MetaCap

Otter Tail (OTTR) Options Chain

NASDAQ: OTTRUtilitiesElectric Utilities: CentralUSD

87.46-0.87 (-0.98%)

At close: Oct 9, 4:00 PM ET · Delayed 15 min

Expiration date

Expiration
Jan 15, 2027
Days to expiration
96
Share price
$87.46
Put/call ratio (OI)
0.23
Put/call ratio (volume)
0.37
Expected move
±$15.33
Open interest (C / P)
212 / 48

OTTR options summary

The OTTR options chain for the January 15, 2027 expiration lists 6 call and 8 put contracts, with 96 days until expiration. Open interest stands at 212 calls and 48 puts, a put/call ratio of 0.23, which is tilted bullish, with calls outnumbering puts. At-the-money implied volatility near the $85.00 strike is 34.2%, which implies the market expects a move of about ±$15.33 (17.5%) in Otter Tail stock by expiration.

The most open interest sits at the $95.00 call (157 contracts) and the $95.00 put (24 contracts).

Summary generated from market data by MetaCap's automated system. Methodology

OTTR options chain · January 15, 2027

OTTR calls and puts by strike price. Shaded cells are in the money.
CallsPuts
LastBidAskStrikeBidAskLast
———45.000.000.001.90
38.2838.0042.4050.00———
———65.000.000.001.00
17.8016.5020.5070.000.000.002.43
———75.000.004.801.40
13.2211.5016.3080.000.004.001.50
———85.000.504.902.21
4.501.004.9090.002.606.504.75
2.171.304.0095.006.408.106.50
1.200.003.80100.00———

In-the-money callsIn-the-money puts. IV = implied volatility, OI = open interest (contracts). Each contract covers 100 shares. Quotes delayed at least 15 minutes.

Frequently asked questions

What is the OTTR put/call ratio?

For the January 15, 2027 expiration, the OTTR put/call ratio based on open interest is 0.23 (48 puts vs 212 calls), and 0.37 based on today's volume. A ratio above 1 means more puts than calls.

What is OTTR's implied volatility?

At-the-money implied volatility for OTTR options expiring January 15, 2027 is about 34.2%, an annualized estimate of how much the market expects Otter Tail stock to move.

How many OTTR option expiration dates are there?

OTTR has 4 listed expiration dates, from Oct 16, 2026 to Apr 16, 2027.

What does "in the money" mean?

A call is in the money when the strike price is below the current share price; a put is in the money when the strike is above it. In-the-money contracts have intrinsic value and are shaded in the table.

Related