SYS Research – Unusual Activity – Tuesday, December 2, 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 2025-12-2

The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2025-12-2. 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.


Alphabet Inc. (GOOGL)
Sentiment: Bullish – net call buying with minor put selling
Options Activity: institutions engaged in net call buying with 24,862,884 in total premium paid, and net put selling collecting 36,375 in premium
Key Totals: Total call premium 60,936,790, total put premium 3,432,635, net premium 24,899,259
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Adobe Inc. (ADBE)
Sentiment: Bullish – significant put selling for premium
Options Activity: institutions engaged in net call buying with 9,504 in total premium paid, and net put selling collecting 15,692,900 in premium
Key Totals: Total call premium 165,996, total put premium 15,692,900, net premium 15,702,404
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Spotify Technology S.A. (SPOT)
Sentiment: Bullish – dominant put selling with premium collected
Options Activity: institutions sold calls collecting 27,925,000 in total premium, and net put selling collecting 46,797,600 in premium
Key Totals: Total call premium 34,225,000, total put premium 46,797,600, net premium 12,572,600
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


The Trade Desk, Inc. (TTD)
Sentiment: Bullish – put selling for premium
Options Activity: institutions engaged in net call buying with 18,746 in total premium paid, and net put selling collecting 8,570,320 in premium
Key Totals: Total call premium 101,346, total put premium 11,939,920, net premium 8,589,066
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Suncor Energy Inc. (SU)
Sentiment: Bullish – strong call buying
Options Activity: institutions engaged in net call buying with 12,677,700 in total premium paid, alongside net put buying paying 4,748,900 in total premium
Key Totals: Total call premium 12,677,700, total put premium 4,748,900, net premium 7,928,800
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


The Boeing Company (BA)
Sentiment: Bullish – net call buying
Options Activity: institutions engaged in net call buying with 7,591,350 in total premium paid, and net put selling collecting 261,395 in premium
Key Totals: Total call premium 16,155,324, total put premium 3,600,505, net premium 7,852,745
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Apple Inc. (AAPL)
Sentiment: Bullish – net call buying with put buying
Options Activity: institutions engaged in net call buying with 8,525,781 in total premium paid, alongside net put buying paying 1,049,738 in total premium
Key Totals: Total call premium 54,322,533, total put premium 7,000,554, net premium 7,476,043
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Strategy Inc (MSTR)
Sentiment: Bullish – net call buying with put selling
Options Activity: institutions engaged in net call buying with 6,763,038 in total premium paid, and net put selling collecting 710,751 in premium
Key Totals: Total call premium 27,812,730, total put premium 5,023,009, net premium 7,473,789
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Alphabet Inc. (GOOG)
Sentiment: Bullish – call selling offset by strong put selling
Options Activity: institutions sold calls collecting 9,482,408 in total premium, and net put selling collecting 16,674,810 in premium
Key Totals: Total call premium 18,078,678, total put premium 18,309,590, net premium 7,192,402
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Fiserv, Inc. (FISV)
Sentiment: Bullish – put selling for premium
Options Activity: institutions engaged in net call buying with 166,199 in total premium paid, and net put selling collecting 7,015,900 in premium
Key Totals: Total call premium 360,681, total put premium 7,015,900, net premium 7,182,099
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Halliburton Company (HAL)
Sentiment: Bullish – heavy call buying
Options Activity: institutions engaged in net call buying with 6,260,664 in total premium paid, and net put selling collecting 645,600 in premium
Key Totals: Total call premium 10,126,430, total put premium 664,800, net premium 6,906,264
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Dow Inc. (DOW)
Sentiment: Bullish – call selling with put selling
Options Activity: institutions sold calls collecting 3,236,164 in total premium, and net put selling collecting 9,771,000 in premium
Key Totals: Total call premium 3,314,564, total put premium 9,771,000, net premium 6,534,836
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


