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Chubb Unusual Options Activity

Chubb Unusual Options Activity

Chubb期權異動
Benzinga ·  06/07 11:46

Deep-pocketed investors have adopted a bullish approach towards Chubb (NYSE:CB), and it's something market players shouldn't ignore. Our tracking of public options records at Benzinga unveiled this significant move today. The identity of these investors remains unknown, but such a substantial move in CB usually suggests something big is about to happen.

實力雄厚的投資者們對Chubb (紐交所:CB) 採取了看好的態度,這是市場參與者不應忽視的信號。我們在Benzinga對公開期權記錄的跟蹤揭示了今天這一重要舉措。這些投資者的身份仍然未知,但CB市場上如此大規模的動作通常意味着即將發生重大事件。

We gleaned this information from our observations today when Benzinga's options scanner highlighted 8 extraordinary options activities for Chubb. This level of activity is out of the ordinary.

我們從觀察中得知,Benzinga的期權掃描器今天突出了Chubb的8項極爲出色的期權活動。這一活動水平是不尋常的。

The general mood among these heavyweight investors is divided, with 50% leaning bullish and 37% bearish. Among these notable options, 2 are puts, totaling $318,250, and 6 are calls, amounting to $503,080.

這些重量級投資者中普遍情緒分爲兩派,50%看好,37%看淡。在這些值得注意的期權中,2項是看跌,總金額爲318,250美元,6項是看漲,總金額爲503,080美元。

Expected Price Movements

預期價格波動

Analyzing the Volume and Open Interest in these contracts, it seems that the big players have been eyeing a price window from $240.0 to $270.0 for Chubb during the past quarter.

分析這些合同的成交量和未平倉量,似乎大佬們在過去的季度裏一直在關注Chubb的股價區間在240.0美元至270.0美元之間。

Volume & Open Interest Trends

成交量和未平倉量趨勢

In terms of liquidity and interest, the mean open interest for Chubb options trades today is 274.0 with a total volume of 3,296.00.

就流動性和利潤而言,今天Chubb期權交易的平均未平倉量是274.0,總成交量爲3,296.00。

In the following chart, we are able to follow the development of volume and open interest of call and put options for Chubb's big money trades within a strike price range of $240.0 to $270.0 over the last 30 days.

在下圖中,我們可以跟蹤240.0美元至270.0美元行權價區間內在Chubb大宗交易中看漲和看跌期權的成交量和未平倉量的發展情況。

Chubb Option Volume And Open Interest Over Last 30 Days

Chubb期權成交量和未平倉量的過去30天的發展情況

Options Call Chart

Significant Options Trades Detected:

檢測到重大期權交易:

Symbol PUT/CALL Trade Type Sentiment Exp. Date Ask Bid Price Strike Price Total Trade Price Open Interest Volume
CB PUT TRADE BEARISH 06/21/24 $2.1 $1.85 $2.1 $265.00 $236.2K 8851.2K
CB CALL SWEEP BULLISH 06/20/25 $30.0 $28.7 $30.0 $265.00 $120.0K 256
CB CALL SWEEP BULLISH 01/16/26 $40.3 $39.3 $40.0 $260.00 $108.0K 3127
CB CALL TRADE BULLISH 01/16/26 $53.4 $50.1 $53.4 $240.00 $106.8K 70
CB PUT TRADE BEARISH 06/21/24 $2.1 $1.9 $2.05 $265.00 $81.9K 8851.6K
標的 看跌/看漲 交易類型 情緒 到期日 賣盤 買盤 價格 行權價 總交易價 未平倉量 成交量
CB 看跌 交易 看淡 06/21/24 $2.1 $1.85 $2.1 $265.00 $236.2K 8851.2K
CB 看漲 Sweep 看好 06/20/25 $30.0應該是指目標價$30.0。 $28.7 $30.0應該是指目標價$30.0。 $265.00 $120.0K 256
CB 看漲 Sweep 看好 01/16/26 $40.3 $39.3 $40.0 $260.00 $108.0K 3127
CB 看漲 交易 看好 01/16/26 $53.4 $50.1 $53.4 $240.00 $106.8K 70
CB 看跌 交易 看淡 06/21/24 $2.1 $1.9 2.05美元 $265.00 $81.9K 8851.6K

About Chubb

關於 Chubb

ACE acquired Chubb in the first quarter of 2016 and assumed the Chubb name. The combination made the new Chubb one of the largest domestic property and casualty insurers, with operations in 54 countries spanning commercial and personal P&C insurance, reinsurance, and life insurance.

ACE在2016年第一季度收購了Chubb並採用了Chubb的名字。組合使新的Chubb成爲覆蓋商業和個人財產和意外險、再保險和人壽保險的54個國家的最大國內P&C保險公司之一。

Chubb's Current Market Status

Chubb的當前市場狀態

  • With a volume of 535,451, the price of CB is up 1.54% at $267.81.
  • RSI indicators hint that the underlying stock may be approaching overbought.
  • Next earnings are expected to be released in 46 days.
  • 成交量爲535,451,CB的價格上漲了1.54%,爲267.81美元。
  • RSI指標暗示該股票可能要超買了。
  • 下一個業績預計在46天后發佈。

What Analysts Are Saying About Chubb

關於Chubb的分析師觀點

1 market experts have recently issued ratings for this stock, with a consensus target price of $266.0.

1位市場專家最近對該股票發表了評級,共識目標價爲266.0美元。

  • In a positive move, an analyst from B of A Securities has upgraded their rating to Neutral and adjusted the price target to $266.
  • 在積極的舉動中,B of A證券的一位分析師已經將評級升級爲中立,並調整了目標價爲266美元。

Options are a riskier asset compared to just trading the stock, but they have higher profit potential. Serious options traders manage this risk by educating themselves daily, scaling in and out of trades, following more than one indicator, and following the markets closely.

期權與僅交易股票相比是一種更具風險的資產,但它們具有更高的利潤潛力。認真的期權交易者通過每日學習,進出交易,跟隨多個指標並密切關注市場來管理這種風險。

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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