.10
Total Value: USD 19,648
Shenandoah Telecommunications Co (SHEN)
Buyer: ECP ControlCo, LLC (Large shareholder)
Shares Purchased: 1,500 (+0.0%)
Price: USD 13.10
Total Value: USD 19,648
DiaMedica Therapeutics Inc (DMAC)
Buyer: Staahlberg Jan (Director or Senior Officer of 10% Security Holder)
Shares Purchased: 59,788 (+0.8%)
Price: USD 8.26
Total Value: USD 493,849
DiaMedica Therapeutics Inc (DMAC)
Buyer: Staahlberg Jan (Director or Senior Officer of 10% Security Holder)
Shares Purchased: 48,172 (+0.7%)
Price: USD 8.28
Total Value: USD 398,864
Eastern Bankshares Inc (EBC)
Buyer: Sheahan Denis K (CEO)
Shares Purchased: 29,762 (+inf%)
Price: USD 16.71
Total Value: USD 497,323
Eastern Bankshares Inc (EBC)
Buyer: Rivers Robert Francis (Executive Chair)
Shares Purchased: 44,642 (+14.5%)
Price: USD 16.71
Total Value: USD 745,968
374Water Inc (SCWO)
Buyer: Pawloski James (Non-Executive Director)
Shares Purchased: 193,300 (+inf%)
Price: USD 0.26
Total Value: USD 50,819
MagnaChip Semiconductor Corp (MX)
Buyer: Park Shin Young (Officer)
Shares Purchased: 10,000 (+4.1%)
Price: USD 2.87
Total Value: USD 28,680
Bank of James Financial Group Inc (BOTJ)
Buyer: Bryant William C III (Non-Executive Director)
Shares Purchased: 2,525 (+3.5%)
Price: USD 15.43
Total Value: USD 38,961
Myomo Inc (MYO)
Buyer: Kirk Thomas F (Non-Executive Director)
Shares Purchased: 50,000 (+11.8%)
Price: USD 1.15
Total Value: USD 57,500
US Insider Sales
CME Group Inc (CME)
Seller: Cutinho Sunil (Chief Information Officer)
Shares Sold: 5,966 (-25.5%)
Price: USD 270.85
Total Value: USD 1,615,891
CME Group Inc (CME)
Seller: Cutinho Sunil (Chief Information Officer)
Shares Sold: 5,930 (-20.2%)
Price: USD 272.10
Total Value: USD 1,613,553
Boot Barn Holdings Inc (BOOT)
Seller: Grijalva Laurie Marie (Chief Merchandising Officer)
Shares Sold: 7,487 (-51.3%)
Price: USD 172.14
Total Value: USD 1,288,812
Insteel Industries Inc (IIIN)
Seller: Wagner Richard (SVP & COO)
Shares Sold: 4,366 (-9.7%)
Price: USD 38.42
Total Value: USD 167,742
Solaris Oilfield Infrastructure Inc (SOI)
Seller: Giesinger Edgar R. JR. (Non-Executive Director)
Shares Sold: 10,000 (-9.9%)
Price: USD 28.86
Total Value: USD 288,600
Spok Holdings Inc (SPOK)
Seller: Wallace Michael W (COO)
Shares Sold: 10,806 (-21.1%)
Price: USD 17.87
Total Value: USD 193,118
Addus Homecare Corp (ADUS)
Seller: Poff Brian (EVP & CFO)
Shares Sold: 3,633 (-6.0%)
Price: USD 117.13
Total Value: USD 425,533
Addus Homecare Corp (ADUS)
Seller: Poff Brian (EVP & CFO)
Shares Sold: 4,106 (-6.3%)
Price: USD 116.55
Total Value: USD 478,554
Littelfuse Inc (LFUS)
Seller: Conrad Alexander (SVP & GM Passenger Vehicle)
Shares Sold: 1,471 (-30.0%)
Price: USD 262.73
Total Value: USD 386,476
Littelfuse Inc (LFUS)
Seller: Conrad Alexander (SVP & GM Passenger Vehicle)
Shares Sold: 3,522 (-41.8%)
