Arrow Financial Stock Options

AROW Stock  USD 27.64  0.25  0.91%   
Arrow Financial's latest option contracts expiring on March 21st 2025 are carrying combined implied volatility of 0.94 with a put-to-call open interest ratio of 1.18 over 18 outstanding agreements suggesting investors are buying more puts than calls on contracts expiring on March 21st 2025.

Open Interest Against March 21st 2025 Option Contracts

Arrow Financial option prices can potentially be used to forecast stock returns because most option chains provide information not only about the current prices but also about the future conditions in Arrow Financial's lending market. For example, when Arrow Financial's puts are not actively trading or completely missing in the marketplace, investors can use it to internalize expected shorting costs. So if an investor is writing a put option on Arrow Financial, he or she must hedge the risk by shorting Arrow Financial stock over its option's life.
The chart above shows Arrow Financial's distribution of open interest by maturity on contracts that have not yet been settled. The area between the two highest points is the projection of the price at expiration. Arrow Financial's open interest chart also provides vital information regarding the liquidity of an option. If there is no open interest for Arrow Financial's option, there is no secondary market available for investors to trade.

In The Money vs. Out of Money Option Contracts on Arrow Financial

Analyzing Arrow Financial's in-the-money options over time can help investors to take a profitable long position in Arrow Financial regardless of its overall volatility. This is especially true when Arrow Financial's options are deep in the money. These options can be identified using deltas that are over 0.75. Deep in-the-money Arrow Financial's options could be used as guardians of the underlying stock as they move almost dollar for dollar with Arrow Financial's stock while costing only a fraction of its price.

Arrow Financial In The Money Call Balance

When Arrow Financial's strike price is surpassing the current stock price, the option contract against Arrow Financial stock is said to be in the money. When it comes to buying Arrow Financial's options that are 'In the Money' or 'Out of the Money', the choice depends on your outlook for the underlying security, financial situation, and what you are trying to achieve.
While 'out-of-the-money' option contracts written on Arrow Financial are typically viewed as the more aggressive, there are potential upsides to purchasing these types of options contracts. For one, the cost to buy an 'Out of the Money' option is lower than the cost to buy an 'In the Money' option. This cost-benefit is due to the fact that at the time of the purchase, 'Out of the Money' contracts have no intrinsic value. So, while the potential for a 100% loss is more significant, the cost and risk to enter the trade are lower.

Arrow Current Options Market Mood

Arrow Financial's open interest and total value indicators provide investors with the necessary information to digest the overall options buildup for its expiring contracts. In addition, it helps Arrow Stock's traders understand whether a recent fall or rise in the market is unreasonable and if the time has come to take contrarian positions. These ratios are calculated based on options trading volumes and current open interest.

Put-to-Call Open Interest

Put-to-Call Volume

Most options investors, including buyers and sellers of Arrow Financial's calls and puts, are not very successful. It is estimated that an average options trader loses somewhere between 80% to 90% of the time. Arrow Financial's option open interest and volume spread between outstanding puts and calls are regarded by many investors as reliable indicators of the overall future market direction.

Rule 16 of the current Arrow contract

Base on the Rule 16, the options market is currently suggesting that Arrow Financial will have an average daily up or down price movement of about 0.0588% per day over the life of the 2025-03-21 option contract. With Arrow Financial trading at USD 27.64, that is roughly USD 0.0162. If you think that the market is fully incorporating Arrow Financial's daily price movement you should consider buying Arrow Financial options at the current volatility level of 0.94%. But if you have an opposite viewpoint you should avoid it and even consider selling them.
  
Purchasing Arrow Financial options can give investors a meaningful hedge against losses and, therefore, could be used conservatively to decrease the volatility of your portfolio. However, many options could also amount to little more than gambling, significantly enhancing your overall portfolio risk. One simple example of these aggressive strategies is the sale of "uncovered" Arrow calls. Remember, the seller must deliver Arrow Financial stock to the call owner when a call is exercised.

Arrow Financial Option Chain

When Arrow Financial's strike price is surpassing the current stock price, the option contract against Arrow Financial stock is said to be in the money. When it comes to buying options that are ITM or OTM, the choice depends on your outlook for the underlying security, financial situation, and what you are trying to achieve.
Arrow Financial's option chain is a display of a range of information that helps investors for ways to trade options on Arrow. In general, an option chain provides a helpful tool for investors to see all available option contracts, both puts, and calls, for Arrow. It also shows strike prices and maturity days for a Arrow Financial against a given expiration period. The table below combines all the option information in the form of a chain but before you use it, remember that it entails significant risk and it is not for everyone.
Open IntStrike PriceCurrent SpreadLast Price
Call
AROW250321C00015000015.010.4 - 14.010.4In
Call
AROW250321C00017500017.57.9 - 11.57.9In
Call
AROW250321C00020000020.05.4 - 9.45.4In
Call
AROW250321C00022500022.52.95 - 7.02.95In
Call
AROW250321C00025000425.01.35 - 5.08.88In
Call
AROW250321C00030000430.00.0 - 2.53.0Out
Call
AROW250321C00035000335.00.0 - 4.72.31Out
Call
AROW250321C00040000040.00.0 - 4.74.7Out
Call
AROW250321C00045000045.00.0 - 1.751.75Out
 Put
AROW250321P00015000015.00.0 - 4.84.8Out
 Put
AROW250321P00017500017.50.0 - 4.84.8Out
 Put
AROW250321P00020000020.00.0 - 4.94.9Out
 Put
AROW250321P00022500022.50.0 - 4.94.9Out
 Put
AROW250321P00025000025.00.0 - 4.94.9Out
 Put
AROW250321P00030000230.01.65 - 5.52.25In
 Put
AROW250321P000350001135.07.0 - 10.04.81In
 Put
AROW250321P00040000040.011.5 - 15.011.5In
 Put
AROW250321P00045000045.016.2 - 20.016.2In

Arrow Financial Selling And Marketing Expenses Over Time

   Selling And Marketing Expenses   
       Timeline  

Arrow Financial Market Cap Over Time

   Market Cap   
       Timeline  

Arrow Total Stockholder Equity

Total Stockholder Equity

458.57 Million

At this time, Arrow Financial's Total Stockholder Equity is fairly stable compared to the past year.

Arrow Financial Corporate Management

Thomas CPACEO and PresidentProfile
Marc YrshaSenior OfficerProfile
Michael JacobsExecutive OfficerProfile
Brooke PancoeSenior OfficerProfile
Annette ReitanoSenior FallsProfile

Additional Tools for Arrow Stock Analysis

When running Arrow Financial's price analysis, check to measure Arrow Financial's market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy Arrow Financial is operating at the current time. Most of Arrow Financial's value examination focuses on studying past and present price action to predict the probability of Arrow Financial's future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move Arrow Financial's price. Additionally, you may evaluate how the addition of Arrow Financial to your portfolios can decrease your overall portfolio volatility.