
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 2026-1-27
The following analysis focuses on the Stock Options Flow Leaderboard for the trading day 2026-1-27. 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. (GOOG)
Sentiment: Bullish – dominant put selling with premium collected
Options Activity: Activity was defined by substantial put selling, with institutions collecting a large amount of premium, alongside meaningful call buying and call selling activity. The put-selling flow outweighed downside hedging, highlighting income-oriented positioning.
Key Totals: Significant premium collected from puts sold, with total premium skewed strongly positive on a net basis.
Analysis: The data reflects bullish positioning driven primarily by aggressive put selling and premium collection, supported by additional call activity, resulting in a strongly positive net premium flow.
CoreWeave, Inc. (CRWV)
Sentiment: Bullish – heavy call buying with supportive put selling
Options Activity: Institutions showed strong call buying interest while also selling puts to collect premium, indicating confidence and income generation occurring simultaneously.
Key Totals: Total premium was led by call buying, complemented by premium collected from puts sold.
Analysis: The combination of dominant call buying and supportive put selling produced a clearly bullish net premium profile.
Strategy Inc. (MSTR)
Sentiment: Bullish – substantial put selling for premium
Options Activity: Large-scale put selling dominated activity, with institutions collecting significant premium, while call activity was secondary.
Key Totals: Premium collected from puts sold exceeded other flows, resulting in a strong positive net premium.
Analysis: The flow is bullish based on the magnitude of put selling and premium collected, which more than offset put buying activity.
Amazon.com, Inc. (AMZN)
Sentiment: Bullish – call buying supported by limited downside hedging
Options Activity: Call buying was the primary driver, with additional call selling and modest put activity on both sides.
Key Totals: Total premium remained positive due to heavier call buying versus puts bought.
Analysis: The data shows bullish positioning driven by call buying, with limited put activity not offsetting the upside premium flow.
NVIDIA Corporation (NVDA)
Sentiment: Bullish – call buying with balanced two-way put activity
Options Activity: Heavy call buying led activity, while put buying and put selling were both present but relatively balanced.
Key Totals: Total premium remained positive as call buying outweighed all put-related flows.
Analysis: Despite two-way put activity, the dominant call buying resulted in a bullish net premium outcome.
Carvana Co. (CVNA)
Sentiment: Bullish – concentrated call buying
Options Activity: Institutional activity was almost entirely focused on call buying, with minimal opposing flows.
Key Totals: Total premium was driven by call buying, with little offset from other activity.
Analysis: The concentration of premium in call buying reflects a clearly bullish positioning.
ASML Holding N.V. (ASML)
Sentiment: Bullish – exclusive put selling for premium
Options Activity: The only recorded activity was put selling, with institutions collecting a large amount of premium.
Key Totals: Premium collected from puts sold accounted for the entire net premium figure.
Analysis: Pure put selling activity signals bullish positioning through premium collection.
Tesla, Inc. (TSLA)
Sentiment: Bullish – heavy put selling with mixed call activity
Options Activity: Significant put selling dominated flows, accompanied by both call buying and call selling.
Key Totals: Premium collected from puts sold contributed meaningfully to a positive net premium.
Analysis: Despite mixed call activity, the scale of put selling supports a bullish interpretation.
Sandisk Corporation (SNDK)
Sentiment: Bullish – put selling for premium
Options Activity: Activity was concentrated on the put side, with institutions selling puts and collecting premium.
Key Totals: Premium collected from puts sold drove the positive net premium.
Analysis: The flow reflects bullish positioning through downside risk being sold for income.
Core Scientific, Inc. (CORZ)
Sentiment: Bullish – strong call buying with minimal put activity
Options Activity: Call buying was dominant, with only limited put buying and put selling observed.
Key Totals: Total premium was largely driven by calls bought.
Analysis: The imbalance toward call buying resulted in a bullish net premium profile.
Microsoft Corporation (MSFT)
Sentiment: Bullish – call buying with supportive put selling
Options Activity: Institutions favored call buying while also selling puts to collect premium, offsetting some downside hedging.
Key Totals: Total premium remained positive due to combined call buying and premium collected from puts sold.
Analysis: The blended activity reflects bullish positioning supported by both upside exposure and income generation.
Intel Corporation (INTC)
Sentiment: Bullish – call buying outweighing put buying
Options Activity: Heavy call buying was observed, with put buying present but outweighed by upside premium flows.
Key Totals: Total premium remained positive as call-related premium exceeded put-related premium.
Analysis: The net effect of the flows supports a bullish stance based on call buying dominance.
Western Digital Corporation (WDC)
Sentiment: Bullish – put selling with limited call activity
Options Activity: Institutions primarily sold puts to collect premium, with minimal call participation.
Key Totals: Premium collected from puts sold exceeded other flows, resulting in a positive net premium.
Analysis: The reliance on put selling indicates bullish positioning via premium collection.
Ondas Inc. (ONDS)
Sentiment: Bullish – call buying with supplemental put selling
Options Activity: Strong call buying was the primary feature, with additional put selling contributing premium.
Key Totals: Total premium was driven by call buying, with added premium collected from puts sold.
Analysis: The combination of upside positioning and put selling produced a bullish net premium outcome.
Pfizer Inc. (PFE)
Sentiment: Bullish – call buying supported by put selling
Options Activity: Institutions showed call buying interest alongside meaningful put selling for premium collection.