Price: USD 261.75
Total Value: USD 921,884
Littelfuse Inc (LFUS)
Seller: Conrad Alexander (SVP & GM Passenger Vehicle)
Shares Sold: 8,217 (-49.4%)
Price: USD 261.06
Total Value: USD 2,145,130
Chipotle Mexican Grill Inc (CMG)
Seller: Eskenazi Ilene (Chief Human Resources Officer)
Shares Sold: 26,576 (-23.9%)
Price: USD 43.15
Total Value: USD 1,146,725
Barrett Business Services Inc (BBSI)
Seller: Kramer Gary (President & CEO)
Shares Sold: 80,000 (-21.8%)
Price: USD 48.35
Total Value: USD 3,867,888
Amphenol Corp (APH)
Seller: Lampo Craig A (SVP & CFO)
Shares Sold: 40,076 (-50.1%)
Price: USD 110.56
Total Value: USD 4,430,602
Amphenol Corp (APH)
Seller: Silverman David M (SVP, Human Resources)
Shares Sold: 100,000 (-88.9%)
Price: USD 110.42
Total Value: USD 11,042,030
Semler Scientific Inc (SMLR)
Seller: Murphy-Chutorian Douglas (CEO)
Shares Sold: 28,604 (-47.7%)
Price: USD 30.54
Total Value: USD 873,566
Dutch Bros Inc (BROS)
Seller: Boersma Travis (Executive Chairman of Board, Large shareholder)
Shares Sold: 250,113 (-13.9%)
Price: USD 69.59
Total Value: USD 17,405,914
Dutch Bros Inc (BROS)
Seller: DM Trust Aggregator, LLC (Large shareholder)
Shares Sold: 250,113 (-13.9%)
Price: USD 69.59
Total Value: USD 17,405,914
CDN Insider Purchases
Vanadiumcorp Resource Inc (VRB)
Buyer: Fairhurst, Emma (10% Security Holder)
Shares Purchased: 500,000 (+38.5%)
Price: CAD 0.11
Total Value: CAD 55,000
Stantec Inc (STN)
Buyer: Bock, Clayton (Executive Director)
Shares Purchased: 910 (+72.8%)
Price: USD 110.45
Total Value: USD 100,510
PTX Metals Inc (PTX)
Buyer: Vereecke, Christophe (Non-Executive Director)
Shares Purchased: 71,500 (+11.9%)
Price: CAD 0.11
Total Value: CAD 7,865
Mabel Ventures Inc (formerly Aardvark Ventures Inc)
Buyer: McLeod, Robert John (10% Security Holder)
Shares Purchased: 2,430,000 (+36.4%)
Price: CAD 0.05
Total Value: CAD 121,500
Mabel Ventures Inc (formerly Aardvark Ventures Inc)
Buyer: McLeod, Robert John (10% Security Holder)
Shares Purchased: 1,000,000 (+17.6%)
Price: CAD 0.05
Total Value: CAD 50,000
Corby Spirit and Wine Ltd (CSW.A)
Buyer: Alonso, Juan (Executive Director)
Shares Purchased: 1,000 (+12.0%)
Price: CAD 15.09
Total Value: CAD 15,090
Cartier Resources Inc (ECR)
Buyer: Peiffer, Manuel (Non-Executive Director)
Shares Purchased: 50,000 (+8.3%)
Price: CAD 0.16
Total Value: CAD 7,750
Blackrock Silver Corp (BRC)
Buyer: Sprott, Eric (10% Security Holder)
Shares Purchased: 200,000 (+0.4%)
Price: CAD 0.64
Total Value: CAD 127,800
Blackrock Silver Corp (BRC)
Buyer: 2176423 Ontario Ltd. (10% Security Holder)
Shares Purchased: 200,000 (+0.4%)
Price: CAD 0.64
Total Value: CAD 127,800
Bitfarms Ltd (BITF)
Buyer: Lucas, Jeffrey (Officer)
Shares Purchased: 7,318 (+2.6%)
Price: USD 1.25
Total Value: USD 9,178
Allied Gold Corp (AAUC)
Buyer: Marrone, Peter (Executive Director)
