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Unpacking the Latest Options Trading Trends in JPMorgan Chase

Unpacking the Latest Options Trading Trends in JPMorgan Chase

分析摩根大通最新的期權交易趨勢
Benzinga ·  2024/12/10 02:45

Financial giants have made a conspicuous bullish move on JPMorgan Chase. Our analysis of options history for JPMorgan Chase (NYSE:JPM) revealed 33 unusual trades.

金融巨頭對摩根大通採取了明顯的看好舉動。我們對摩根大通(紐交所:JPM)的期權歷史分析顯示出33筆飛凡交易。

Delving into the details, we found 48% of traders were bullish, while 42% showed bearish tendencies. Out of all the trades we spotted, 6 were puts, with a value of $802,019, and 27 were calls, valued at $1,543,493.

深入分析細節,我們發現48%的交易者持看好觀點,而42%則表現出看淡傾向。在我們發現的所有交易中,有6筆看跌期權,價值802,019美元,27筆看漲期權,價值1,543,493美元。

What's The Price Target?

目標價是多少?

After evaluating the trading volumes and Open Interest, it's evident that the major market movers are focusing on a price band between $180.0 and $360.0 for JPMorgan Chase, spanning the last three months.

在評估成交量和持倉量後,很明顯主要市場參與者正在關注摩根大通的價格區間在180.0美元到360.0美元之間,跨度爲過去三個月。

Analyzing Volume & Open Interest

分析成交量和未平倉合約

Examining the volume and open interest provides crucial insights into stock research. This information is key in gauging liquidity and interest levels for JPMorgan Chase's options at certain strike prices. Below, we present a snapshot of the trends in volume and open interest for calls and puts across JPMorgan Chase's significant trades, within a strike price range of $180.0 to $360.0, over the past month.

研究成交量和持倉量提供了對股票研究的重要洞察。該信息對於衡量摩根大通在某些執行價格的期權流動性和興趣水平至關重要。下文我們展示了在過去一個月中,摩根大通重大交易的看漲和看跌期權的成交量與持倉量趨勢快照,執行價格範圍在180.0到360.0美元之間。

JPMorgan Chase Call and Put Volume: 30-Day Overview

JP摩根大通看漲和看跌期權成交量:30天概覽

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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
JPM PUT TRADE BEARISH 06/20/25 $7.0 $6.9 $7.0 $225.00 $490.0K 545 704
JPM CALL SWEEP BULLISH 08/15/25 $10.5 $10.45 $10.5 $270.00 $162.2K 901 155
JPM CALL TRADE BEARISH 12/20/24 $8.35 $8.15 $8.2 $240.00 $151.6K 11.7K 42
JPM CALL SWEEP NEUTRAL 08/15/25 $10.45 $10.4 $10.45 $270.00 $143.0K 901 462
JPM PUT SWEEP BULLISH 01/16/26 $115.5 $111.05 $111.0 $360.00 $111.0K 0 10
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
摩根大通 看跌 交易 看淡 06/20/25 $7.0 $6.9 $7.0 $225.00 $490.0K 545 704
摩根大通 看漲 SWEEP BULLISH 08/15/25 $10.5 $10.45 $10.5 $270.00 $162.2K 901 155
摩根大通 看漲 交易 看淡 12/20/24 $8.35 $8.15 $8.2 $240.00 $151.6K 11.7K 42
摩根大通 看漲 SWEEP 中立 08/15/25 $10.45 $10.4 $10.45 $270.00 $143.0K 901 462
摩根大通 看跌 SWEEP BULLISH 01/16/26 $115.5 $111.05 $111.0 $360.00 $111.0K 0 10

About JPMorgan Chase

關於摩根大通

JPMorgan Chase is one of the largest and most complex financial institutions in the United States, with nearly $4.1 trillion in assets. It is organized into four major segments--consumer and community banking, corporate and investment banking, commercial banking, and asset and wealth management. JPMorgan operates, and is subject to regulation, in multiple countries.

摩根大通是美國最大、最複雜的金融機構之一,擁有近4.1萬億美元的資產。它分爲四個主要板塊——消費和社區銀行業務、公司和投資銀行業務、商業銀行業務和資產和财富管理。摩根大通在多個國家運營並受到監管。

In light of the recent options history for JPMorgan Chase, it's now appropriate to focus on the company itself. We aim to explore its current performance.

考慮到摩根大通最近的期權交易歷史,現在適合關注公司本身。我們旨在探究其當前的業績。

JPMorgan Chase's Current Market Status

摩根大通的當前市場狀態

  • Trading volume stands at 2,568,133, with JPM's price down by -0.88%, positioned at $245.17.
  • RSI indicators show the stock to be may be approaching overbought.
  • Earnings announcement expected in 37 days.
  • 交易量爲2,568,133,摩根大通的股價下跌了-0.88%,當前價爲$245.17。
  • RSI指標顯示該股票可能接近超買。
  • 期權交易會帶來更高的風險和潛在的回報。精明的交易者通過不斷地自我學習、調整自己的策略、監控多個因子並密切關注市場動向來管理這些風險。通過Benzinga Pro實時提醒了解最新的美國運通期權交易情況。

Unusual Options Activity Detected: Smart Money on the Move

檢測到期權異動:智慧資金在行動。

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的期權異動模塊可以提前發現潛在的市場熱點。了解大筆的資金在您喜歡的股票上的倉位變動。點擊這裏獲取訪問權限。

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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