Key Totals: Total premium remained positive due to call buying and premium collected from puts sold.
Analysis: The flow reflects bullish positioning with limited downside concern.
IREN Limited (IREN)
Sentiment: Bullish – call buying with balanced put activity
Options Activity: Call buying led flows, while put buying and put selling were both present but smaller in scale.
Key Totals: Total premium remained positive, driven by calls bought.
Analysis: The dominance of call buying supports a bullish interpretation of the data.
Coupang, Inc. (CPNG)
Sentiment: Bullish – aggressive put selling for premium
Options Activity: Put selling activity was prominent, with institutions collecting substantial premium, alongside modest call activity.
Key Totals: Premium collected from puts sold contributed significantly to the net premium.
Analysis: The flow reflects bullish positioning driven by downside risk being sold.
UnitedHealth Group Incorporated (UNH)
Sentiment: Mixed – heavy two-way activity with put selling support
Options Activity: Large volumes of both call selling and put selling were observed, alongside notable call and put buying.
Key Totals: Total premium remained positive due to premium collected from puts sold offsetting other flows.
Analysis: While activity was balanced across strategies, the net premium remained positive, supported by put selling.
Applied Digital Corporation (APLD)
Sentiment: Bullish – put selling with supportive call buying
Options Activity: Institutions sold puts to collect premium while also engaging in call buying.
Key Totals: Premium collected from puts sold contributed to a positive net premium.
Analysis: The data reflects bullish positioning driven by income generation and upside exposure.
Restaurant Brands International Inc. (QSR)
Sentiment: Bullish – isolated call buying
Options Activity: Activity was entirely concentrated in call buying, with no opposing flows recorded.
Key Totals: Total premium was driven solely by calls bought.
Analysis: The lack of offsetting activity results in a clearly bullish profile.
Nebius Group N.V. (NBIS)
Sentiment: Bullish – call buying with limited opposing flows
Options Activity: Call buying dominated, with smaller amounts of call selling and balanced put activity.
Key Totals: Total premium remained positive due to call buying outweighing other flows.
Analysis: The net effect supports bullish positioning based on upside premium dominance.
Darling Ingredients Inc. (DAR)
Sentiment: Bullish – exclusive call buying
Options Activity: The only recorded activity was call buying by institutions.
Key Totals: Total premium was entirely driven by calls bought.
Analysis: The absence of opposing flows results in a straightforward bullish interpretation.
Tickers: GOOG, CRWV, MSTR, AMZN, NVDA, CVNA, ASML, TSLA, SNDK, CORZ, MSFT, INTC, WDC, ONDS, PFE, IREN, CPNG, UNH, APLD, QSR, NBIS, DAR
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 2026-1-27
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.
BCE Inc. (BCE)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-20 expiry, $26 strike vs. $25.805 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $94,868.
Strike Price: $26.
Analysis: With 52 days to expiry, call buying at the $26 strike (above the $25.805 spot) reflects bullish upside exposure above the strike, with $94,868 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning rather than a simple rotation within existing open interest.
iShares Silver Trust (SLV)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-06 expiry, $100 strike vs. ~$98.87–$98.895 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $3,534,560.
Strike Price: $100.
Analysis: With 38 days to expiry, call buying at the $100 strike (above the ~$98.87–$98.895 spot) establishes bullish upside exposure above the strike, with $3,534,560 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Alphabet Inc. (GOOG)
Sentiment: Bullish
Options Activity: Puts sold, 2026-02-06 expiry, $330 strike vs. ~$336.14–$336.25 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium collected: $14,585,560.
Strike Price: $330.
Analysis: With 10 days to expiry, selling the $330 put (below the ~$336.14–$336.25 spot) collects $14,585,560 in premium and reflects bullish positioning through premium collection while defining downside exposure to the strike. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
CoreWeave, Inc. (CRWV)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-20 expiry, $150 strike vs. ~$102.824–$104.34 spot; Size > Prior Open Interest noted on part of the activity (activity suggests new positioning where flagged).
Total Values: Total premium paid: $4,399,879.
Strike Price: $150.
Analysis: With 52 days to expiry, call buying at the $150 strike (well above the ~$102.824–$104.34 spot) represents leveraged upside exposure above the strike, supported by $4,399,879 in premium paid. Where Size > Prior Open Interest is flagged, the activity suggests new positioning rather than a reduction of existing open interest.
KraneShares CSI China Internet ETF (KWEB)
Sentiment: Bullish
Options Activity: Calls bought, 2027-01-15 expiry, $38 strike vs. $35.935 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $1,915,200.
Strike Price: $38.
Analysis: With 353 days to expiry, call buying at the $38 strike (above the $35.935 spot) establishes longer-dated bullish upside exposure above the strike, with $1,915,200 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Intel Corporation (INTC)
Sentiment: Bullish
Options Activity: Calls bought, 2026-02-06 expiry, $42.50 strike vs. ~$43.845–$43.869 spot; Size > Prior Open Interest noted on part of the activity (activity suggests new positioning where flagged). Calls bought, 2026-04-17 expiry, $52.50 strike vs. $44.34 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $3,342,912.
Strike Price: $42.50, $52.50.
Analysis: With 10 days to expiry on the $42.50 calls and 80 days to expiry on the $52.50 calls, the combined call buying reflects bullish upside exposure above each strike, with $3,342,912 in premium paid across the positions. The Size > Prior Open Interest flags indicate the activity suggests new positioning where noted.
