HMC: Someone Just Bet $24 Million on Honda's October Surge!
HMC whale trade: $24M bullish activity spotted. Big money just dumped $23.8 MILLION selling call options on Honda Motor Company! π¨ Three massive trades hit the tape within seconds - someone's either Unusual score 8.5/10. Complete analysis with gamma levels and trading strategies for different ris...
π― The Quick Take
Big money just dumped $23.8 MILLION selling call options on Honda Motor Company! π¨ Three massive trades hit the tape within seconds - someone's either cashing out their bullish bets or collecting premium like it's Black Friday. With HMC trading at $33.13 and these strikes all below current price, this whale is either taking profits or betting Honda stays rangebound through October expiration.
π° The Option Flow Breakdown
π What Just Happened
Here's the exact tape from today's trading - and folks, this is NOT normal activity:
| Time | Symbol | Buy/Sell | Call/Put | Expiration | Strike | Premium | Volume | OI | Size | Spot | Option Price | Option Symbol |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 13:52:27 | HMC | SELL | CALL | 2025-10-17 | $25.00 | $12M | 18K | 1.5K | 15,000 | $33.13 | $8.00 | HMC20251017C25 |
| 13:52:27 | HMC | SELL | CALL | 2025-10-17 | $30.00 | $7.1M | 29K | 5K | 23,500 | $33.13 | $3.00 | HMC20251017C30 |
| 13:52:27 | HMC | SELL | CALL | 2025-10-17 | $27.50 | $4.7M | 11K | 861 | 8,500 | $33.13 | $5.50 | HMC20251017C27.5 |
π€ What This Actually Means
Real talk: Someone just collected nearly $24 million in premium selling deep in-the-money calls! πΈ
Let me break this down in plain English:
- All these strikes ($25, $27.50, $30) are BELOW the current stock price ($33.13)
- These are deep ITM (in-the-money) calls - basically stock replacements
- The seller is either:
1. Taking profits - They bought these calls cheap and are cashing out
2. Covered calls - They own 4.7 million shares and are collecting premium
3. Rolling positions - Moving to different strikes/dates
The unusual score on that $12M trade? It's literally off the charts - 18,719x larger than average! This happens... well, NEVER. We're watching institutional money make moves! π
π Technical Setup / Chart Check-Up
YTD Chart Analysis
Honda's had a solid 2025 so far! π
- YTD Return: +16.51% (crushing the market!)
- Current Price: $33.12
- YTD Range: $28.43 to $35.00 (we're near the highs)
- Max Drawdown: -17.79% (that April dip was brutal)
- Volatility: 33.5% (buckle up, this thing moves!)
The chart shows Honda grinding higher since that April bottom, with strong volume spikes in January and August. We're currently consolidating near the highs - classic setup before the next move!
Gamma-Based Support & Resistance Analysis
Let me translate these gamma levels for you - think of them as "magnetic price zones" where options activity is concentrated:
Major Resistance Levels (where Honda might stall): π
- $35.00 - MASSIVE call gamma wall here! This is where most call sellers are defending
- Call Gamma: 2.16M | Distance: +5.7% from here
- Translation: Heavy selling pressure if we approach $35
- $37.50 - Secondary resistance
- Call Gamma: 153K | Distance: +13.2% from here
- Translation: If we break $35, this is the next speed bump
Major Support Levels (where dip buyers emerge): π΅
- $32.50 - STRONGEST support zone
- Net Gamma: 1.37M | Distance: -1.9% below
- Translation: Options dealers will defend this level hard
- $30.00 - Psychological support
- Distance: -9.4% below
- Translation: Major buying likely emerges here
Current Price Action: Honda's trading at $33.11, sitting right between major support at $32.50 and resistance at $35. The gamma profile suggests we're in a "pinned" zone - expect range-bound action unless a catalyst breaks us out!
πͺ Catalysts
π Upcoming Events
November 5, 2025 - Q2 Earnings π
Mark your calendars! Honda reports Q2 earnings with consensus EPS of $1.15. The company already raised full-year profit guidance to Β₯700 billion despite tariff headwinds.
2026 - Honda 0 Series EV Launch πβ‘
Honda's launching a sub-$30,000 EV in North America! Production starts at their Ohio EV Hub in early 2026.
2025-2026 - Hybrid Vehicle Expansion π
Honda's doubling down on hybrids with 13 new models by 2031. They're targeting 2.2 million hybrid sales by 2030!
β Recent/Completed Events
August 2025 - Strategic Pivot Announcement
Honda cut EV investment by 30% (from $69B to $48.4B) and shifted focus to hybrids. Smart move as EV demand softens!
Q1 2025 - Tariff Impact
Q1 operating profit halved due to 27.5% U.S. tariffs, costing Honda Β₯125 billion. But they're adapting!
π² Price Targets & Probabilities
Based on our gamma analysis and upcoming catalysts, here's where HMC could be headed:
π Bull Case (30% chance) - Target: $35.00
If Q2 earnings crush expectations and hybrid momentum accelerates, we test that massive gamma wall at $35. Breaking above opens the door to $37.50! The analyst consensus target of $37.19 supports this move.
π Base Case (50% chance) - Target: $33.00-$34.00
Most likely scenario: Honda stays range-bound between gamma levels. The heavy call selling today suggests the smart money expects sideways action through October expiration. We ping-pong between $32.50 support and $35 resistance.
π° Bear Case (20% chance) - Target: $30.00
If earnings disappoint or EV transition costs surprise to the downside, we could test that $30 psychological support. The $32.50 gamma support should hold first, but a break opens the trapdoor.
π‘ Trading Ideas
π‘οΈ Conservative: "The Premium Collector"
Sell Oct 18 $31 Puts
- Collect ~$0.40 premium (1.3% return in 3 weeks)
- Break-even: $30.60 (7.6% downside protection)
- Why it works: Strong gamma support at $32.50 protects you
βοΈ Balanced: "The Spread Eagle"
Oct 18 $32/$35 Call Spread
- Buy $32 calls at $1.50, Sell $35 calls at $0.30
- Net cost: $1.20 | Max profit: $1.80 (150% return)
- Why it works: Profits from move to gamma resistance without fighting it
π Aggressive: "The Earnings YOLO"
Nov 15 $36 Calls (captures earnings)
- Cost: ~$0.85 per contract
- Needs 8.7% move to profit
- Why it works: If earnings beat and guidance raises, we blast through $35 resistance
β οΈ Risk Factors
Let's keep it real - here's what could go wrong:
- Tariff Troubles π’ - That 27.5% U.S. tariff is eating profits alive
- EV Transition Costs β‘ - Already took a $113M charge in Q1
- China Competition π¨π³ - BYD and others eating market share
- Yen Volatility π± - Currency swings can crush earnings
- Today's Seller Knows Something π - When someone dumps $24M in calls, pay attention!
π― The Bottom Line
Real talk: Someone just made a MASSIVE bet that Honda stays below $35 through October expiration. This isn't your average trade - we're talking institutional size that happens maybe once in a stock's lifetime!
If you own HMC: Consider taking some profits or selling covered calls like our whale friend
If you're watching: Wait for a break of $32.50 support or $35 resistance before jumping in
If you're bearish: That $24M call seller might be onto something - consider put spreads
The next big catalyst is November 5th earnings. Until then, expect Honda to stay range-bound between $32.50 and $35 unless something breaks. The options market is telling us to be patient!
Remember: Options can go to zero faster than a Honda Civic at a stoplight. Never bet more than you can afford to lose! π
Disclaimer: This is not financial advice. Options trading involves substantial risk and is not suitable for all investors. Always do your own research and consult with a financial advisor.