The Kraft Heinz Company (KHC)
Sentiment: Bullish – net put selling
Options Activity: institutions sold calls collecting 42,005 in total premium, and net put selling collecting 4,522,668 in premium
Key Totals: Total call premium 191,719, total put premium 4,685,560, net premium 4,480,663
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Coherent Corp. (COHR)
Sentiment: Bullish – call buying
Options Activity: institutions engaged in net call buying with 4,200,470 in total premium paid, with balanced put flow
Key Totals: Total call premium 4,200,470, total put premium 0, net premium 4,200,470
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Robinhood Markets, Inc. (HOOD)
Sentiment: Bullish – call buying and put selling
Options Activity: institutions engaged in net call buying with 3,502,483 in total premium paid, and net put selling collecting 1,353,451 in premium
Key Totals: Total call premium 3,502,483, total put premium 5,769,299, net premium 4,121,460
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Marvell Technology, Inc. (MRVL)
Sentiment: Bullish – balanced bullish flows
Options Activity: institutions engaged in net call buying with 1,998,336 in total premium paid, and net put selling collecting 1,780,708 in premium
Key Totals: Total call premium 6,539,448, total put premium 8,003,374, net premium 3,779,044
Analysis: The data indicates positive net premium flow, reflecting bullish institutional positioning based on the aggregate large block trades.


Tickers: GOOGL, TGT, ADBE, COP, SPOT, CHTR, TTD, SU, BA, AAPL, MSTR, GOOG, FISV, HAL, DOW, HUBS, KHC, COHR, HOOD, MRVL

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 2025-12-2

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.


Sigma Lithium Corporation (SGML)
Sentiment: Bullish
Options Activity: Calls bought for December 19, 2025 (17 days to expiration) at the 17 strike (below spot) with trade size exceeding prior open interest; calls bought for January 16, 2026 (45 days to expiration) at the 45 strike (above spot) with trade size exceeding prior open interest.
Total Values: $152,268 premium paid.
Strike Price: 17 / 45.
Analysis: Traders bought calls expiring in 17 days at a strike below the spot price, paying a premium to position for upside beyond that level, with the volume of contracts surpassing prior open interest to establish fresh bullish exposure. Separately, calls expiring in 45 days were bought at a strike above the spot price, committing further premium for longer-term gains above that threshold, again with contract volume exceeding prior open interest for new positioning.


CRH plc (CRH)
Sentiment: Bullish
Options Activity: Calls bought for December 19, 2025 (17 days to expiration) at the 130 strike (above spot).
Total Values: $1,310,300 premium paid.
Strike Price: 130.
Analysis: Traders bought calls expiring in 17 days at a strike above the spot price, paying a premium to capture potential advances beyond that level, with elevated contract volume indicating aggressive new bullish bets.


Bitmine Immersion Technologies, Inc. (BMNR)
Sentiment: Bullish
Options Activity: Calls bought for December 26, 2025 (24 days to expiration) at the 37 strike (above spot) with trade size exceeding prior open interest.
Total Values: $400,000 premium paid.
Strike Price: 37.
Analysis: Traders bought calls expiring in 24 days at a strike above the spot price, paying a premium to target gains above that level, with contract volume exceeding prior open interest to initiate substantial new bullish positioning.


Intuit Inc. (INTU)
Sentiment: Bullish
Options Activity: Calls bought for December 5, 2025 (3 days to expiration) at the 635 strike (above spot) with trade size exceeding prior open interest.
Total Values: $892,320 premium paid.
Strike Price: 635.
Analysis: Traders bought calls expiring in 3 days at a strike above the spot price, paying a premium for immediate upside potential beyond that threshold, with contract volume surpassing prior open interest for new aggressive bullish exposure.


Apple Inc. (AAPL)
Sentiment: Bullish
Options Activity: Puts sold for January 9, 2026 (38 days to expiration) at the 280 strike (below spot) with trade size exceeding prior open interest; calls bought for December 12, 2025 (10 days to expiration) at the 287.5 strike (above spot) with trade size exceeding prior open interest.
Total Values: $3,787,630 premium collected on puts and paid on calls.
Strike Price: 280 / 287.5.
Analysis: Traders sold puts expiring in 38 days at a strike below the spot price, collecting premium to bet against downside below that level, with contract volume exceeding prior open interest for fresh bullish commitment via income generation. Additionally, calls expiring in 10 days were bought at a strike above the spot price, paying premium for short-term advances beyond that point, again with volume over prior open interest establishing new upside positioning.