Restaurant Brands International Inc. (QSR)
Sentiment: Bullish
Options Activity: Calls bought, 2026-02-20 expiry, $45 strike vs. $67.885 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $3,013,680.
Strike Price: $45.
Analysis: With 24 days to expiry, call buying at the $45 strike (below the $67.885 spot) reflects in-the-money bullish exposure, with $3,013,680 in premium paid to maintain upside participation above the strike. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Cabot Corporation (CBT)
Sentiment: Bullish
Options Activity: Calls bought, 2026-02-20 expiry, $75 strike vs. $71.595 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $36,643.
Strike Price: $75.
Analysis: With 24 days to expiry, call buying at the $75 strike (above the $71.595 spot) reflects bullish upside exposure above the strike, with $36,643 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
The AES Corporation (AES)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-20 expiry, $16 strike vs. $14.975 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $129,200.
Strike Price: $16.
Analysis: With 52 days to expiry, call buying at the $16 strike (above the $14.975 spot) reflects bullish upside exposure above the strike, with $129,200 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Global X Defense Tech ETF (SHLD)
Sentiment: Bullish
Options Activity: Calls bought, 2026-02-20 expiry, $74 strike vs. $77.355 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $176,000.
Strike Price: $74.
Analysis: With 24 days to expiry, call buying at the $74 strike (below the $77.355 spot) reflects in-the-money bullish exposure, with $176,000 in premium paid to maintain upside participation above the strike. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Critical Metals Corp. (CRML)
Sentiment: Bullish
Options Activity: Calls bought across multiple expiries: 2026-01-30 ($18.50 strike vs. $17.36 spot), 2026-02-06 ($21 strike vs. $18.13 spot), 2026-02-20 ($23.50 strike vs. $17.34 spot), 2026-03-20 ($45 strike vs. $17.295 spot), 2027-01-15 ($15 strike vs. $18.005 spot); Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $1,079,525.
Strike Price: $15, $18.50, $21, $23.50, $45.
Analysis: With 3 days to expiry through 353 days to expiry across the listed contracts, call buying reflects bullish upside exposure above each strike, with $1,079,525 in premium paid across the structure. The Size > Prior Open Interest flags indicate the activity suggests new positioning rather than a reduction of existing open interest.
Elastic N.V. (ESTC)
Sentiment: Bullish
Options Activity: Calls bought, 2026-08-21 expiry, $75 strike vs. ~$74.2099–$74.21 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $2,082,500.
Strike Price: $75.
Analysis: With 206 days to expiry, call buying at the $75 strike (slightly above the ~$74.2099–$74.21 spot) reflects bullish upside exposure above the strike, with $2,082,500 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Sandisk Corporation (SNDK)
Sentiment: Bullish
Options Activity: Puts sold, 2026-01-30 expiry, $485 strike vs. ~$494.146–$499.185 spot and $470 strike vs. ~$474.498–$474.97 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium collected: $11,594,379.
Strike Price: $485, $470.
Analysis: With 3 days to expiry, selling puts below spot at the $485 and $470 strikes collects $11,594,379 in premium and reflects bullish positioning through premium collection while defining downside exposure to the strike levels. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Ross Stores, Inc. (ROST)
Sentiment: Bullish
Options Activity: Puts sold, 2026-03-20 expiry, $180 strike vs. $186.555 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium collected: $192,920.
Strike Price: $180.
Analysis: With 52 days to expiry, selling the $180 put (below the $186.555 spot) collects $192,920 in premium and reflects bullish positioning through premium collection while defining downside exposure to the strike. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Johnson & Johnson (JNJ)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-20 expiry, $220 strike vs. $225.251 spot.
Total Values: Total premium paid: $5,684,000.
Strike Price: $220.
Analysis: With 52 days to expiry, call buying at the $220 strike (below the $225.251 spot) reflects in-the-money bullish exposure, with $5,684,000 in premium paid to maintain upside participation above the strike.
Union Pacific Corporation (UNP)
Sentiment: Bullish
Options Activity: Calls bought, 2026-04-17 expiry, $240 strike vs. $232.625 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $823,500.
Strike Price: $240.
Analysis: With 80 days to expiry, call buying at the $240 strike (above the $232.625 spot) reflects bullish upside exposure above the strike, with $823,500 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
GSK plc (GSK)
Sentiment: Bullish
Options Activity: Calls bought, 2026-02-06 expiry, $52 strike vs. ~$51.115–$51.1154 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $245,194.
Strike Price: $52.
Analysis: With 10 days to expiry, call buying at the $52 strike (slightly above the ~$51.115–$51.1154 spot) reflects bullish upside exposure above the strike, with $245,194 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Amazon.com, Inc. (AMZN)
Sentiment: Bullish
Options Activity: Calls bought, 2026-02-27 expiry, $245 strike vs. $242.18 spot; Size > Prior Open Interest noted on part of the activity (activity suggests new positioning where flagged).
Total Values: Total premium paid: $5,121,590.
Strike Price: $245.
Analysis: With 31 days to expiry, call buying at the $245 strike (above the $242.18 spot) reflects bullish upside exposure above the strike, with $5,121,590 in premium paid. Where Size > Prior Open Interest is flagged, the activity suggests new positioning.
