MetaCap

Pattern Group Series A (PTRN) Options Chain

NASDAQ: PTRNConsumer DiscretionaryCatalog/Specialty DistributionUSD

18.42+0.07 (+0.38%)

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

Expiration date

Expiration
Nov 20, 2026
Days to expiration
41
Share price
$18.42
Put/call ratio (OI)
0.17
Put/call ratio (volume)
0.33
Expected move
±$5.30
Open interest (C / P)
107 / 18

PTRN options summary

The PTRN options chain for the November 20, 2026 expiration lists 5 call and 4 put contracts, with 41 days until expiration. Open interest stands at 107 calls and 18 puts, a put/call ratio of 0.17, which is tilted bullish, with calls outnumbering puts. At-the-money implied volatility near the $17.50 strike is 85.9%, which implies the market expects a move of about ±$5.30 (28.8%) in Pattern Group Series A stock by expiration.

The most open interest sits at the $17.50 call (83 contracts) and the $17.50 put (8 contracts).

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

PTRN options chain · November 20, 2026

PTRN calls and puts by strike price. Shaded cells are in the money.
CallsPuts
LastBidAskStrikeBidAskLast
———12.500.002.200.40
4.003.305.3015.000.002.251.00
2.001.902.9517.500.902.702.00
1.350.102.1520.002.204.903.30
0.650.300.6522.50———
0.850.000.9525.00———

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 PTRN put/call ratio?

For the November 20, 2026 expiration, the PTRN put/call ratio based on open interest is 0.17 (18 puts vs 107 calls), and 0.33 based on today's volume. A ratio above 1 means more puts than calls.

What is PTRN's implied volatility?

At-the-money implied volatility for PTRN options expiring November 20, 2026 is about 85.9%, an annualized estimate of how much the market expects Pattern Group Series A stock to move.

How many PTRN option expiration dates are there?

PTRN has 4 listed expiration dates, from Oct 16, 2026 to Mar 19, 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.

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