Asana, Inc. (ASAN)
Sentiment: Bullish
Options Activity: Calls bought for December 26, 2025 (24 days to expiration) at the 13.5 strike (above spot) with trade size exceeding prior open interest.
Total Values: $242,470 premium paid.
Strike Price: 13.5.
Analysis: Traders bought calls expiring in 24 days at a strike above the spot price, paying a premium to position for gains above that level, with contract volume exceeding prior open interest to signal new bullish intent.


Huntsman Corporation (HUN)
Sentiment: Bullish
Options Activity: Calls bought for February 20, 2026 (80 days to expiration) at the 12 strike (above spot) with trade size exceeding prior open interest.
Total Values: $1,488,750 premium paid.
Strike Price: 12.
Analysis: Traders bought calls expiring in 80 days at a strike above the spot price, paying a premium for extended upside beyond that threshold, with substantial contract volume over prior open interest indicating strong new bullish positioning.


Intel Corporation (INTC)
Sentiment: Bullish
Options Activity: Calls bought for December 12, 2025 (10 days to expiration) at the 45 strike (above spot).
Total Values: $1,787,000 premium paid.
Strike Price: 45.
Analysis: Traders bought calls expiring in 10 days at a strike above the spot price, paying a premium to target short-term moves higher than that level, reflecting concentrated bullish activity.


CoreWeave, Inc. (CRWV)
Sentiment: Bullish
Options Activity: Puts sold for December 5, 2025 (3 days to expiration) at the 82 strike (at spot) with trade size exceeding prior open interest; calls bought for February 20, 2026 (80 days to expiration) at the 125 strike (above spot) with trade size exceeding prior open interest.
Total Values: $460,604 premium collected on puts and $3,079,875 paid on calls.
Strike Price: 82 / 125.
Analysis: Traders sold puts expiring in 3 days at a strike at the spot price, collecting premium while obligating to buy shares only if downside occurs, with volume exceeding prior open interest for new bullish stance through premium income. Concurrently, calls expiring in 80 days were bought at a strike above the spot price, paying premium for long-term upside potential, again with contract volume over prior open interest for fresh positioning.


Palantir Technologies Inc. (PLTR)
Sentiment: Bullish
Options Activity: Calls bought for December 26, 2025 (24 days to expiration) at the 180 strike (above spot) with trade size exceeding prior open interest.
Total Values: $1,993,350 premium paid.
Strike Price: 180.
Analysis: Traders bought calls expiring in 24 days at a strike above the spot price, paying a premium to bet on advances beyond that level, with contract volume surpassing prior open interest to build new bullish exposure.


NVIDIA Corporation (NVDA)
Sentiment: Bullish
Options Activity: Calls bought for January 2, 2026 (31 days to expiration) at the 190 strike (above spot) with trade size exceeding prior open interest.
Total Values: $4,723,560 premium paid.
Strike Price: 190.
Analysis: Traders bought calls expiring in 31 days at a strike above the spot price, paying a premium for near-term gains above that threshold, with large contract volume over prior open interest denoting significant new bullish bets.


Taiwan Semiconductor Manufacturing Company Limited (TSM)
Sentiment: Bullish
Options Activity: Puts sold for December 12, 2025 (10 days to expiration) at the 292.5 strike (at spot) with trade size exceeding prior open interest.
Total Values: $3,877,465 premium collected.
Strike Price: 292.5.
Analysis: Traders sold puts expiring in 10 days at a strike at the spot price, collecting premium to express bullishness by profiting if the stock holds steady or rises, with volume exceeding prior open interest for new positioning.


Alphabet Inc. (GOOG)
Sentiment: Bullish
Options Activity: Puts sold for January 21, 2028 (1,176 days to expiration) at the 310 strike (below spot) with trade size exceeding prior open interest.
Total Values: $2,745,000 premium collected.
Strike Price: 310.
Analysis: Traders sold puts expiring in 1,176 days at a strike below the spot price, collecting premium for a long-dated bet against significant downside below that level, with contract volume over prior open interest establishing fresh bullish commitment.