Darling Ingredients Inc. (DAR)
Sentiment: Bullish
Options Activity: Calls bought, 2026-07-17 expiry, $45 strike vs. $43.2396 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $2,284,100.
Strike Price: $45.
Analysis: With 171 days to expiry, call buying at the $45 strike (above the $43.2396 spot) reflects bullish upside exposure above the strike, with $2,284,100 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
SEALSQ Corp (LAES)
Sentiment: Bullish
Options Activity: Puts sold, 2027-01-15 expiry, $4.50 strike vs. ~$4.715–$4.72 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium collected: $355,572.
Strike Price: $4.50.
Analysis: With 353 days to expiry, selling the $4.50 put (below the ~$4.715–$4.72 spot) collects $355,572 in premium and reflects bullish positioning through premium collection while defining downside exposure to the strike. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
TeraWulf Inc. (WULF)
Sentiment: Bullish
Options Activity: Calls bought, 2026-04-17 expiry, $20 strike vs. ~$14.905–$14.935 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $270,522.
Strike Price: $20.
Analysis: With 80 days to expiry, call buying at the $20 strike (above the ~$14.905–$14.935 spot) reflects bullish upside exposure above the strike, with $270,522 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
CEMEX, S.A.B. de C.V. (CX)
Sentiment: Bullish
Options Activity: Calls bought, 2026-04-17 expiry, $14 strike vs. ~$13.025–$13.05 spot; Size > Prior Open Interest noted on part of the activity (activity suggests new positioning where flagged).
Total Values: Total premium paid: $475,247.
Strike Price: $14.
Analysis: With 80 days to expiry, call buying at the $14 strike (above the ~$13.025–$13.05 spot) reflects bullish upside exposure above the strike, with $475,247 in premium paid. Where Size > Prior Open Interest is flagged, the activity suggests new positioning.
New Era Energy & Digital, Inc. (NUAI)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-20 expiry, $15 strike vs. ~$6.945–$7.00 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $161,600.
Strike Price: $15.
Analysis: With 52 days to expiry, call buying at the $15 strike (above the ~$6.945–$7.00 spot) reflects bullish upside exposure above the strike, with $161,600 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Core Scientific, Inc. (CORZ)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-20 expiry, $24 strike vs. ~$19.42–$19.495 spot; Size > Prior Open Interest noted on part of the activity (activity suggests new positioning where flagged).
Total Values: Total premium paid: $7,698,029.
Strike Price: $24.
Analysis: With 52 days to expiry, call buying at the $24 strike (above the ~$19.42–$19.495 spot) reflects bullish upside exposure above the strike, with $7,698,029 in premium paid. Where Size > Prior Open Interest is flagged, the activity suggests new positioning.
Graphic Packaging Holding Company (GPK)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-20 expiry, $15 strike vs. ~$14.895–$14.965 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $793,594.
Strike Price: $15.
Analysis: With 52 days to expiry, call buying at the $15 strike (near the ~$14.895–$14.965 spot) reflects bullish upside exposure above the strike, with $793,594 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Rezolve AI PLC (RZLV)
Sentiment: Bullish
Options Activity: Calls bought, 2026-02-06 expiry, $3.50 strike vs. $3.155 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $84,275.
Strike Price: $3.50.
Analysis: With 10 days to expiry, call buying at the $3.50 strike (above the $3.155 spot) reflects bullish upside exposure above the strike, with $84,275 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Pinnacle West Capital Corporation (PNW)
Sentiment: Bullish
Options Activity: Calls bought, 2026-04-17 expiry, $100 strike vs. $94.54 spot; Size > Prior Open Interest noted (activity suggests new positioning).
Total Values: Total premium paid: $59,740.
Strike Price: $100.
Analysis: With 80 days to expiry, call buying at the $100 strike (above the $94.54 spot) reflects bullish upside exposure above the strike, with $59,740 in premium paid. The Size > Prior Open Interest condition indicates the activity suggests new positioning.
Qnity Electronics, Inc. (Q)
Sentiment: Bullish
Options Activity: Calls bought, 2026-05-15 expiry, $110 strike vs. $99.84 spot; Size > Prior Open Interest noted on part of the activity (activity suggests new positioning where flagged).
Total Values: Total premium paid: $1,189,300.
Strike Price: $110.
Analysis: With 108 days to expiry, call buying at the $110 strike (above the $99.84 spot) reflects bullish upside exposure above the strike, with $1,189,300 in premium paid. Where Size > Prior Open Interest is flagged, the activity suggests new positioning.
Draganfly Inc. (DPRO)
Sentiment: Bullish
Options Activity: Calls bought, 2026-03-20 expiry, $10 strike vs. $8.46446 spot; Size > Prior Open Interest noted on part of the activity (activity suggests new positioning where flagged).
Total Values: Total premium paid: $199,588.
Strike Price: $10.
Analysis: With 52 days to expiry, call buying at the $10 strike (above the $8.46446 spot) reflects bullish upside exposure above the strike, with $199,588 in premium paid. Where Size > Prior Open Interest is flagged, the activity suggests new positioning.
