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CLF Options Chain – 2026-01-16

Detailed CLF options chain for 2026-01-16 – real-time call and put contracts with last price, bid/ask, volume, open interest, implied volatility, and in-the-money status.

Tip: Use this page together with the price chart, short-term prediction, and multi-expiry options overview to build a complete view of positioning and risk for CLF.

CLF Call Options — 2026-01-16 Expiration

This page focuses on a single options expiration date for CLF – 2026-01-16 – and lists every available call and put contract in a clean chain view. Each row shows the contract symbol, last trade, bid/ask quotes, daily change, percentage change, trading volume, open interest, implied volatility (IV), and whether the option is currently in-the-money (ITM).

Traders often use a specific expiry’s options chain to identify key strike levels, unusual activity, and risk hedging behavior. High open interest around certain strikes or sudden spikes in volume can reveal where large traders and market makers are concentrating their positions for CLF into 2026-01-16.

This CLF 2026-01-16 options chain provides a complete strike-by-strike breakdown of pricing, liquidity and volatility. By comparing changes in volume, open interest distribution and IV across calls and puts, traders can understand where the market is positioning ahead of this specific expiration date.

CLF Put Options — 2026-01-16 Expiration

The table below shows all call options on CLF expiring on 2026-01-16. You can quickly compare strikes, pricing, liquidity (volume and open interest), and implied volatility to spot popular strike zones and potential directional bets.

Contract Strike Last Bid Ask Volume Open Int. Implied Vol ITM
CLF 260116C00020000 20.00 0.03 0.02 0.04 8 28475 71.88%
CLF 260116C00015000 15.00 0.35 0.32 0.37 319 26229 52.05%
CLF 260116C00012000 12.00 2.05 2 2.1 21 16107 58.20% ITM
CLF 260116C00022000 22.00 0.03 0 0.05 5 14206 84.38%
CLF 260116C00010000 10.00 3.9 3.8 4 47 12412 68.75% ITM
CLF 260116C00008000 8.00 5.82 5.75 6 56 10084 81.25% ITM
CLF 260116C00017000 17.00 0.09 0.08 0.1 3 10008 57.03%
CLF 260116C00014000 14.00 0.7 0.61 0.76 206 9143 51.37%
CLF 260116C00025000 25.00 0.03 0 0.18 985 8371 126.17%
CLF 260116C00013000 13.00 1.29 1.22 1.34 2 7902 54.69% ITM
CLF 260116C00016000 16.00 0.16 0.15 0.17 141 7485 52.73%
CLF 260116C00019000 19.00 0.04 0 0.54 19 5423 104.10%
CLF 260116C00007000 7.00 6.86 6.8 7.05 7 4141 145.31% ITM
CLF 260116C00011000 11.00 2.8 2.79 3.05 69 3862 57.42% ITM
CLF 260116C00035000 35.00 0.01 0 0.01 37 3726 125.00%
CLF 260116C00030000 30.00 0.01 0 0.05 5 3452 128.13%
CLF 260116C00018000 18.00 0.06 0.03 0.06 1051 2087 58.59%
CLF 260116C00009000 9.00 4.95 4.2 5.2 1 1938 155.08% ITM
CLF 260116C00027000 27.00 0.01 0 0.06 5 1866 116.41%
CLF 260116C00005000 5.00 8.17 8.1 9 4 1499 247.66% ITM
CLF 260116C00003000 3.00 12.95 8.85 9.8 2 257 0.00% ITM
CLF 260116C00006000 6.00 7.55 7.05 8.55 5 254 334.38% ITM
CLF 260116C00001000 1.00 12.86 12.45 13.05 21 53 707.81% ITM
CLF 260116C00002000 2.00 12.2 11.5 12.55 1 31 481.25% ITM
CLF 260116C00026000 26.00 0.08 0 0.06 30 30 110.94%
CLF 260116C00024000 24.00 0.07 0 0.15 22 16 115.63%
CLF 260116C00021000 21.00 0.07 0 0.08 3 9 82.81%
CLF 260116C00004000 4.00 7.25 9.05 10.55 10 8 474.22% ITM
CLF 260116C00029000 29.00 0.01 0 0.75 3 5 200.78%
CLF 260116C00023000 23.00 0.07 0 0.75 1 4 156.25%

CLF Put Options Chain – 2026-01-16

The table below lists all put options on CLF expiring on 2026-01-16. Use it to track downside protection demand, hedge activity, and deep out-of-the-money puts that may indicate tail-risk hedging or speculation.