The Goldman Sachs Group, Inc. (GS)
Sentiment: Bullish
Options Activity: Calls bought for December 5, 2025 (3 days to expiration) at the 830 strike (above spot).
Total Values: $1,462,225 premium paid.
Strike Price: 830.
Analysis: Traders bought calls expiring in 3 days at a strike above the spot price, paying a premium for quick upside beyond that point, highlighting intense short-term bullish flow.


PagSeguro Digital Ltd. (PAGS)
Sentiment: Bullish
Options Activity: Calls bought for February 20, 2026 (80 days to expiration) at the 10 strike (at spot) with trade size exceeding prior open interest.
Total Values: $248,170 premium paid.
Strike Price: 10.
Analysis: Traders bought calls expiring in 80 days at a strike at the spot price, paying a premium to position for any upside from current levels, with volume exceeding prior open interest for new bullish exposure.


Freshworks Inc. (FRSH)
Sentiment: Bullish
Options Activity: Calls bought for January 15, 2027 (409 days to expiration) at the 12.5 strike (above spot) with trade size exceeding prior open interest.
Total Values: $84,000 premium paid.
Strike Price: 12.5.
Analysis: Traders bought calls expiring in 409 days at a strike above the spot price, paying a premium for extended-term potential above that level, with contract volume over prior open interest indicating committed new positioning.


Teucrium Wheat Fund (WEAT)
Sentiment: Bullish
Options Activity: Calls bought for January 15, 2027 (409 days to expiration) at the 25 strike (above spot) with trade size exceeding prior open interest.
Total Values: $384,800 premium paid.
Strike Price: 25.
Analysis: Traders bought calls expiring in 409 days at a strike above the spot price, paying a premium to target long-dated advances beyond that threshold, with volume surpassing prior open interest for fresh bullish bets.


Winnebago Industries, Inc. (WGO)
Sentiment: Bullish
Options Activity: Calls bought for December 19, 2025 (17 days to expiration) at the 35 strike (below spot) with trade size exceeding prior open interest.
Total Values: $406,470 premium paid.
Strike Price: 35.
Analysis: Traders bought calls expiring in 17 days at a strike below the spot price, paying a premium for near-term gains starting from current levels, with substantial contract volume over prior open interest establishing new bullish positioning.


NerdWallet, Inc. (NRDS)
Sentiment: Bullish
Options Activity: Calls bought for March 20, 2026 (108 days to expiration) at the 20 strike (above spot) with trade size exceeding prior open interest.
Total Values: $90,000 premium paid.
Strike Price: 20.
Analysis: Traders bought calls expiring in 108 days at a strike above the spot price, paying a premium for mid-term upside beyond that level, with volume exceeding prior open interest to initiate new bullish exposure.


Vertiv Holdings Co (VRT)
Sentiment: Bullish
Options Activity: Calls bought for December 5, 2025 (3 days to expiration) at the 187.5 strike (above spot) with trade size exceeding prior open interest.
Total Values: $153,704 premium paid.
Strike Price: 187.5.
Analysis: Traders bought calls expiring in 3 days at a strike above the spot price, paying a premium for immediate potential above that threshold, with contract volume over prior open interest for aggressive new bullish bets.


Tickers: SGML, CRH, BMNR, INTU, AAPL, ASAN, HUN, INTC, CRWV, PLTR, NVDA, TSM, GOOG, GS, PAGS, FRSH, WEAT, WGO, NRDS, VRT


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

ASA Gold and Precious Metals Ltd (ASA)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 9,560 (+0.2%)
Price: 53.46
Total Value: USD 511,078

Mexico Fund Inc (MXF)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 10,902 (+0.7%)
Price: 19.45
Total Value: USD 212,044

Ampco-Pittsburgh Corp (AP)
Buyer: McBrayer Brett (Chief Executive Officer)
Shares Purchased: 19,000 (+4.4%)
Price: 2.58
Total Value: USD 48,944

Northwest Bancshares Inc (NWBI)
Buyer: Meegan John P (Non-Executive Director)
Shares Purchased: 1,500 (+7.5%)
Price: 12.10
Total Value: USD 18,150