Tickers: BCE, SLV, GOOG, CRWV, KWEB, INTC, QSR, CBT, AES, SHLD, CRML, ESTC, SNDK, ROST, JNJ, UNP, GSK, AMZN, DAR, LAES, WULF, CX, NUAI, CORZ, GPK, RZLV, PNW, Q, DPRO
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
Intel Corp (INTC)
Buyer: David Zinsner (Officer)
Shares Purchased: 5,882 (+2.4%)
Price: US$42.50
Total Value: US$249,985.00
Biodesix, Inc. (BDSX)
Buyer: Jack W. Schuler (Large shareholder)
Shares Purchased: 20,000 (+1.3%)
Price: US$11.80
Total Value: US$236,064.00
EquipmentShare.com Inc (EQPT)
Buyer: David Marquardt (Officer)
Shares Purchased: 4,285 (+7.1%)
Price: US$24.50
Total Value: US$104,982.50
ASA Gold and Precious Metals Ltd (ASA)
Buyer: Saba Capital Management, L.P. (Large shareholder)
Shares Purchased: 1,400 (+0.0%)
Price: US$72.90
Total Value: US$102,060.00
Streamex Corp (STEX)
Buyer: Morgan Lee Lekstrom (Non-Executive Director, Large shareholder)
Shares Purchased: 23,000 (+47.9%)
Price: US$3.30
Total Value: US$75,900.00
Business First Bancshares Inc (BFST)
Buyer: Rick D. Day (Non-Executive Director)
Shares Purchased: 1,500 (+0.6%)
Price: US$27.55
Total Value: US$41,325.00
Texas Capital Bancshares Inc (TCBI)
Buyer: Laura L. Whitley (Non-Executive Director)
Shares Purchased: 500 (+6.7%)
Price: US$97.51
Total Value: US$48,755.00
Streamex Corp (STEX)
Buyer: Morgan Lee Lekstrom (Non-Executive Director, Large shareholder)
Shares Purchased: 5,500 (+7.7%)
Price: US$3.12
Total Value: US$17,160.00
John Hancock Hedged Equity & Income Fund (HEQ)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 905 (+inf%)
Price: US$11.10
Total Value: US$10,045.50
John Hancock Investors Trust (JHI)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 730 (+inf%)
Price: US$13.75
Total Value: US$10,037.43
John Hancock Income Securities Trust (JHS)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 725 (+557.7%)
Price: US$11.78
Total Value: US$8,540.50
John Hancock Financial Opportunities Fund (BTO)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 270 (+inf%)
Price: US$37.10
Total Value: US$10,001.01
John Hancock Tax Advantaged Dividend Income Fund (HTD)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 415 (+inf%)
Price: US$24.09
Total Value: US$10,000.99
John Hancock Premium Dividend Fund (PDT)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 774 (+inf%)
Price: US$12.92
Total Value: US$10,001.00
John Hancock Preferred Income Fund II (HPF)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 618 (+inf%)
Price: US$16.18
Total Value: US$10,000.99
John Hancock Preferred Income Fund III (HPS)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 683 (+inf%)
Price: US$14.65
Total Value: US$10,001.00
John Hancock Preferred Income Fund (HPI)
Buyer: Kenneth J. Phelan (Non-Executive Director)
Shares Purchased: 614 (+inf%)
Price: US$16.30
Total Value: US$10,001.00
US Insider Sales
Symbotic Inc (SYM)
Seller: James Kuffner (Officer)
Shares Sold: 76,273 (-34.3%)
Price: US$59.76
Total Value: US$4,557,853.29
Northern Trust Corp (NTRS)
Seller: Peter Cherecwich (Officer)
Shares Sold: 25,000 (-48.8%)
Price: US$149.62
Total Value: US$3,740,500.00
SLB NV (SLB)
Seller: Stephane Biguet (Officer)
Shares Sold: 61,017 (-28.2%)
Price: US$49.70
Total Value: US$3,032,544.90
SLB NV (SLB)
Seller: Abdellah Merad (Officer)
Shares Sold: 60,000 (-29.9%)
Price: US$49.70
Total Value: US$2,982,000.00
Riley Exploration Permian Inc (REPX)
Seller: Bluescape Riley Exploration Holdings LLC (Large shareholder)
Shares Sold: 75,220 (-1.9%)
Price: US$27.57
Total Value: US$2,073,732.66
NewAmsterdam Pharma Company NV (NAMS)
Seller: Louise Frederika Kooij (Officer)
Shares Sold: 34,091 (-58.0%)
Price: US$32.77
Total Value: US$1,117,162.07
BlackRock ESG Capital Allocation Trust (ECAT)
Seller: Saba Capital Management, L.P. (Large shareholder)
Shares Sold: 44,054 (-0.2%)
Price: US$15.54
Total Value: US$684,599.16
Mirum Pharmaceuticals Inc (MIRM)
Seller: Christopher Peetz (Executive Director)
Shares Sold: 6,831 (-3.9%)
Price: US$96.19
Total Value: US$657,087.55
SLB NV (SLB)
Seller: Dianne B. Ralston (Officer)