Shares Purchased: 6,000 (+0.1%)
Price: CAD 18.72
Total Value: CAD 112,320
Vior Inc (VIO)
Buyer: Fedosiewich, Mark Brian (Officer)
Shares Purchased: 50,000 (+0.5%)
Price: CAD 0.13
Total Value: CAD 6,250
Sol Strategies Inc (HODL)
Buyer: Guoga, Antanas (Tony) (10% Security Holder)
Shares Purchased: 10,000 (+0.2%)
Price: USD 6.75
Total Value: USD 67,526
Sol Strategies Inc (HODL)
Buyer: Guoga, Antanas (Tony) (10% Security Holder)
Shares Purchased: 25,000 (+0.6%)
Price: CAD 9.39
Total Value: CAD 234,850
Northstar Gaming Holdings Inc (BDN)
Buyer: Moskowitz, Michael David (Executive Director)
Shares Purchased: 100,000 (+1.1%)
Price: CAD 4.50
Total Value: CAD 450,000
Fiera Capital Corp (FSZ)
Buyer: De la Roche, Paul (Officer)
Shares Purchased: 4,250 (+11.7%)
Price: CAD 6.69
Total Value: CAD 28,444
Fiera Capital Corp (FSZ)
Buyer: De la Roche, Paul (Officer)
Shares Purchased: 5,000 (+15.9%)
Price: CAD 6.69
Total Value: CAD 33,430
DiaMedica Therapeutics Inc (DMAC)
Buyer: Staahlberg, Jan (Director or Senior Officer of 10% Security Holder)
Shares Purchased: 59,788 (+0.8%)
Price: CAD 8.26
Total Value: CAD 493,849
DiaMedica Therapeutics Inc (DMAC)
Buyer: Staahlberg, Jan (Director or Senior Officer of 10% Security Holder)
Shares Purchased: 48,172 (+0.7%)
Price: CAD 8.28
Total Value: CAD 398,864
CDN Insider Sales
Santacruz Silver Mining Ltd (SCZ)
Seller: Lohner, Roland (Non-Executive Director)
Shares Sold: 100,000 (-9.7%)
Price: CAD 1.68
Total Value: CAD 168,000
NevGold Corp (NAU)
Seller: GoldMining Inc. (10% Security Holder)
Shares Sold: 1,335,000 (-5.6%)
Price: CAD 0.25
Total Value: CAD 333,750
NevGold Corp (NAU)
Seller: GoldMining Inc. (10% Security Holder)
Shares Sold: 160,000 (-0.7%)
Price: CAD 0.26
Total Value: CAD 40,800
Lightspeed Commerce Inc (LSPD)
Seller: Shapiro, John (Officer)
Shares Sold: 848 (-3.2%)
Price: USD 12.07
Total Value: USD 10,232
Decisive Dividend Corp (DE)
Seller: Paterson, James Andrew (Executive Director)
Shares Sold: 700 (-0.3%)
Price: CAD 7.95
Total Value: CAD 5,565
Viemed Healthcare Inc (VMD)
Seller: Trahan, Jeremy Lane (Officer)
Shares Sold: 1,634 (-6.0%)
Price: USD 7.31
Total Value: USD 11,945
Royal Bank of Canada (RY)
Seller: McKay, David Ian (Executive Director)
Shares Sold: 20,300 (-77.6%)
Price: CAD 189.57
Total Value: CAD 3,848,214
Royal Bank of Canada (RY)
Seller: Publicover, Jennifer Kristine (Officer)
Shares Sold: 397 (-72.3%)
Price: CAD 189.57
Total Value: CAD 75,258
Royal Bank of Canada (RY)
Seller: Hepworth, Graeme Ashley (Officer)
Shares Sold: 310
Price: CAD 189.57
Total Value: CAD 58,766
Pason Systems Inc (PSI)
Seller: Boston, Kevin (Officer)
Shares Sold: 3,000 (-29.1%)
Price: CAD 11.94
Total Value: CAD 35,820
Leon’s Furniture Ltd (LNF)
Seller: Leon, Daniel Christopher (Officer)
Shares Sold: 2,000 (-1.8%)
Price: CAD 30.30
Total Value: CAD 60,600
