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ACI Options Chain by Expiration – Open Interest & Put/Call Ratio

Explore the ACI options chain aggregated by expiration date, with call and put open interest, total OI and put/call ratios. Use this overview to spot where options positioning is most concentrated and which expirations carry bullish, bearish or neutral sentiment for ACI.

Market Sentiment from ACI Options by Expiration Date

The table below aggregates ACI options data by expiration date, including call volume, put volume, total open interest and the put/call ratio. Each row is assigned a sentiment label and numerical sentiment score, highlighting expirations where positioning is extremely bullish, defensive or balanced. Click on an expiration date to drill down into the detailed options chain for that maturity.

Expiration Date Call OI Put OI Total Open Interest Put/Call Ratio
2026-08-28 1468 920 2388 0.627
2026-09-04 918 778 1696 0.847
2026-09-11 186 421 607 2.263
2026-09-18 3242 3394 6636 1.047
2026-09-25 187 24 211 0.128
2026-10-02 29 17 46 0.586
2026-10-16 10073 4363 14436 0.433
2027-01-15 45744 11087 56831 0.242
2027-04-16 11 6 17 0.545
2028-01-21 11413 3830 15243 0.336

How the Options Sentiment Score Is Calculated

This sentiment framework evaluates market bias for ACI based on aggregated options data by expiration date. The key metrics are:

  • Put/Call Ratio (PCR): Compares put and call activity. A higher PCR usually indicates more defensive or bearish positioning, while a lower PCR suggests bullish call demand.
  • Open Interest (OI): Represents the number of outstanding option contracts. Higher open interest reflects strong market attention, hedging activity or speculative positioning around ACI.
  • Unusual activity ⚠️: Expirations with extreme PCR or unusually high OI are flagged with a warning icon, signaling concentrated bets, hedging pressure or potential event-driven risk.

The sentiment score combines PCR and OI into a 0–100 scale, then classifies each expiration into intuitive labels such as Strong Bullish, Moderate Bullish, Neutral, Moderate Bearish, Strong Bearish. Higher scores reflect more aggressive bullish positioning in ACI options, while lower scores highlight more defensive or bearish structures.