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Behind the Scenes of Exxon Mobil's Latest Options Trends

Behind the Scenes of Exxon Mobil's Latest Options Trends

埃克森美孚最新期權趨勢背後的幕後故事
Benzinga ·  08/14 16:15

Whales with a lot of money to spend have taken a noticeably bearish stance on Exxon Mobil.

有很多錢可以花的鯨魚對埃克森美孚採取了明顯的看跌立場。

Looking at options history for Exxon Mobil (NYSE:XOM) we detected 27 trades.

查看埃克森美孚(紐約證券交易所代碼:XOM)的期權歷史記錄,我們發現了27筆交易。

If we consider the specifics of each trade, it is accurate to state that 37% of the investors opened trades with bullish expectations and 55% with bearish.

如果我們考慮每筆交易的具體情況,可以準確地說,37%的投資者以看漲的預期開盤,55%的投資者持看跌預期。

From the overall spotted trades, 13 are puts, for a total amount of $585,261 and 14, calls, for a total amount of $959,525.

在所有已發現的交易中,有13筆是看跌期權,總額爲585,261美元,14筆是看漲期權,總額爲959,525美元。

What's The Price Target?

目標價格是多少?

Analyzing the Volume and Open Interest in these contracts, it seems that the big players have been eyeing a price window from $50.0 to $130.0 for Exxon Mobil during the past quarter.

分析這些合約的交易量和未平倉合約,大型企業似乎一直在關注埃克森美孚在過去一個季度的價格範圍從50.0美元到130.0美元不等。

Volume & Open Interest Development

交易量和未平倉合約的發展

In today's trading context, the average open interest for options of Exxon Mobil stands at 3972.39, with a total volume reaching 24,707.00. The accompanying chart delineates the progression of both call and put option volume and open interest for high-value trades in Exxon Mobil, situated within the strike price corridor from $50.0 to $130.0, throughout the last 30 days.

在今天的交易背景下,埃克森美孚期權的平均未平倉合約爲3972.39,總交易量達到24,707.00。隨附的圖表描繪了過去30天埃克森美孚高價值交易的看漲和看跌期權交易量以及未平倉合約的變化,這些交易位於行使價走勢從50.0美元到130.0美元之間。

Exxon Mobil Option Activity Analysis: Last 30 Days

埃克森美孚期權活動分析:過去 30 天

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Biggest Options Spotted:

發現的最大選擇:

Symbol PUT/CALL Trade Type Sentiment Exp. Date Ask Bid Price Strike Price Total Trade Price Open Interest Volume
XOM CALL SWEEP BEARISH 12/20/24 $5.6 $5.5 $5.5 $120.00 $275.0K 7.3K 505
XOM CALL SWEEP BULLISH 11/15/24 $3.15 $3.15 $3.15 $125.00 $128.2K 28 440
XOM CALL SWEEP BULLISH 08/16/24 $2.23 $2.09 $2.23 $117.00 $84.0K 2.5K 694
XOM PUT SWEEP BULLISH 01/17/25 $3.6 $3.5 $3.5 $110.00 $72.8K 14.0K 236
XOM PUT SWEEP BULLISH 08/16/24 $0.76 $0.71 $0.71 $118.00 $63.9K 2.2K 1.7K
符號 看跌/看漲 交易類型 情緒 Exp。日期 出價 價格 行使價 總交易價格 未平倉合約 音量
XOM 打電話 粗魯的 12/20/24 5.6 美元 5.5 美元 5.5 美元 120.00 美元 275.0 萬美元 7.3K 505
XOM 打電話 看漲 11/15/24 3.15 美元 3.15 美元 3.15 美元 125.00 美元 128.2 萬美元 28 440
XOM 打電話 看漲 08/16/24 2.23 美元 2.09 美元 2.23 美元 117.00 美元 84.0 萬美元 2.5K 694
XOM 看漲 01/17/25 3.6 美元 3.5 美元 3.5 美元 110.00 美元 72.8 萬美元 14.0K 236
XOM 看漲 08/16/24 0.76 美元 0.71 美元 0.71 美元 118.00 美元 63.9 萬美元 2.2K 1.7K

About Exxon Mobil

關於埃克森美孚

ExxonMobil is an integrated oil and gas company that explores for, produces, and refines oil around the world. In 2023, it produced 2.4 million barrels of liquids and 7.7 billion cubic feet of natural gas per day. At the end of 2023, reserves were 16.9 billion barrels of oil equivalent, 66% of which were liquids. The company is one the world's largest refiners with a total global refining capacity of 4.5 million barrels of oil per day and is one of the world's largest manufacturers of commodity and specialty chemicals.

埃克森美孚是一家綜合石油和天然氣公司,在全球範圍內勘探、生產和提煉石油。2023 年,它每天生產 240 萬桶液體和 77 億立方英尺的天然氣。到2023年底,儲量爲169億桶石油當量,其中66%是液體。該公司是全球最大的煉油廠之一,全球煉油總產能爲每天450萬桶石油,也是世界上最大的大宗商品和特種化學品製造商之一。

Having examined the options trading patterns of Exxon Mobil, our attention now turns directly to the company. This shift allows us to delve into its present market position and performance

在研究了埃克森美孚的期權交易模式之後,我們的注意力現在直接轉向了該公司。這種轉變使我們能夠深入研究其目前的市場地位和表現

Present Market Standing of Exxon Mobil

埃克森美孚目前的市場地位

  • With a trading volume of 9,197,916, the price of XOM is up by 0.88%, reaching $118.9.
  • Current RSI values indicate that the stock is may be approaching overbought.
  • Next earnings report is scheduled for 72 days from now.
  • xOM的交易量爲9,197,916美元,上漲了0.88%,達到118.9美元。
  • 當前的RSI值表明該股可能已接近超買。
  • 下一份收益報告定於72天后發佈。

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.

與僅交易股票相比,期權是一種風險更高的資產,但它們具有更高的獲利潛力。嚴肅的期權交易者通過每天自我教育、擴大交易規模、關注多個指標以及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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