Dream Office REIT (D.UN)
Seller: Leitch, Kellie (Non-Executive Director)
Shares Sold: 1,137 (-8.5%)
Price: CAD 17.24
Total Value: CAD 19,600
Docebo Inc (DCBO)
Seller: Artuffo, Alessio (Executive Director)
Shares Sold: 570 (-2.1%)
Price: CAD 42.66
Total Value: CAD 24,317
Docebo Inc (DCBO)
Seller: Pirovano, Fabio (Officer)
Shares Sold: 149 (-3.9%)
Price: CAD 42.66
Total Value: CAD 6,357
B2Gold Corp (BTO)
Seller: Brown, Andrew Bruce (Officer)
Shares Sold: 28,453 (-43.3%)
Price: CAD 5.52
Total Value: CAD 157,061
Amaroq Ltd.
Seller: Gilbertson, James Andrew (Officer)
Shares Sold: 255,672
Price: CAD 1.27
Total Value: CAD 324,703
Institutional Spotlight: August 26, 2025
Shattuck Labs Inc. (STTK)
Redmile Group LLC led by Jeremy Green disclosed a position of 6,379,095 shares, representing 9.90% ownership, marking a significant stake in the company.
Adagio Medical Inc. (ADGM)
RA Capital Management LLC headed by Peter Kolchinsky reported ownership of 1,200,000 shares, equating to 7.20% of the company, reflecting a notable institutional position.
iBio Inc. (IBIO)
Affinity Asset Advisors LLC under Michael Cho acquired 4,280,000 shares, giving it 9.99% ownership. Additionally, Point72 Asset Management LP managed by Steve Cohen holds 14,289,118 shares, or 9.90% ownership, showing strong institutional backing.
KVH Industries Inc. (KVHI)
Black Diamond Capital Management LLC led by Stephen Deckoff took a major stake of 3,410,164 shares, accounting for 17.60% ownership.
Invivyd Inc. (IVVD)
M28 Capital Management LP managed by Marc Elia established a stake of 9,548,250 shares, representing 4.60% ownership.
Asset Entities Inc. (ASST)
Citadel Advisors LLC under Kenneth Griffin reported ownership of 1,268,427 shares, equal to 8.10% ownership.
Phathom Pharmaceuticals Inc. (PHAT)
Millennium Management LLC led by Israel Englander disclosed a position of 4,160,515 shares, giving it 5.90% ownership.
Enlight Renewable Energy Ltd. (ENLT)
Meitav Dash Investments Ltd. reported ownership of 12,608,497 shares, reflecting 9.60% ownership.
Tickers: STTK, ADGM, IBIO, KVHI, IVVD, ASST, PHAT, ENLT
Institutional Momentum Watchlists
(Stocks are sorted to highlight those with the strongest momentum at the time of the scan)
Welcome to the Institutional Momentum Watchlist, an exclusive feature for our members. This list highlights stocks that have recently caught the attention of institutional investors, either through new purchases or significant additions. These stocks are selected based on promising technical setups that suggest potential momentum. Our systematic approach filters for opportunities where institutional sponsorship aligns with favorable technical conditions, offering a unique edge in your trading strategy. Keep an eye on this watchlist as we update it each weekend with the latest insights from the market.
