UAL had some large option trades today, if you go through the Time-and-Sales I think you might decide they were buy orders. If not can you explain your theories please? Do you think the Nov $62.50 calls were matched with the December $62.50s because of the time of purchase?
Nov $62.50 Calls
10:15:50 Bid 1.53 x $1.57 3394@$1.59
11:19:48 Bid $1.48 x $1.53 4232 @ $1.50
Total Volume for for the Nov $62.50 Calls was 16,894 contracts. I wonder how long it takes to shop a order of that size?
With December $62.50 Calls 2761 @ 2.38 was $.01 above the offer at 14:00:02
Nov $62.50 Calls
10:15:50 Bid 1.53 x $1.57 3394@$1.59
11:19:48 Bid $1.48 x $1.53 4232 @ $1.50
Total Volume for for the Nov $62.50 Calls was 16,894 contracts. I wonder how long it takes to shop a order of that size?
With December $62.50 Calls 2761 @ 2.38 was $.01 above the offer at 14:00:02
