Options Spy | ADBE has a troubled future, and the strike price of 400 put options exploded

Key international financial events this week include the latest earnings from chip giant Nvidia, retailers Home Depot and Walmart, as well as the minutes of the Federal Reserve's last monetary policy meeting and speeches from several Fed governors and policy makers.

Nvidia will announce its financial results for the fourth quarter of the fiscal year 2024 (as of January 28, 2024) after the U.S. stock market closed on Wednesday (21), and analysts expect the chip maker to benefit from the boom in AI, and profit and revenue will increase significantly.

Several retailers, including Home Depot and Walmart, will report their latest earnings next week. With consumer spending accounting for two-thirds of U.S. economic output, any upbeat signal from retailers would stoke confidence that household demand will help stave off a recession, and upbeat earnings and forecasts would help lift stock prices.

$Adobe(ADBE)$ On February 16, OpenAI announced the Sora video grand model. The ability to generate 60 seconds of video, both in terms of fluency and clarity, beats the average of its peers in producing 5 seconds of video. After Sora was released, Adobe fell 7.4% that day, hitting its lowest level since November 23.

Option transaction shows that institutions bought a large number of put options on the day, with a target price of 400: $ADBE 20250117 400.0 PUT$

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FANNG option active

$Tesla Motors(TSLA)$ Buy CALL option $TSLA 20250919 360.0 CALL$ ,sell PUT option $TSLA 20240308 200.0 PUT$

Option buyer open position (Single leg)

Buy TOP T/O:

$W 20250117 60.0 CALL$ $ADBE 20250117 400.0 PUT$

Buy TOP Vol:

$PBR 20240223 19.0 CALL$ $LUMN 20240419 3.0 CALL$

Option seller open position (Single leg)

Sell TOP T/O:

$MRVL 20240621 70.0 PUT$ $SMCI 20240223 1140.0 CALL$

Sell TOP Vol:

$NKLA 20240419 0.5 PUT$ $PTEN 20240315 10.0 PUT$

Note: This image data is from Tiger PC. This screen is a significant sell open position for an option contract in the market. A sell of a call option means that the trader believes that the underlying trend has peaked, and a sell of a put option means that the trader believes that the underlying trend has bottomed. These contract openings typically indicate significant activity in the underlying stock, including whether the trader is willing to accumulate a long or short option position.

Options portfolio open position

Note: This image data is from Tiger PC. This screening is a significant portfolio of options contracts in the market. Portfolio opening includes a variety of underlying trends, requiring traders to further master the basic knowledge of options for analysis and judgment.

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Disclaimer: Investing carries risk. This is not financial advice. The above content should not be regarded as an offer, recommendation, or solicitation on acquiring or disposing of any financial products, any associated discussions, comments, or posts by author or other users should not be considered as such either. It is solely for general information purpose only, which does not consider your own investment objectives, financial situations or needs. TTM assumes no responsibility or warranty for the accuracy and completeness of the information, investors should do their own research and may seek professional advice before investing.

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  • Sonsonkok
    ·02-22

    Great ariticle, would you like to share it?

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  • MayLP
    ·02-22
    Thanks for the post and sharings. 👍👍👍
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  • Eno3108
    ·02-21
    Artikel yang bagus, apakah Anda ingin membagikannya?
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  • Kristo
    ·02-22

    Great

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  • HernHern
    ·02-22
    wow
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  • Eno3108
    ·02-21

    Good

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  • Tom Chow
    ·02-21
    good
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  • KSR
    ·02-21
    👍
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  • SP.C
    ·02-20
    10 ..
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  • Mom of 2
    ·02-20
    nice
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