Click on the CandleGlance chart to view it in full size. Find a chart that matches your criteria or interests. You can easily save it to your watchlist on StockCharts.com for further analysis and tracking or copy and paste the ticker list into your chart provider.
US Institutional Momentum Watchlist
EXPORT – US Institutional Momentum Watchlist
LASE, AREC, ONDS, SBET, UPXI, PGY, ZM, SHLS, WYY, URTY, CRML, AS, OTLK, RGNX, VVPR, COSM, AIRS, AMLX, FHTX, THM, BFRI, GNLX, DAR, COMP, IREN, RKT, SNWV, AMBA, OSCR, TTMI, GANX, PHAT, SLS, COOP, UPST, KALA, QXO, RAIL, BE, UWMC, CIFR, ARRY, ATYR, FOA, LTBR, U, DFH, CMPX, AAL, FFWM, QUBT, BDTX, RIOT, SATS, TBBK, UWM, MPV, LPX, INSG, LYFT, GEVO, Z, ATRA, MEG, NXT, MGNI, NCLH, NN, ST, UHG, SINT, SWIM, ASST, IONQ, BETR, CMPS, CCL, ZETA, OPRX, DAVE, CRGO, XYZ, TLSA, DNA, AFRM, VRDN, DAL, SITE, TEX, AEVA, WGS, CIA, ANGI, FIBK, COIN, CFFN, NRIM, GTM, MATH, FUNC, ANDE, STM, LPTH, PRCH, DORM, KW, TSLA, MOFG, CARG, WOOF, PFSI, CWBC, TMCI, RCL, SIG, KN, PK, CLNN, EBC, STRW, BHRB, LRMR, UAL, INDB, LEG, SRFM, ONB, FOR, SOC, NUVB, MCB, CURI, NATL, FXNC, ENVA, TOL, XMTR, HYMC, BSVN, KOLD, ANEB, AMPL, WBS, FUTU, PRTH, DOCS, BDC, GPI, CVNA, INTC, DERM, STLD, TER, APP, LUV, APTV, FNLC, BIRK, AVTX, USAU, AVT, FSLR, MD, UMAC, CVBF, MCHP, PEN, SIRI, CBU, WCC, YMM, H, MGRC, WSBC, TRU, FFIN, RDVT, BKU, VSTM, FRME, LAZ, FCF, PIPR, LEN, PI, PFS, STEP, XHB, BRKL, FLEX, MGM, NWBI, HOVR, ORRF, ALLT, CELU, NIC, TEM, M, OMF, ZYME, CRVS, APA, HVT, NXPI, SWKH, DBVT, MWA, POWL, CFG, HOMB, PR, YOU, ARW, LIF, SMG, DGII, TDUP, CMC, BRBS, OSW, EXPE, PBI, OBT, GNS, III, TSHA, BOKF, BG, BXP, UPRO, CTMX, MSGE, PSX, SHIP, MAR, SFNC, SGHC, TRIP, BLD, ORKA, QRVO, COF, BX, NNI, OVV, GRRR, LSCC, CAT, BUSE, PRM, AMPG, WING, TFC, RBRK, CIM, BABA, PVLA, COYA, FBTC, SGI, FR, IESC, MOD, PCAR, AN, AES, WBD, BTCW, SANM, WVE, INTR, MELI, NEPH, ROAD, BRRR, OLMA, RSI, SHOP, CBNA, PNC, UAMY, ATMU, AAP, CMA, ZWS, HLMN, KEYS, VTWO, COFS, DHR, GTES, GSAT, IAS, VRRM, BSGM, REAX, PAYC, ARQ, BROS, HD, CRC, RNA, MNMD, CFR, DVN, WMG, PAY, DD, SNX, LASR, BCAL, GLNG, VIK, WRBY, ITT, F, GS, VLO, ATAT, TROW, PLD, REVG, AXP, BEN, KYMR, PCT, IMNM, STNE, FDMT, EGP, INBX, JHG, LNSR, ROK, SMTC, CDE, GTN, SGRY, MTD, VTYX, PDD, CATX, PTCT, TMO, AG, EQH, BLFS, SE, FINV, GM, TOST, CMRE, CNQ, SEE, CSGP, ELTX, MAMA, MLTX, GOOGL, GO, LOW, WSM, OUST, AHCO, GOLF, HUBB, AMZN, HLT, WDC, BWA, WYNN, HAS, SRDX, GOOG, QLD, RS, VEEV, FLS, MIR, SSO, CRUS, KTOS, STX, COGT, PENG, ADPT, VIAV, GCI, CMPO, HPE, TIXT, TRMB, CRDO, VCTR, BN, OXY, BGC, HOOD, NMIH, EMR, MPWR, RBC, TTEK, MMM, ENTA, SPR, STT, ITRI, SYF, ACT, MITT, FIGS, LTH, UBER, TEL, FNMA, LEVI, SGHT, TXN, FMCC, AXGN, HL, LWAY, MCHI, ETNB, MDV, FCNCA, SRRK, AOS, ADCT, CMI, PENN, MIND, PTGX, NWSA, FXO, BAC, SNDX, BA, CRBG, HROW, QCOM, TERN, HON, SHW, SEG, BNL, TPC, SR, GDMN, PRIM, GRAB, JCI, CNM, CRH, DKNG, CALX, HIW, BSY, AMP, BNTC, DIS, WAB, NTRA, SPXC, GGZ, PFGC, EOG, SRE, WINA, NKTX, BTO, GNRC, SWX, JAZZ, ADI, COP, LLYVA, SLV, POR, ATRO, BLK, MTSI, PX, SON, CMCL, XLE, BP, DXCM, WTV, LBTYA, TIGO, UGL, LYV, EYPT, NU, ADT, APD, AKRO, CHRW, WEX, BURL, DKS, AVA, CPNG, XOM, MDGL, V, NCZ, TBPH, GENI, MRCY, TIL, TLSI, SPG, AQST, ULTA, APLD, TS, MDT, PCRX, VWO, QGRW, FDD, HUM, CVX, SSNC, XLF, JPM, LITE, UNFI, VXUS, WFC, HOLX, VGK, DDOG, GLPI, ICVT, VUG, OUT, YEXT, ELF, AUPH, RYTM, FWONK, STK, PSN, FLUT, MRK, XEL, JEQ, VITL, SRAD, CDC, CWB, SNY, COMM, PSBD, CYBR, NESR, TPG, VTV, OCUL, MTCH, GNT, GLW, FMS, ORI, DTH, EEA, OGE, LNT, MCO, AAPL, MRUS, CXDO, ARQT, ETON, HMN, NVGS, USCI, HCI, TARS, BMEZ, PTA, XGN, AER, MA, MEGI, SPPP, TATT, WTM, AXSM, RDWR, CYD, MKL, INDV, ROST, FTAI, NBXG, TRML, FXE, ASMB, CHMI, AMT, VNRX, FXY, IHD
Canadian Institutional Momentum Watchlist
EXPORT – Canadian Institutional Momentum Watchlist