Shares Sold: 18,617 (-7.7%)
Price: US$49.50
Total Value: US$921,541.50
Atlassian Corp (TEAM)
Seller: Michael Cannon-Brookes (Executive Director, Large shareholder)
Shares Sold: 2,663 (-0.8%)
Price: US$136.62
Total Value: US$363,822.52
Atlassian Corp (TEAM)
Seller: Scott Farquhar (Non-Executive Director, Large shareholder)
Shares Sold: 2,664 (-0.8%)
Price: US$136.62
Total Value: US$363,959.14
Great Southern Bancorp Inc (GSBC)
Seller: Joseph W. Turner (Executive Director, Large shareholder)
Shares Sold: 6,000 (-4.2%)
Price: US$60.74
Total Value: US$364,426.80
PriceSmart Inc (PSMT)
Seller: Robert E. Price (Non-Executive Director, Large shareholder)
Shares Sold: 2,000 (-4.4%)
Price: US$141.27
Total Value: US$282,541.00
Atlassian Corp (TEAM)
Seller: Scott Farquhar (Non-Executive Director, Large shareholder)
Shares Sold: 1,987 (-0.6%)
Price: US$135.81
Total Value: US$269,858.64
Atlassian Corp (TEAM)
Seller: Michael Cannon-Brookes (Executive Director, Large shareholder)
Shares Sold: 1,988 (-0.6%)
Price: US$135.81
Total Value: US$269,994.26
Taysha Gene Therapies Inc (TSHA)
Seller: Sean P. Nolan (Executive Director)
Shares Sold: 41,312 (-1.4%)
Price: US$4.61
Total Value: US$190,448.32
Taysha Gene Therapies Inc (TSHA)
Seller: Sukumar Nagendran (Executive Director)
Shares Sold: 26,918 (-2.0%)
Price: US$4.61
Total Value: US$124,091.98
Seritage Growth Properties (SRG)
Seller: Yakira Capital Management, Inc. (Large shareholder)
Shares Sold: 5,072 (-1.6%)
Price: US$24.13
Total Value: US$122,395.98
IRadimed Corp (IRMD)
Seller: Roger E. Susi (Executive Director, Large shareholder)
Shares Sold: 4,339 (-0.2%)
Price: US$100.54
Total Value: US$436,243.06
IRadimed Corp (IRMD)
Seller: Roger E. Susi (Executive Director, Large shareholder)
Shares Sold: 661 (-0.0%)
Price: US$101.38
Total Value: US$67,012.18
Hagerty Inc (HGTY)
Seller: Kenneth Ahn (Officer)
Shares Sold: 50,000 (-100.0%)
Price: US$12.41
Total Value: US$620,500.00
ReposiTrak Inc (TRAK)
Seller: Randall K. Fields (Executive Director, Large shareholder)
Shares Sold: 7,500 (-5.5%)
Price: US$11.07
Total Value: US$83,056.50
ACNB Corp (ACNB)
Seller: Brett D. Fulk
Shares Sold: 1,486 (-58.7%)
Price: US$48.52
Total Value: US$72,104.12
Halliburton Co (HAL)
Seller: Margaret Katherine Banks (Non-Executive Director)
Shares Sold: 2,600 (-15.6%)
Price: US$34.18
Total Value: US$88,855.00
Sera Prognostics Inc (SERA)
Seller: Robert Gardner Harrison (Officer)
Shares Sold: 2,000 (-2.4%)
Price: US$2.97
Total Value: US$5,940.00
CDN Insider Purchases
Sigma Lithium Corp (SGML)
Buyer: Marcelo Freire de Paiva (Non-Executive Director)
Shares Purchased: 10,000 (+34.8%)
Price: US$13.29
Total Value: US$132,868.00
DeFi Technologies Inc (DEFI)
Buyer: Johan Wattenstrom (Executive Director)
Shares Purchased: 125,000 (+2.2%)
Price: US$0.88
Total Value: US$110,175.00
Avino Silver & Gold Mines Ltd (ASM)
Buyer: Peter Latta (Officer)
Shares Purchased: 50,000 (+19.1%)
Price: CA$12.63
Total Value: CA$631,500.00
Mayfair Gold Corp (MFG)
Buyer: HCRP Regatta I LP (Executive Director)
Shares Purchased: 32,900 (+1.9%)
Price: CA$6.00
Total Value: CA$197,400.00
Hybrid Power Solutions Inc (HPSS)
Buyer: Paul Anthony Gorman (Non-Executive Director)
Shares Purchased: 400,000
Price: CA$0.06
Total Value: CA$24,000.00
Lodestar Metals Corp (LSTR)
Buyer: Andy Tsz Kong Chow (Large shareholder)
Shares Purchased: 130,000 (+3.0%)
Price: CA$0.19
Total Value: CA$24,050.00
Banyan Gold Corp (BYN)
Buyer: Marc Girthon Blythe (Non-Executive Director)
Shares Purchased: 20,000 (combined, +12.1% and +13.8%)
Price: CA$1.23
Total Value: CA$24,560.00
Opus One Gold Corp (OOR)
Buyer: Jean-David Moore (Non-Executive Director)
Shares Purchased: 100,000 (+0.9%)
Price: CA$0.09
Total Value: CA$8,500.00
Onyx Gold Corp (ONYX)
Buyer: Darwin Green (Executive Director)
Shares Purchased: 5,000 (+0.5%)
Price: CA$1.69
Total Value: CA$8,450.00
Simply Solventless Concentrates Ltd (HASH)
Buyer: Jeffrey Philip James Swainson (Executive Director, Large shareholder)
Shares Purchased: 44,600 (+0.5%)
Price: CA$0.18
