пятница, 29 июня 2018 г.

Fiserv stock options


Fiserv Inc (FISV)
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Volume: 408,458 Bid/Ask: 129.92 / 130.49 Day's Range: 130.19 - 130.98.
Fiserv Option Chain.
FISV Call 120.00 Exp: Jan 19, 2018 Last: 12.39 Chg.: -0.84.
FISV Put 120.00 Exp: Jan 19, 2018 Last: 0.3 Chg.: -0.14.
FISV Call 125.00 Exp: Jan 19, 2018 Last: 6.3 Chg.: -0.51.
FISV Put 125.00 Exp: Jan 19, 2018 Last: 0.35 Chg.: -0.3.
FISV Call 130.00 Exp: Jan 19, 2018 Last: 2.7 Chg.: -1.
FISV Put 130.00 Exp: Jan 19, 2018 Last: 1.5 Chg.: 0.05.
FISV Call 135.00 Exp: Jan 19, 2018 Last: 0.43 Chg.: -0.24.
FISV Put 135.00 Exp: Jan 19, 2018 Last: 4 Chg.: 0.
FISV Call 140.00 Exp: Jan 19, 2018 Last: 0.08 Chg.: -0.07.
FISV Put 140.00 Exp: Jan 19, 2018 Last: 11.7 Chg.: 0.
FISV Call 145.00 Exp: Jan 19, 2018 Last: 0 Chg.: 0.
FISV Put 145.00 Exp: Jan 19, 2018 Last: 0 Chg.: 0.
Open Positions.
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Fiserv, Inc. (FISV)
(Real Time Quote from BATS)
Updated Dec 22, 2017 03:58 PM ET.
After-Market: $ 130.36 0.00 (0.00%) 4:18 PM ET.
C Value | C Growth | C Momentum | C VGM.
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Fiserv, Inc. (FISV) Quote Overview » Quotes » Fiserv, Inc. (FISV) Option Chain.
Option Chain.
The Style Scores are a complementary set of indicators to use alongside the Zacks Rank. It allows the user to better focus on the stocks that are the best fit for his or her personal trading style.
The scores are based on the trading styles of Value, Growth, and Momentum. There's also a VGM Score ('V' for Value, 'G' for Growth and 'M' for Momentum), which combines the weighted average of the individual style scores into one score.
Within each Score, stocks are graded into five groups: A, B, C, D and F. As you might remember from your school days, an A, is better than a B; a B is better than a C; a C is better than a D; and a D is better than an F.
As an investor, you want to buy stocks with the highest probability of success. That means you want to buy stocks with a Zacks Rank #1 or #2, Strong Buy or Buy, which also has a Score of an A or a B in your personal trading style.
Zacks Style Scores Education - Learn more about the Zacks Style Scores.
The Zacks Equity Research reports , or ZER for short, are our in-house, independently produced research reports.
The ever popular one-page Snapshot reports are generated for virtually every single Zacks Ranked stock. It's packed with all of the company's key stats and salient decision making information. Including the Zacks Rank, Zacks Industry Rank, Style Scores, the Price, Consensus & Surprise chart, graphical estimate analysis and how a stocks stacks up to its peers.
The detailed multi-page Analyst report does an even deeper dive on the company's vital statistics. In addition to all of the proprietary analysis in the Snapshot, the report also visually displays the four components of the Zacks Rank (Agreement, Magnitude, Upside and Surprise); provides a comprehensive overview of the company business drivers, complete with earnings and sales charts; a recap of their last earnings report; and a bulleted list of reasons to buy or sell the stock. It also includes an industry comparison table to see how your stock compares to its expanded industry, and the S&P 500.
Researching stocks has never been so easy or insightful as with the ZER Analyst and Snapshot reports.
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Fiserv stock options


Stocks: 15 minute delay (Bats is real-time), ET. Volume reflects consolidated markets. Futures and Forex: 10 or 15 minute delay, CT.
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Stocks: 15 minute delay (Bats is real-time), ET. Volume reflects consolidated markets. Futures and Forex: 10 or 15 minute delay, CT.
Barchart allows you to view options by Expiration Date (select the expiration month/year using the drop-down menu at the top of the page).
Options information is delayed a minimum of 30 minutes, and is updated once an hour, with the first update at 10:30am ET.
Select an options expiration date from the drop-down list at the top of the table, and select "Near-the-Money" or "Show All' to view all options.
You can also view options in a Stacked or Side-by-Side view. The View setting determines how Puts and Calls are listed on the quote. For both views, "Near-the-Money" Calls are Puts are highlighted:
Near-the-Money - Puts : Strike Price is greater than the Last Price.
Near-the-Money - Calls : Strike Price is less than the Last Price.
For the selected Options Expiration date, the information listed at the top of the page includes:
Options Expiration: The last day on which an option may be exercised, or the date when an option contract ends. Also includes the number of days till options expiration (this number includes weekends and holidays).
Stacked View.
A Stacked view lists Puts and Calls one on top of the other, sorted by Strike Price.
Strike : The price at which the contract can be exercised. Strike prices are fixed in the contract. For call options, the strike price is where the shares can be bought (up to the expiration date), while for put options the strike price is the price at which shares can be sold. The difference between the underlying contract's current market price and the option's strike price represents the amount of profit per share gained upon the exercise or the sale of the option. This is true for options that are in the money; the maximum amount that can be lost is the premium paid. Last : The last traded price for the options contract. % From Last : The percent from the last price: (strike price - last / last) Bid : The bid price for the option. Midpoint : The midpoint between the bid and ask. Ask : The ask price for the option. Change: The difference between the current price and the previous day's settlement price. %Change: The difference between the current price and the previous day's settlement price, expressed as a percent. IV : Implied Volatility is the estimated volatility of the underlying stock over the period of the option. Volume : The total number of option contracts bought and sold for the day, for that particular strike price. Open Interest : Open Interest is the total number of open option contracts that have been traded but not yet liquidated via offsetting trades for that date.
Side-by-Side View.
A Side-by-Side View lists Calls on the left and Puts on the right.
Last : The last traded price for the options contract. %Change: The difference between the current price and the previous day's settlement price, expressed as a percent. Bid : The bid price for the option. Ask : The ask price for the option. Volume : The total number of option contracts bought and sold for the day, for that particular strike price. Open Interest : Open Interest is the total number of open option contracts that have been traded but not yet liquidated via offsetting trades for that date. Strike : The price at which the contract can be exercised. Strike prices are fixed in the contract. For call options, the strike price is where the shares can be bought (up to the expiration date), while for put options the strike price is the price at which shares can be sold. The difference between the underlying contract's current market price and the option's strike price represents the amount of profit per share gained upon the exercise or the sale of the option. This is true for options that are in the money; the maximum amount that can be lost is the premium paid.

Fiserv, Inc. (FISV) Option Chain.
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Call and put options are quoted in a table called a chain sheet. The chain sheet shows the price, volume and open interest for each option strike price and expiration month.
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