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Check Out What Whales Are Doing With MRVL

Check Out What Whales Are Doing With MRVL

了解鯨魚對MRVL的行爲
Benzinga ·  07/09 14:01

Whales with a lot of money to spend have taken a noticeably bearish stance on Marvell Tech.

有大量資金的鯨魚在Marvell Tech上採取了明顯的看淡立場。

Looking at options history for Marvell Tech (NASDAQ:MRVL) we detected 20 trades.

查看Marvell Tech(納斯達克: MRVL)的期權歷史,我們檢測到20次交易。

If we consider the specifics of each trade, it is accurate to state that 45% of the investors opened trades with bullish expectations and 50% with bearish.

如果我們考慮每筆交易的具體情況,準確地說,45%的投資者持有看好的預期,50%的投資者持有看淡意願。

From the overall spotted trades, 4 are puts, for a total amount of $244,520 and 16, calls, for a total amount of $1,217,908.

從總體上看,有4個看跌期權,總金額爲244,520美元,有16個看漲期權,總金額爲1,217,908美元。

Expected Price Movements

預期價格波動

After evaluating the trading volumes and Open Interest, it's evident that the major market movers are focusing on a price band between $55.0 and $95.0 for Marvell Tech, spanning the last three months.

在評估交易量和未平倉合約之後,顯然,主要的市場推手將焦點放在Marvell Tech的55.0至95.0美元的價格區間上,跨越最後三個月。

Analyzing Volume & Open Interest

分析成交量和未平倉合約

Looking at the volume and open interest is a powerful move while trading options. This data can help you track the liquidity and interest for Marvell Tech's options for a given strike price. Below, we can observe the evolution of the volume and open interest of calls and puts, respectively, for all of Marvell Tech's whale trades within a strike price range from $55.0 to $95.0 in the last 30 days.

查看成交量和未平倉合約是期權交易中的一項重要舉措。此數據可幫助您追蹤Marvell Tech在給定的執行價格範圍內的期權流動性和興趣。下面,我們可以觀察過去30天內,所有Marvell Tech的鯨魚交易中,涵蓋了55.0至95.0美元執行價格區間內的看漲和看跌期權的成交量和未平倉合約的演變。

Marvell Tech Option Activity Analysis: Last 30 Days

Marvell Tech期權活動分析:過去30天

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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
MRVL CALL TRADE BEARISH 08/16/24 $3.55 $3.5 $3.5 $75.00 $210.0K 14.8K 11.9K
MRVL CALL SWEEP BULLISH 08/16/24 $3.75 $3.7 $3.75 $75.00 $202.8K 14.8K 4.4K
MRVL CALL SWEEP BEARISH 08/16/24 $3.65 $3.6 $3.6 $75.00 $180.0K 14.8K 5.4K
MRVL PUT TRADE NEUTRAL 09/20/24 $16.5 $15.15 $15.7 $90.00 $150.7K 30 0
MRVL CALL SWEEP BULLISH 08/16/24 $3.9 $3.85 $3.9 $75.00 $97.5K 14.8K 2.3K
標的 看跌/看漲 交易類型 情緒 到期日 賣盤 買盤 價格 執行價格 總交易價格 未平倉合約數量 成交量
邁威爾科技 看漲 交易 看淡 08/16/24 $3.55 $3.5 $3.5 $75.00 $210.0K 14.8千 11.9K
邁威爾科技 看漲 SWEEP 看好 08/16/24 $3.75 $3.7 $3.75 $75.00 $202.8K 14.8千 4.4K
邁威爾科技 看漲 SWEEP 看淡 08/16/24 $3.65 $3.6 $3.6 $75.00 $180.0K 14.8千 5,400
邁威爾科技 看跌 交易 中立 09/20/24 $16.5 $15.15 15.7 $90.00 $150.7K 30 0
邁威爾科技 看漲 SWEEP 看好 08/16/24 $3.9 $3.85 $3.9 $75.00 $97.5K 14.8千 2.3K

About Marvell Tech

關於邁威爾科技

Marvell Technology is a fabless chip designer focused on wired networking, where it has the second-highest market share. Marvell serves the data center, carrier, enterprise, automotive, and consumer end markets with processors, optical and copper transceivers, switches, and storage controllers.

邁威爾科技是一家無晶圓廠的芯片設計公司,專門從事有線網絡領域的業務,其市場佔有率排名第二。邁威爾公司在處理器、光纖和銅傳送器、交換機和存儲控制器方面爲數據中心、運營商、企業、汽車和消費者等各領域提供服務。

Following our analysis of the options activities associated with Marvell Tech, we pivot to a closer look at the company's own performance.

在分析與Marvell Tech相關的期權活動後,我們轉而更加密切地關注公司自身的表現。

Current Position of Marvell Tech

Marvell Tech的當前持倉

  • With a volume of 4,652,560, the price of MRVL is down -1.44% at $73.83.
  • RSI indicators hint that the underlying stock may be approaching overbought.
  • Next earnings are expected to be released in 44 days.
  • MRVL的交易量爲4,652,560股,目前下跌了-1.44%,報73.83美元。
  • RSI指標暗示該股票可能要超買了。
  • 下一次業績預計將在44天內發佈。

What The Experts Say On Marvell Tech

有關Marvell Tech的專家意見

A total of 1 professional analysts have given their take on this stock in the last 30 days, setting an average price target of $95.0.

在過去30天中,共有1名專業分析師對該股票發表了看法,設定了95.0美元的平均目標價。

  • An analyst from Keybanc persists with their Overweight rating on Marvell Tech, maintaining a target price of $95.
  • Keybanc的一位分析師堅持給Marvell Tech 股票 Overweight 評級,目標價維持在95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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