Total Value: CA$8,028.00
CDN Insider Sales
Ero Copper Corp (ERO)
Seller: Robert Hinman Getz (Non-Executive Director)
Shares Sold: 30,000 (-23.0%)
Price: CA$44.79
Total Value: CA$1,343,700.00
Pan American Silver Corp (PAAS)
Seller: Martin Wafforn (Officer)
Shares Sold: 10,000 (-24.3%)
Price: CA$89.49
Total Value: CA$894,880.00
Discovery Silver Corp (DSV)
Seller: William Murray John (Non-Executive Director)
Shares Sold: 75,000 (-78.9%)
Price: CA$11.40
Total Value: CA$855,255.00
OR Royalties Inc (OR)
Seller: Guy Desharnais (Officer)
Shares Sold: 10,600 (-29.9%)
Price: CA$64.65
Total Value: CA$685,271.98
First Majestic Silver Corp (FR)
Seller: Mani Alkhafaji (Officer)
Shares Sold: 15,000 (-20.2%)
Price: CA$34.66
Total Value: CA$519,900.00
Ero Copper Corp (ERO)
Seller: Lyle Braaten (Non-Executive Director)
Shares Sold: 10,000 (-4.5%)
Price: CA$46.45
Total Value: CA$464,500.00
First Majestic Silver Corp (FR)
Seller: Raymond L. Polman (Non-Executive Director)
Shares Sold: 10,000 (-8.3%)
Price: CA$37.94
Total Value: CA$379,400.00
Pan American Silver Corp (PAAS)
Seller: Christopher Emerson (Officer)
Shares Sold: 2,500 (-17.8%)
Price: CA$92.30
Total Value: CA$230,750.00
Discovery Silver Corp (DSV)
Seller: William Murray John (Non-Executive Director)
Shares Sold: 20,000
Price: CA$12.42
Total Value: CA$248,346.00
Ucore Rare Metals Inc (UCU)
Seller: Randy T. Johnson (Large shareholder)
Shares Sold: 40,000 (combined, -0.2% each)
Price: CA$9.25–9.38
Total Value: CA$372,500.00
Westbridge Renewable Energy Corp (WEB)
Seller: Stefano Romanin (Executive Director, Large shareholder)
Shares Sold: 64,400 (-16.9%)
Price: CA$2.04
Total Value: CA$131,504.80
Richelieu Hardware Ltd (RCH)
Seller: Antoine Auclair (Officer)
Shares Sold: 2,500 (-29.2%)
Price: CA$42.57
Total Value: CA$106,433.25
Argenta Silver Corp (AGAG)
Seller: Eduardo Sergio Elsztain (Large shareholder)
Shares Sold: 140,000 (-0.6%)
Price: US$0.60
Total Value: US$84,224.00
Organto Foods Inc (OGO)
Seller: Joseph Riz (Non-Executive Director)
Shares Sold: 10,000
Price: CA$0.80
Total Value: CA$8,000.00
Institutional Spotlight: January 27, 2026.
SPWH
UNION SQUARE PARK CAPITAL MANAGEMENT LLC reported ownership of 2,383,059 SH, representing 6.19% Ownership.
HVMC
MILLENNIUM MANAGEMENT LLC disclosed a position of 999,996 SH, accounting for 4.20% Ownership.
MBAV
METEORA CAPITAL LLC reported holdings totaling 3,889,052 SH, equal to 13.52% Ownership.
LION
MHR FUND MANAGEMENT LLC disclosed ownership of 37,920,093 SH, representing 13.10% Ownership.
SOHO
TRIUM CAPITAL LLP reported a position of 1,843,435 SH, accounting for 7.50% Ownership.
AAT
RIMA SENVEST MANAGEMENT disclosed ownership of 3,088,587 SH, representing 5.10% Ownership.
WPRT
GRACE WHITE INC NY reported holdings of 1,163,087 SH, equal to 6.70% Ownership.
MIRM
FRAZIER LIFE SCIENCES IX LP disclosed a position totaling 4,108,404 SH, representing 6.80% Ownership.
RPTX
SHAY CAPITAL LLC reported ownership of 2,870,141 SH, accounting for 6.70% Ownership.
WULF
BANK OF NOVA SCOTIA disclosed holdings of 27,383,209 SH, representing 6.20% Ownership.
GDEN
BLACKROCK INC reported a position of 2,897,414 SH, equal to 11.10% Ownership.
SOLV
INDEPENDENT FRANCHISE PARTNERS LLP disclosed ownership of 15,355,691 SH, representing 8.85% Ownership.
RDWR
FIRST TRUST PORTFOLIOS LP reported holdings of 2,146,877 SH, equal to 5.03% Ownership.
QMAG
FIRST TRUST PORTFOLIOS LP disclosed a position totaling 125,269 SH, representing 5.11% Ownership.
FLRN
FIRST TRUST PORTFOLIOS LP reported ownership of 4,428,144 SH, accounting for 5.03% Ownership.
FFIV
FIRST TRUST PORTFOLIOS LP disclosed holdings of 2,956,143 SH, representing 5.09% Ownership.
FEBM
FIRST TRUST PORTFOLIOS LP reported a position of 85,704 SH, equal to 5.12% Ownership.
CWEN/A
FIRST TRUST PORTFOLIOS LP disclosed ownership of 1,773,795 SH, representing 5.12% Ownership.
BOE
FIRST TRUST PORTFOLIOS LP reported holdings of 2,827,629 SH, equal to 5.09% Ownership.
DTIL
STANDARD LIFE ABERDEEN PLC disclosed a position totaling 2,138,603 SH, representing 8.88% Ownership.
