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Smart Money Is Betting Big In MRVL Options

Smart Money Is Betting Big In MRVL Options

聰明投資者正在大量投注MRVL期權
Benzinga ·  10/01 10:15

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

有大量資金可以花的鯨魚對Marvell Tech採取了明顯的看漲立場。

Looking at options history for Marvell Tech (NASDAQ:MRVL) we detected 9 trades.

縱觀Marvell Tech(納斯達克股票代碼:MRVL)的期權歷史記錄,我們發現了9筆交易。

If we consider the specifics of each trade, it is accurate to state that 44% of the investors opened trades with bullish expectations and 44% with bearish.

如果我們考慮每筆交易的具體情況,可以準確地說,有44%的投資者以看漲的預期開盤,44%的投資者持看跌預期。

From the overall spotted trades, 4 are puts, for a total amount of $239,185 and 5, calls, for a total amount of $370,011.

在已發現的全部交易中,有4筆是看跌期權,總額爲239,185美元,5筆是看漲期權,總額爲370,011美元。

Expected Price Movements

預期的價格走勢

Based on the trading activity, it appears that the significant investors are aiming for a price territory stretching from $65.0 to $85.0 for Marvell Tech over the recent three months.

根據交易活動,看來主要投資者的目標是在最近三個月中將Marvell Tech的價格範圍從65.0美元擴大到85.0美元。

Analyzing Volume & Open Interest

分析交易量和未平倉合約

Assessing the volume and open interest is a strategic step in options trading. These metrics shed light on the liquidity and investor interest in Marvell Tech's options at specified strike prices. The forthcoming data visualizes the fluctuation in volume and open interest for both calls and puts, linked to Marvell Tech's substantial trades, within a strike price spectrum from $65.0 to $85.0 over the preceding 30 days.

評估交易量和未平倉合約是期權交易的戰略步驟。這些指標揭示了以指定行使價計算的Marvell Tech期權的流動性和投資者對它們的興趣。即將發佈的數據可視化了與Marvell Tech的大量交易相關的看漲期權和看跌期權的交易量和未平倉合約的波動,行使價在65.0美元至85.0美元之間。

Marvell Tech Option Activity Analysis: Last 30 Days

Marvell 科技期權活動分析:過去 30 天

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Largest Options Trades Observed:

觀察到的最大期權交易:

Symbol PUT/CALL Trade Type Sentiment Exp. Date Ask Bid Price Strike Price Total Trade Price Open Interest Volume
MRVL CALL SWEEP BULLISH 01/17/25 $11.2 $11.05 $11.2 $65.00 $224.0K 3.0K 200
MRVL PUT SWEEP BEARISH 11/15/24 $7.8 $7.7 $7.8 $77.50 $103.7K 697 133
MRVL PUT SWEEP BULLISH 10/18/24 $1.64 $1.59 $1.59 $67.50 $54.8K 1.9K 116
MRVL PUT SWEEP BEARISH 11/15/24 $6.4 $6.3 $6.4 $75.00 $50.5K 936 79
MRVL CALL SWEEP NEUTRAL 01/17/25 $2.94 $2.87 $2.89 $85.00 $39.3K 4.2K 272
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
MRVL 打電話 看漲 01/17/25 11.2 11.05 美元 11.2 65.00 美元 224.0 萬美元 3.0K 200
MRVL 粗魯的 11/15/24 7.8 美元 7.7 美元 7.8 美元 77.50 美元 103.7 萬美元 697 133
MRVL 看漲 10/18/24 1.64 1.59 1.59 67.50 美元 54.8 萬美元 1.9K 116
MRVL 粗魯的 11/15/24 6.4 美元 6.3 美元 6.4 美元 75.00 美元 50.5 萬美元 936 79
MRVL 打電話 中立 01/17/25 2.94 美元 2.87 美元 2.89 美元 85.00 美元 39.3 萬美元 4.2K 272

About Marvell Tech

關於Marvell Tech

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.

Marvell Technology 是一家專注於有線網絡的無晶圓廠芯片設計商,其市場份額排名第二。Marvell 爲數據中心、運營商、企業、汽車和消費終端市場提供處理器、光纖和銅纜收發器、交換機和存儲控制器。

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

在分析了與Marvell Tech相關的期權活動之後,我們轉而仔細研究公司自身的業績。

Where Is Marvell Tech Standing Right Now?

Marvell Tech 現在處於什麼位置?

  • Currently trading with a volume of 3,079,868, the MRVL's price is down by -1.66%, now at $70.92.
  • RSI readings suggest the stock is currently may be approaching overbought.
  • Anticipated earnings release is in 59 days.
  • MRVL目前的交易量爲3,079,868美元,價格下跌了-1.66%,目前爲70.92美元。
  • RSI讀數表明,該股目前可能接近超買。
  • 預計收益將在59天后發佈。

Unusual Options Activity Detected: Smart Money on the Move

檢測到不尋常的期權活動:智能貨幣在移動

Benzinga Edge's Unusual Options board spots potential market movers before they happen. See what positions big money is taking on your favorite stocks. Click here for access.

Benzinga Edge的不尋常期權委員會在潛在的市場推動者發生之前就發現了它們。看看大筆資金對你最喜歡的股票持有哪些頭寸。點擊此處訪問。

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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