US Insider Sales

Intuitive Surgical Inc (ISRG)
Seller: GUTHART GARY S (Executive Chair of the Board o)
Shares Sold: 22,806 (-89.4%)
Price: 570.89
Total Value: USD 13,019,722

Boston Properties Inc (BXP)
Seller: RITCHEY RAYMOND A (Senior EVP)
Shares Sold: 36,314 (-100.0%)
Price: 72.18
Total Value: USD 2,621,134

Mcdonald’s Corp (MCD)
Seller: Steijaert Manuel JM (EVP – President, IOM)
Shares Sold: 6,567 (-58.8%)
Price: 305.50
Total Value: USD 2,006,219

Cytokinetics Inc (CYTK)
Seller: Kaye Edward M. MD (Non-Executive Director)
Shares Sold: 28,064 (-73.8%)
Price: 66.72
Total Value: USD 1,872,430

BlackRock ESG Capital Allocation Trust (ECAT)
Seller: Saba Capital Management, L.P. (Large shareholder)
Shares Sold: 54,394 (-0.2%)
Price: 16.03
Total Value: USD 871,936

MainStay CBRE Global Infrastructure Megatrends Fund (MEGI)
Seller: Saba Capital Management, L.P. (Large shareholder)
Shares Sold: 19,919 (-0.3%)
Price: 14.35
Total Value: USD 285,838

Kirby Corp (KEX)
Seller: Niemietz Kurt A. (VP IR & Treasurer)
Shares Sold: 1,500 (-61.0%)
Price: 114.12
Total Value: USD 171,180

Cytokinetics Inc (CYTK)
Seller: Harrington Robert Arthur (Non-Executive Director)
Shares Sold: 2,150 (-10.4%)
Price: 66.80
Total Value: USD 143,620

Avista Corp (AVA)
Seller: Alexander Alexis G. (Vice President, Officer)
Shares Sold: 127 (-3.8%)
Price: 40.87
Total Value: USD 5,190


CDN Insider Purchases

City View Green Holdings Inc (CVGR)
Buyer: Fia, Roberto (10% Security Holder of Issuer, Director of Issuer, Senior Officer of Issuer)
Shares Purchased: 375,000 (+8.7%)
Price: 0.08
Total Value: CAD 30,000

Touchstone Exploration Inc (TXP)
Buyer: Nicol, Peter William (Director of Issuer)
Shares Purchased: 650,000 (+104.4%)
Price: 0.07
Total Value: GBP 44,850

Storagevault Canada Inc (SVI)
Buyer: VITUG, MARY DENISE (Director of Issuer)
Shares Purchased: 25,500
Price: 4.89
Total Value: CAD 124,588

New Found Gold Corp (NFG)
Buyer: Sprott, Eric (10% Security Holder of Issuer)
Shares Purchased: 1,000,000 (+4.1%)
Price: 3.87
Total Value: CAD 3,868,000

New Found Gold Corp (NFG)
Buyer: Sprott Mining Inc. (10% Security Holder of Issuer)
Shares Purchased: 1,000,000 (+4.1%)
Price: 3.87
Total Value: CAD 3,868,000

Mirasol Resources Ltd (MRZ)
Buyer: Pountney, Glenn (10% Security Holder of Issuer)
Shares Purchased: 23,500 (+0.2%)
Price: 0.42
Total Value: CAD 9,870

Mirasol Resources Ltd (MRZ)
Buyer: Pountney, Glenn (10% Security Holder of Issuer)
Shares Purchased: 15,000 (+0.1%)
Price: 0.43
Total Value: CAD 6,450

Killam Apartment REIT (KMP.UN)
Buyer: Walt, Manfred (Director of Issuer)
Shares Purchased: 2,000 (+1.0%)
Price: 16.55
Total Value: CAD 33,100

Highland Copper Company Inc (HI)
Buyer: O’Shea, Barry Patrick (Director of Issuer, Senior Officer of Issuer)
Shares Purchased: 50,000 (+2.5%)
Price: 0.13
Total Value: CAD 6,500