AEGON LTD
NORGES BANK reported ownership of 88,813,381 SH, accounting for 5.60% Ownership.
ATAT
NORGES BANK disclosed holdings of 22,234,836 SH, representing 6.50% Ownership.
X3 ACQUISITION CORP. LTD.
LINDEN CAPITAL LP reported a position of 1,400,000 SH, equal to 7.00% Ownership.
BCAR
LINDEN CAPITAL LP disclosed ownership of 1,600,000 SH, representing 5.50% Ownership.
AGM/A
MATTHEW 25 MANAGEMENT CORP reported holdings of 98,477 SH, equal to 9.60% Ownership.
Tickers: SPWH, HVMC, MBAV, LION, SOHO, AAT, WPRT, MIRM, RPTX, GDEN, SOLV, RDWR, QMAG, FLRN, FFIV, FEBM, CWEN/A, BOE, DTIL, ATAT, BCAR, AGM/A, WULF
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
SGML, GORO, SIDU, SATL, ENGN, AGQ, WWR, USGO, LUCD, CRML, VGZ, STI, CHNR, QURE, FLNT, EKSO, USAU, WULF, SCYX, APLD, HYMC, IREN, IPX, EQ, ASTI, GSIT, BBGI, BW, DSVSF, LRMR, BLBX, MAIA, SLV, DBVT, UAMY, LYV, GEVO, PSLV, CMCL, BDSX, NB, SPPP, PLTM, AG, LION, OPXS, LLYVA, TARA, UPWK, SNBR, ATAI, RDW, ASPI, AREC, MNPR, THM, CLSK, CORZ, NKTX, CURR, GILD, AMCR, LBTYA, BTDR, PL, AS, IPI, GDMN, PALI, AU, BP, SPWR, LTH, ASND, TYGO, ENLV, CTNM, UNFI, RMTI, VET, AXGN, FROG, ARVN, DFTX, UGL, CNTA, IDAI, OGI, MUX, PRAX, CSX, USCI, VRDN, AMD, INTR, TSM, MGNX, ISSC, SDST, EDU, OXY, UUU, DMAC, ORMP, AMZN, YPF, GNT, CAAP, WMB, ACIU, APPS, TTWO, SBUX, SHIP, AMBP, TAC, CNQ, MP, PM, DVN, AMPG, DBB, OPAL, INSW, HL, IHD, OCS, DG, FIP, CCK, WMG, NESR, NVDA, COP, TGT, TWLO, CNC, REPYY, EQT, MO, FANG, WFG, GOLF, KO, STLD, AZN, MNST, ZM, CDE, TIGO, IVA, BN, CMTL, ICFI, RIOT, MSGE, PR, AMAT, LNSR, CNTX, GLPI, CIA, GDE, GDS, FXF, DEA, MCD, PSEC, RKLB, CIFR, CACI
Canadian Institutional Momentum Watchlist
EXPORT – Canadian Institutional Momentum Watchlist
ASM.TO, PTM.TO, TRX.TO, GOLD.TO, CS.TO, USA.TO, SLI.V, ACT.CA, FOM.TO, AYA.TO, DSV.TO, TMQ.TO, ERO.TO, FURY.TO, TKO.TO, FM.TO, CGG.TO, OLA.TO, CFX.TO, GLO.TO, SGD.TO, ARG.TO, LAC.TO, MDI.TO, AG.TO, SVM.TO, LUN.TO, GGD.TO, IMG.TO, PAAS.TO, POU.TO, BNE.TO, EFR.TO, IPO.TO, NTR.TO, LGO.TO, NUAG.TO, EDR.TO, ABX.TO, III.TO, SII.TO, HBM.TO, FTG.TO, CFP.TO, SDE.TO, CAS.TO, CURA.TO, GLXY.TO, ITR.V, ARIS.TO, CNL.TO, ARTG.V, CRON.TO, ITH.TO, HAI.TO, AGI.TO, OBE.TO, SAP.TO, CEF.TO, LUC.TO, VET.TO, VLE.TO, HWX.TO, REI/UN.TO, GUD.TO, SCR.TO, CHR.TO, GEI.TO, WRN.TO, PEY.TO, KNT.TO, TRP.TO, FCR/UN.TO, CVO.TO, TPZ.TO, ELD.TO, GRSL.V, TOU.TO, WEF.TO, GRT/UN.TO, LUG.TO, MX.TO, FVI.TO, SES.TO, BCE.TO, ATH.TO, RSI.TO, PPL.TO, SU.TO, SGY.TO, DBM.TO, NXR/UN.TO, KEY.TO, IMO.TO, CVE.TO, CCO.TO, CGY.TO, CNQ.TO, EDV.TO, TA.TO, NGD.TO, TXG.TO, T.TO, NPI.TO, SLF.TO, CG.TO, KEL.TO, WTE.TO, WPM.TO, ARX.TO, CCA.TO, BTO.TO, L.TO, ACO/X.TO, ENB.TO, K.TO, SRU/UN.TO, CRR/UN.TO, FRU.TO, IFP.TO, ALS.TO, DPM.TO, FAR.TO, OGC.TO, MTA.V, WFG.TO, WN.TO, NEO.TO, ATS.TO, EQX.TO, JOY.TO, WPK.TO, HR/UN.TO, LAR.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!




