Opendoor Technologies Inc. (OPEN) Options Volume

166,690 Opendoor Technologies Inc. (OPEN) option contracts changed hands in the latest session, at a put/call volume ratio of 0.23. This page tracks how actively OPEN options trade — contracts and dollars — and flags individual contracts running far above their own 30-day average volume.

Data as of Jul 10, 2026, 8:00 PM ET · OPRA data 15 minutes delayed · For information only — not investment advice.

Last close
$4.86
52-week range
$0.78 – $10.47
ATM IV (30d)
97.0%
IV rank
14 / 100
Low
Expected move
±$1.30 (±26.9%)
Put/call OI
0.20
Call-heavy
Max pain
$3
↓ 38.2% below close
Next earnings
Aug 4, 2026

Options Volume & Premium Flow

Total options volume166,690
Call volume135,531
Put volume31,159
Put/call volume ratio0.23
Listed contracts506
Call premium traded$2.47M
Put premium traded$1.33M
Premium put/call ratio0.54
Open interest rank (31 day)91 / 100
Skew rank (31 day)41 / 100

OPEN Options Volume Trend

0107.6K215.2K322.8K430.5KFeb '26May '26Jul '26

OPEN total options volume per session, past year.

0.000.250.510.761.02Feb '26May '26Jul '26

OPEN put/call volume ratio, past year.

OPEN Unusual Options Activity

Contracts trading at least 3× their own 30-day average volume (minimum 500 contracts):

ContractExpirationLastIV Open interestVolumevs 30d avg
OPEN $5.5 call Jul 17, 2026 $0.06 97.1% 14,279 28,907 3.1× avg
OPEN $6 call Jul 17, 2026 $0.03 109.7% 21,361 12,081 6.5× avg
OPEN $8 call Aug 21, 2026 $0.13 117.1% 19,645 11,636 44.4× avg

With a put/call volume ratio of 0.23, today's trading is tilted toward calls. Measured in dollars rather than contracts, $2.47M of call premium and $1.33M of put premium changed hands — the larger premium flow is on the call side. 3 contracts are trading at least three times their own 30-day average volume — activity worth a closer look.

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OPEN Options FAQ

How many OPEN options traded today?

166,690 OPEN option contracts traded as of Jul 10, 2026 — 135,531 calls and 31,159 puts.

Is there unusual options activity in OPEN today?

Yes — 3 contracts are trading at least three times their 30-day average volume as of Jul 10, 2026. OptiView flags a contract as unusual when today's volume runs at 3× its own average with at least 500 contracts traded.

Methodology. IV rank compares the current 30-day at-the-money implied volatility with its highest and lowest values over the past 52 weeks. Max pain is the strike that minimizes the total payout to option holders at expiration. The call and put walls are the strikes carrying the largest call and put open interest across all expirations. Net gamma exposure (GEX) is measured from the dealer perspective. All statistics are derived from delayed OPRA options data.

Options trading involves significant risk, and losses can exceed your initial investment. Always consult a licensed financial professional before making investment decisions. OptiView does not provide financial advice; all figures on this page are descriptive statistics, not recommendations.