USA.TO, EFR.TO, URC.TO, URE.TO, NXE.TO, NUAG.TO, CVE.TO, LGO.TO, DPRO.CA, VHI.TO, GLXY.TO, DML.TO, GRSL.V, BLDP.TO, IAU.TO, EMX.V, MX.TO, TFII.TO, HITI.V, PTK.V, PNE.TO, BTE.TO, DOO.TO, JOY.TO, MOGO.TO, WRN.TO, PD.TO, TAL.TO, GOLD.TO, CCO.TO, PSI.TO, ATZ.TO, WFG.TO, FM.TO, RCH.TO, CG.TO, VET.TO, GGD.TO, GOOS.TO, OBE.TO, LSPD.TO, BDGI.TO, ATH.TO, HBM.TO, CS.TO, CEU.TO, ACB.TO, LI.V, MG.TO, SGY.TO, ADEN.TO, DRX.TO, PTM.TO, FTG.TO, PHX.TO, ELVA.TO, TOT.TO, KEL.TO, SHLE.TO, CFP.TO, AYA.TO, TXG.TO, BDI.TO, IMG.TO, LUN.TO, BAM.TO, BITF.TO, ECN.TO, MAL.TO, IFP.TO, IMO.TO, AG.TO, LNR.TO, ASM.TO, AD/UN.TO, NOU.V, ONEX.TO, CNQ.TO, AAUC.TO, OGC.TO, CNL.TO, VLE.TO, CJ.TO, MTY.TO, NDM.TO, CIGI.TO, DBM.TO, SDE.TO, PIF.TO, AC.TO, CMG.TO, BB.TO, WEF.TO, BN.TO, TWM.TO, LMN.V, AAV.TO, ERO.TO, FVI.TO, WJX.TO, GIL.TO, SPB.TO, ONC.TO, CF.TO, ABX.TO, LAR.TO, TOY.TO, GRT/UN.TO, MTA.V, SII.TO, PRL.TO, POU.TO, BEPC.TO, AIM.TO, AP/UN.TO, TVE.TO, AIF.TO, NVA.TO, STN.TO, REI/UN.TO, NFG.V, SU.TO, REAL.TO, ARG.TO, CTC/A.TO, SVM.TO, IPO.TO, AGF/B.TO, CGY.TO, CRON.TO, GEI.TO, BTO.TO, EDR.TO, MFC.TO, AGI.TO, NWH/UN.TO, KNT.TO, FAR.TO, SIS.TO, CP.TO, EQB.TO, MDI.TO, EXE.TO, ITR.V, LNF.TO, SES.TO, EIF.TO, RUS.TO, ORA.TO, KMP/UN.TO, SGD.V, CNR.TO, MTL.TO, BMO.TO, OGI.TO, TCW.TO, FSZ.TO, CVO.TO, FRU.TO, IAG.TO, ELD.TO, LIF.TO, PAAS.TO, CAS.TO, BNS.TO, EFX.TO, WDO.TO, FNV.TO, ARE.TO, MEG.TO, NG.TO, TIH.TO, HR/UN.TO, TKO.TO, NXR/UN.TO, NFI.TO, WSP.TO, ARTG.V, III.TO, NGD.TO, DCBO.TO, DRM.TO, SKE.TO, DPM.TO, ARIS.TO, MI/UN.TO, MAG.TO, ODV.V, PET.TO, NPI.TO, ELF.TO, SSL.TO, WPM.TO, SRU/UN.TO, Y.TO, GAU.TO, AFN.TO, EDV.TO, LUG.TO, FSV.TO, TFPM.TO, RY.TO, PKI.TO, SSRM.TO, FCR/UN.TO, ALA.TO, BNE.TO, SEA.TO, EQX.TO, MRE.TO, IGM.TO, NA.TO, PEY.TO, CRR/UN.TO, IIP/UN.TO, TD.TO, EFN.TO, DXT.TO, TF.TO, QBR/B.TO, FFH.TO, OLA.TO, OR.TO, SCR.TO, GWO.TO, PBH.TO, CHP/UN.TO, CJT.TO, PPL.TO, CU.TO, FC.TO, TPZ.TO, LB.TO, KEY.TO, MFI.TO
To conclude our report, we thank you for your engagement and insights. Your feedback is valuable, and we encourage you to share your recommendations. Stay attentive to the Daily Setups, the Workspace, and the Watchlists for emerging opportunities. Additionally, explore the PDFs of the scanner results provided in the Daily Setups report. Until next time, happy trading!




