Whale Activity Tracker

ORCL

Oracle Corporation
2026-06-11 18:30
$184.10 -8.53% $529.5B
NEUTRAL — WATCH
No clear whale direction for ORCL. Bullish and bearish signals roughly cancel out. Insiders are net sellers (206,346 shares sold vs 34,494 bought) — management reducing exposure.
Action Plan
Options Flow
期权
LEAN BULLISH
0.73
Insider
内部交易
BEARISH
Net Sell
Smart Money
机构流向
LEAN BULLISH
40% accum
Short Interest
做空
NEUTRAL
2.0%
NEUTRAL
5.1/10
Whale Activity Rating
Distribution Neutral Accumulation
Options Flow: LEAN BULLISH
Insider: BEARISH
Institutional: LEAN BULLISH
Dark Pool: NEUTRAL
4/4 sources | Confidence: 76%
📈 Options Flow 期权异动
Unusual options volume vs open interest. High volume/OI ratio signals whale positioning. Put/Call ratio indicates directional bias.
PUT / CALL RATIO
0 (Bullish)1.02.0+ (Bearish)
0.73
LEAN BULLISH
CALL VOLUME
411,059
PUT VOLUME
300,867
TOTAL VOLUME
711,926
UNUSUAL STRIKES
10
Unusual Strikes — Vol/OI > 3x (9C / 1P)
TypeStrikeExpiryVolOIRatio
CALL$1882026-07-023493116.3x
CALL$1822026-07-10201367.0x
CALL$1852026-06-1220,18334858.0x
CALL$1802026-06-1218,81434255.0x
CALL$1822026-06-1212,84125650.2x
CALL$1782026-06-125,85813643.1x
CALL$1882026-06-127,31221534.0x
PUT$3502026-06-1833133.0x
CALL$1902026-06-1221,20776127.9x
CALL$1782026-06-181,9778224.1x
High Volume Contracts — Vol > 500 (10 contracts)
TypeStrikeExpiryVolume
PUT$1702026-06-1229,816
PUT$1752026-06-1226,739
PUT$1802026-06-1225,640
CALL$1952026-06-1222,736
CALL$1902026-06-1221,207
CALL$1902026-06-1820,473
CALL$1852026-06-1220,183
CALL$2022026-06-1219,048
CALL$1802026-06-1218,814
CALL$2002026-06-1818,486
P/C OI RATIO
0.75
TOTAL OI
1,270,342
CALL OI
727,083
PUT OI
543,259
👤 Insider Trading 内部交易
SEC Form 4 filings — officer and director buys/sells in the last 90 days. Net buying is a strong bullish signal.
14% BUY
86% SELL
SHARES BOUGHT (6m)
34,494
SHARES SOLD (6m)
206,346
NET INSIDER FLOW
-171,852
FORM 4 FILINGS (90d)
13
Recent Insider Transactions (0 buys / 10 sells / 0 grants)
TypeInsiderSharesDate
SELLLEVEY STUART A15,0002026-04-16
SELLMAGOUYRK CLAYTON M10,0002026-02-09
SELLKEHRING DOUGLAS A35,0002026-01-15
SELLHURA MARK15,0002025-12-24
SELLSELIGMAN NAOMI O2,2232025-12-23
SELLMAGOUYRK CLAYTON M10,0002025-12-19
SELLBERG JEFFREY S49,3652025-10-28
SELLSMITH MARIA10,0002025-10-23
SELLMAGOUYRK CLAYTON M40,0002025-10-21
SELLLEVEY STUART A19,7582025-10-10
🏦 Smart Money Flow 机构资金流向
Quarter-over-quarter position changes from 13F filings. Shows whether institutional investors are accumulating (buying more) or distributing (selling) — the strongest signal of whale conviction.
INSTITUTIONAL OWNERSHIP
44.0%
ACCUMULATION vs DISTRIBUTION
40% ACCUMULATING
60% DISTRIBUTING
NET SHARES FLOW
+69,065,027
FLOW SCORE
+0.26
ADDING
4
SELLING
2
Institutional Position Changes (QoQ)
ActionInstitution% HeldQoQ ΔShares Δ
★ NEW POSITIONVanguard Capital Management LLC3.86%NEW+55,557,706
★ NEW POSITIONVanguard Portfolio Management LLC1.97%NEW+28,372,838
▲ ADDINGMorgan Stanley1.01%+7.4%+2,007,279
▲ ADDINGCapital Research Global Investors1.12%+6.6%+2,001,168
▬ HOLDGeode Capital Management, LLC1.35%+3.2%+1,215,009
▬ HOLDNorthern Trust Corporation0.65%-1.0%-191,895
▬ HOLDState Street Corporation2.65%-0.3%-221,922
▬ HOLDBlackrock Inc.4.98%-3.1%-4,554,229
▼▼ HEAVY SELLFMR, LLC0.80%-21.8%-6,389,775
▼▼ HEAVY SELLJPMORGAN CHASE & CO1.13%-21.2%-8,731,152
ETF & Mutual Fund Flow (2 adding / 0 selling)
ActionFundQoQ ΔShares Δ
▬ HOLDVANGUARD INDEX FUNDS-Vanguard Total Stock Mar+1.8%+989,087
▬ HOLDVANGUARD INDEX FUNDS-Vanguard 500 Index Fund+1.6%+678,652
▬ HOLDiShares Trust-iShares Core S&P 500 ETF+0.6%+124,311
▬ HOLDFidelity Concord Street Trust-Fidelity 500 In+0.3%+75,790
▬ HOLDSPDR S&P 500 ETF TRUST-State Street SPDR S&P +2.6%+505,749
▬ HOLDVANGUARD INDEX FUNDS-Vanguard Growth Index Fu+1.8%+328,255
▬ HOLDSELECT SECTOR SPDR TRT-State Street Technolog+2.3%+297,570
▲ ADDINGGROWTH FUND OF AMERICA+10.5%+1,194,121
▬ HOLDVANGUARD WORLD FUND-Vanguard Information Tech+2.5%+271,083
▲▲ HEAVY BUINVESTMENT CO OF AMERICA+24.0%+2,009,868
🕶 Short Interest & Dark Pool 做空 & 暗池
Short interest as % of float and days-to-cover. Rising SI = bearish pressure. High SI + decreasing = shorts covering (bullish). Squeeze risk rated by SI level.
SHORT INTEREST (% OF FLOAT)
0%10%20%30%+
SHORT % FLOAT
2.0%
DAYS TO COVER
1.6
SI CHANGE (MoM)
↑ 11.2%
SQUEEZE RISK
MINIMAL
SHARES SHORT
34,872,175
PRIOR MONTH
31,351,305
FLOAT SHARES
1,710,107,600
AVG VOLUME
26,134,853
📡 Data Sources 数据来源
Options Flow
LEAN BULLISH (80%)
Insider Trading
BEARISH (90%)
Smart Money Flow
LEAN BULLISH (75%)
Short Interest
NEUTRAL (60%)
📋 Summary 综合摘要