Greenfirst Forest Products Inc (GFP)
Buyer: Mitchell, Michael Clark (Director of Issuer)
Shares Purchased: 5,050 (+2.5%)
Price: 1.23
Total Value: USD 6,212

Greenfirst Forest Products Inc (GFP)
Buyer: Mitchell, Michael Clark (Director of Issuer)
Shares Purchased: 10,000 (+5.2%)
Price: 1.25
Total Value: USD 12,491

Carrier Connect Data Solutions Inc (CCDS)
Buyer: Binns, Mark (Director of Issuer)
Shares Purchased: 10,000 (+0.5%)
Price: 0.90
Total Value: CAD 9,000

Carrier Connect Data Solutions Inc (CCDS)
Buyer: Binns, Mark (Director of Issuer)
Shares Purchased: 6,000 (+0.3%)
Price: 0.92
Total Value: CAD 5,520

Origen Resources Inc (ORGN)
Buyer: Schellenberg, Gary David Albert (Director of Issuer)
Shares Purchased: 100,000 (+1.6%)
Price: 0.08
Total Value: CAD 8,000

Greenfirst Forest Products Inc (GFP)
Buyer: Mitchell, Michael Clark (Director of Issuer)
Shares Purchased: 10,000 (+5.4%)
Price: 1.23
Total Value: USD 12,300

Gold Terra Resource Corp (YGT)
Buyer: Panneton, Gerald (Senior Officer of Issuer)
Shares Purchased: 300,000 (+9.8%)
Price: 0.12
Total Value: CAD 36,000

Calian Group Ltd (CGY)
Buyer: Richardson, Ronald (Director of Issuer)
Shares Purchased: 2,400 (+66.4%)
Price: 52.00
Total Value: CAD 124,800

CDN Insider Sales

Real Brokerage Inc (REAX)
Seller: Poleg, Tamir (Director of Issuer, Senior Officer of Issuer)
Shares Sold: 2,600 (-0.0%)
Price: 4.00
Total Value: USD 10,400

Tecsys Inc (TCS)
Seller: Brereton, David (10% Security Holder of Issuer, Director of Issuer, Senior Officer of Issuer)
Shares Sold: 300 (-0.0%)
Price: 36.06
Total Value: CAD 10,818

Tecsys Inc (TCS)
Seller: Brereton, David (10% Security Holder of Issuer, Director of Issuer, Senior Officer of Issuer)
Shares Sold: 200 (-0.0%)
Price: 36.05
Total Value: CAD 7,210

Tecsys Inc (TCS)
Seller: Brereton, David (10% Security Holder of Issuer, Director of Issuer, Senior Officer of Issuer)
Shares Sold: 500 (-0.1%)
Price: 36.00
Total Value: CAD 18,000

Tecsys Inc (TCS)
Seller: Brereton, David (10% Security Holder of Issuer, Director of Issuer, Senior Officer of Issuer)
Shares Sold: 400 (-0.1%)
Price: 35.75
Total Value: CAD 14,300

Stingray Group Inc (RAY.A)
Seller: Trahan, Jean-Pierre (Senior Officer of Issuer)
Shares Sold: 3,294 (-1.3%)
Price: 15.10
Total Value: CAD 49,747

Stingray Group Inc (RAY.A)
Seller: Feldman, Lloyd Perry (Senior Officer of Issuer)
Shares Sold: 5,000 (-2.2%)
Price: 15.16
Total Value: CAD 75,800

Shopify Inc (SHOP)
Seller: Hoffmeister, Jeff (Senior Officer of Issuer)
Shares Sold: 1,960 (-2.4%)
Price: 159.71
Total Value: USD 313,035

Shopify Inc (SHOP)
Seller: Hertz, Jessica (Senior Officer of Issuer)
Shares Sold: 363 (-1.0%)
Price: 159.71
Total Value: USD 57,975

Shopify Inc (SHOP)
Seller: Hertz, Jessica (Senior Officer of Issuer)
Shares Sold: 1,491 (-3.9%)
Price: 159.71
Total Value: USD 238,130

Shopify Inc (SHOP)
Seller: Finkelstein, Harley Michael (Senior Officer of Issuer)
Shares Sold: 1,707 (-14.6%)
Price: 159.71
Total Value: USD 272,628