Contract Strike Last Bid Ask Volume Open Int. Implied Vol ITM
CLF 260116P00010000 10.00 0.04 0.04 0.05 6 27398 75.00%
CLF 260116P00005000 5.00 0.02 0 0.55 14 19245 297.66%
CLF 260116P00012000 12.00 0.17 0.16 0.19 22 13033 57.81%
CLF 260116P00015000 15.00 1.47 1.19 1.81 10 11959 54.10% ITM
CLF 260116P00008000 8.00 0.02 0.01 0.02 42 10835 96.88%
CLF 260116P00011000 11.00 0.07 0.07 0.09 13 6844 64.45%
CLF 260116P00016000 16.00 2.95 1.99 2.7 10 3310 58.59% ITM
CLF 260116P00007000 7.00 0.01 0 0.55 13 3208 210.94%
CLF 260116P00006000 6.00 0.01 0 0.25 21 3070 206.25%
CLF 260116P00009000 9.00 0.04 0 0.25 34 2781 117.97%
CLF 260116P00022000 22.00 9.1 7.5 9 400 2249 111.13% ITM
CLF 260116P00017000 17.00 4.22 2.7 3.8 9 2162 61.52% ITM
CLF 260116P00013000 13.00 0.43 0.38 0.44 3 1993 54.88%
CLF 260116P00020000 20.00 6.9 5.5 7 10 1738 93.75% ITM
CLF 260116P00003000 3.00 0.03 0 0.04 3 1734 262.50%
CLF 260116P00014000 14.00 0.86 0.8 0.9 52 1694 53.91% ITM
CLF 260116P00004000 4.00 0.05 0 0.05 1 1358 221.88%
CLF 260116P00018000 18.00 5.05 3.65 4.75 15 113 64.45% ITM
CLF 260116P00001000 1.00 0.02 0 0.02 1 79 418.75%
CLF 260116P00002000 2.00 0.01 0 0.01 1 53 287.50%
CLF 260116P00019000 19.00 6.6 4.65 5.85 4 17 83.98% ITM
CLF 260116P00025000 25.00 13.55 11.5 12.05 3 0 202.34% ITM
CLF 260116P00027000 27.00 19.82 19.35 19.45 70 0 632.81% ITM
CLF 260116P00030000 30.00 17.15 16.9 19.2 5 0 347.27% ITM
CLF 260116P00035000 35.00 22.75 23.7 26.55 5 0 526.76% ITM

CLF 2026-01-16 Options Chain FAQ

1. What does this CLF options chain for 2026-01-16 show?

This page displays the full CLF options chain for contracts expiring on 2026-01-16. Both call and put tables include contract symbols, last trade price, bid/ask quotes, daily change and percentage change, trading volume, open interest, implied volatility, and an in-the-money (ITM) flag. It is designed to give you a complete snapshot of how the market is pricing risk and direction for this specific expiry.

2. How can I use this CLF options chain around key events?

Around earnings, macro data releases, or company-specific news, traders often focus on a single expiration such as 2026-01-16. By monitoring changes in implied volatility, volume, and open interest for each strike, you can see where traders are concentrating their bets and hedges. Large shifts in activity on out-of-the-money calls or puts can be early signs of expected volatility or directional moves in CLF.

3. What is the difference between in-the-money and out-of-the-money options here?

The ITM column highlights whether a contract is currently in-the-money for CLF: call options are ITM when their strike is below the current stock price, while put options are ITM when their strike is above the current stock price. ITM contracts have intrinsic value, while out-of-the-money options are purely time and volatility value. This distinction helps you quickly identify which strikes are already “in the money” for this expiry.

4. How should I read implied volatility (IV) in this CLF options table?

Implied volatility reflects how much movement the market expects for CLF between now and 2026-01-16. Higher IV typically means options are more expensive and the market is pricing in larger potential moves. You can compare IV across strikes and between calls and puts to identify skew – for example, expensive downside puts may indicate demand for crash protection, while rich upside calls can signal speculative interest.

5. Can this single-expiry chain replace a full multi-expiry options overview?

No. This 2026-01-16 options chain gives a granular view for one maturity only. For a complete picture of positioning in CLF, you should also review the multi-expiry options overview where you can compare put/call ratios, total open interest and volume across different expiration dates. Combining both perspectives helps you understand whether traders are focused on very short-term moves or longer-dated themes.

6. How often is this CLF options chain for 2026-01-16 updated?

The CLF options data on this page is refreshed regularly during market hours to reflect the latest trades, mid-market quotes, and open interest updates. Intraday changes in volume, open interest, and implied volatility can provide important signals about how sentiment and risk pricing are evolving as 2026-01-16 approaches.