Saputo Inc (SAP)
Seller: Saragoca, Sindy (Senior Officer of Issuer)
Shares Sold: 9,595 (-66.8%)
Price: 39.50
Total Value: CAD 379,003

Fortuna Mining Corp (FVI)
Seller: Ganoza Durant, Jorge A. (Director of Issuer)
Shares Sold: 50,000 (-4.0%)
Price: 10.13
Total Value: USD 506,550

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 200 (-6.7%)
Price: 86.21
Total Value: CAD 17,242

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 600 (-16.8%)
Price: 85.50
Total Value: CAD 51,300

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.7%)
Price: 85.50
Total Value: CAD 8,550

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.6%)
Price: 85.50
Total Value: CAD 8,550

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.6%)
Price: 85.60
Total Value: CAD 8,560

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.5%)
Price: 85.60
Total Value: CAD 8,560

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.5%)
Price: 85.50
Total Value: CAD 8,550

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.4%)
Price: 85.50
Total Value: CAD 8,550

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.3%)
Price: 85.30
Total Value: CAD 8,530

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.3%)
Price: 85.26
Total Value: CAD 8,526

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.2%)
Price: 85.30
Total Value: CAD 8,530

Cymbria Corp (CYB)
Seller: Waitzer, Edward (Director of Issuer)
Shares Sold: 100 (-2.2%)
Price: 85.38
Total Value: CAD 8,538

Black Diamond Group Ltd (BDI)
Seller: Redmond, Edward John (Senior Officer of Issuer)
Shares Sold: 65,000 (-13.8%)
Price: 14.16
Total Value: CAD 920,498


Institutional Spotlight: December 2, 2025


CorMedix Inc. (CRMD)
DEEP TRACK CAPITAL LP, led by David Kroin, reported a position of 4,955,487 SH, representing 6.29% ownership. This filing reflects a maintained stake based on previously reported holdings.


SC II Acquisition Corp. (SCII)
LINDEN CAPITAL LP disclosed a new position of 1,498,500 SH, accounting for 8.60% ownership, marking a notable addition to its allocation.


Branded Novels Inc. (BNOV)
BROOKSTONE CAPITAL MANAGEMENT reported 642,593 SH, representing 12.92% ownership, indicating a new institutional position.


United Novels Inc. (UNOV)
BROOKSTONE CAPITAL MANAGEMENT established a significant new stake of 1,679,076 SH, equating to 36.43% ownership, reflecting substantial institutional participation.


United October Corp. (UOCT)
BROOKSTONE CAPITAL MANAGEMENT disclosed 1,649,907 SH, representing 26.79% ownership, marking another new position across the firm’s portfolio.


Bwin Holdings (BWIN)
WILLIAM BLAIR INVESTMENT MANAGEMENT LLC reported a stake of 7,798,689 SH, equal to 10.90% ownership, representing an increased institutional position.


Ashland Inc. (ASH)
40 NORTH MANAGEMENT LLC disclosed 2,625,000 SH, representing 5.70% ownership, reflecting a new institutional allocation.


Tickers: CRMD, SCII, BNOV, UNOV, UOCT, BWIN, ASH


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

KTTA, FBYD, SRL, MBAI, DSVSF, AG, CLSK, GANX, HYMC, SLS, GROY, INTC, THM, APLD, CRDO, BE, RIOT, CMPX, MEHCQ, VET, NBY, SINT, CDE, COHR, SGML, OTLK, DTIL, GNS, CIFR, LPTH, TLSI, CMPS, FDMT, SLV, STNE, STEM, PLTM, LITE, TRAW, VGZ, BBAI, HL, AMRK, CAAP, USAU, IONQ, EVAX, CVNA, AMPX, GPCR, FMCC, MNMD, WULF, VRT, SPPP, IPX, CORZ, STK, LYFT, RDDT, SA, MUX, PRAX, FNMA, ANNX, MTSI, NRXS, PYPD, AGX, PGY, AR, CLS, ZIM, CTRI, WDC, AURA, DYN, ARQQ, SATS, SHIP, ADSE, EQT, AFRM, MDRX, DERM, MIST, RSI, BALY, MP, SPWR, PHAT, STRW, TNYA, ADI, CTNM, ANF, CTXR, VSCO, PVLA, NRIX, GHRS, TTMI, JBIO, MU, UNCY, SHLS, RRC, RR, OUST, UGL, QXO, STI, HNRG, INTR, GRAB, AVTX, DAVE, GEVO, ANET, OSS, CURI, GDMN, AD, APGE, APP, FANG, GDOT, FORM, ALAB, STEX, SRRK, TWLO, YPF, BTX, CLNN, CMPO, COYA, EWTX, IMRX, MOD, CIEN, STAA, MRVL, ONTO, IMVT, PLRX, GNRC, PRE, CRC, OGI, DY, FTAI, DVN, GPOR, NOV, QCOM, AMZN, IBM, JPM, LION, OUT, CXDO, WHWK, DTM, NN, GEV, TBPH, JBL, ACP, ATAT, MTZ, STX, ASMB, TYG, INSM, CGEMY, HPE, URTY, APH, UPRO, TPG, RYTM, AENT, PAY, QLD, LASR, ALLT, EMR, GDE, PSX, CEG, LIF, MGM, TPC, IHD, CTMX, IZEA, TER, UWMC, ABL, GTES, ALNY, FWRD, KMI, AVGO, CNQ, DD, TNDM, MSFT, STRL, ARVN, EAT, STEP, NBXG, NRO, SLDB, ULS, VLO, XLE, ENTA, IBKR, WMT, AS, ERAS, ILMN, OVV, TRGP, BAC, EPAM, GLBE, AM, AMPG, BILL, FLR, GS, NCZ, APA, FLEX, GGT, RKT, EZPW, ON, RPID, EXC, LEG, WMB, BNR, VST, HROW, STT, CSCO, GLUE, CCCC, FLS, ADT, ASND, CRVS, DBB, AES, COMM, ST, WCC, SSO, XEL, MEGI, ZURA, KBDC, MSGE, MTUM, NDAQ, HUBB, XMTR, SCHW

 

Canadian Institutional Momentum Watchlist

EXPORT – Canadian Institutional Momentum Watchlist

GRSL.V, EDR.TO, AYA.TO, AG.TO, NUAG.TO, ASM.TO, ITH.TO, AAUC.TO, SVM.TO, PTM.TO, FURY.TO, GGD.TO, ARG.TO, BITF.TO, PAAS.TO, IAU.TO, CGG.TO, LAC.TO, NDM.TO, USA.TO, ITR.V, SKE.TO, VET.TO, TMQ.TO, SGD.V, KEL.TO, NG.TO, CS.TO, FM.TO, BNE.TO, KNT.TO, NGD.TO, MDI.TO, GAU.TO, CEF.TO, ERO.TO, SEA.TO, III.TO, TKO.TO, WDO.TO, URE.TO, CNL.TO, WRN.TO, AAV.TO, GOLD.TO, NEO.TO, BTO.TO, PBH.TO, ODV.V, TOU.TO, GOOS.TO, WPM.TO, K.TO, FVI.TO, OGC.TO, CEU.TO, NXE.TO, SLI.V, CAE.TO, CGY.TO, ATH.TO, OLA.TO, SDE.TO, HBM.TO, MX.TO, PNE.TO, JOY.TO, TFPM.TO, KEY.TO, TVE.TO, DPM.TO, ABX.TO, SSRM.TO, CURA.TO, EQX.TO, EU.V, PPTA.TO, AGI.TO, DXT.TO, FOM.TO, PEY.TO, YGR.TO, CG.TO, CLS.TO, LB.TO, LUN.TO, ELD.TO, POU.TO, TCW.TO, ALA.TO, PSI.TO, GEI.TO, ARTG.V, TPZ.TO, NFG.V, PD.TO, RCH.TO, OR.TO, SAP.TO, LI.V, OGI.TO, TSU.TO, CNQ.TO, OBE.TO, CCA.TO, DBM.TO, AIF.TO, DML.TO, NWH/UN.TO, MTA.V

 

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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