null Option on Compass

COMP Stock  USD 8.10  -0.37  -4.37%   
For June 18, 2026, Compass lists 40 contracts (21 calls, 19 puts). The largest open-interest clusters are near the 16.0 call strike and the 12.0 put strike. Across this chain snapshot, the combined implied volatility measure is about 0.89. Current open interest is 1.3 K puts versus 9.6 K calls (put/call OI ratio: 0.13); call-side open interest dominates. Recent trading volume is 2.0 puts versus 5.0 calls (put/call volume ratio: 0.4); call-side recent volume dominates. Moneyness is distributed across 3 in-the-money calls, 18 out-of-the-money calls, 18 in-the-money puts, and 1 out-of-the-money puts.

Open Interest Against June 18th 2026 Option Contracts

Moneyness Snapshot for Compass

Current moneyness split: 3 in-the-money calls, 18 out-of-the-money calls, 18 in-the-money puts, and 1 out-of-the-money puts.

In-the-Money Call Balance for Compass

Call contracts: 3 in-the-money vs 18 out-of-the-money.

Compass Options Market Mood

Open interest totals 1.3 K puts vs 9.6 K calls (put/call 0.13). Recent volume totals 2.0 puts vs 5.0 calls (put/call 0.4).

Open Interest: Puts vs Calls

Volume: Puts vs Calls

Rule 16 Summary for current Compass contract

Applying Rule 16 to implied volatility yields an estimated daily move of 5.56% for 2026-06-18 options. The values reflect current implied volatility conditions.
  

Option Chain

A Compass call is in the money when the market price is above the contract strike. ITM Compass contracts cost more upfront but carry less directional risk than OTM alternatives. ITM Compass contracts cost more but are more responsive to price changes in Compass' stock.
Reviewing Compass' option chain shows the full range of available Compass contracts. The chain consolidates pricing, volume, and open interest data to support Compass position analysis. Key metrics such as open interest, implied volatility, and volume help frame Compass' current options landscape. Options involve significant risk, and Compass contracts warrant careful evaluation of premium, delta, and time decay.
Compass currently has 40 contracts available across calls and puts for the nearest expiration. Implied volatility across listed strikes averages 0.89, a useful gauge of expected price swings heading into expiration. On the volume side, calls have seen 5.0 contracts change hands versus 2.0 for puts (put/call volume ratio: 0.4). By moneyness, there are 3 ITM and 18 OTM calls alongside 18 ITM and 1 OTM puts.
Open IntStrike PriceCurrent SpreadLast Price
Call
COMP260618C00025000025.00.0 - 0.350.35Out
Call
COMP260618C00024000024.00.0 - 0.350.35Out
Call
COMP260618C00023000023.00.0 - 0.350.35Out
Call
COMP260618C00022000122.00.0 - 0.250.3Out
Call
COMP260618C000210009121.00.0 - 0.350.1Out
Call
COMP260618C000200001620.00.0 - 0.350.1Out
Call
COMP260618C0001900018119.00.0 - 0.350.15Out
Call
COMP260618C0001800012318.00.0 - 0.350.28Out
Call
COMP260618C00017000104317.00.0 - 0.40.1Out
Call
COMP260618C00016000345316.00.0 - 0.150.1Out
Call
COMP260618C0001500096215.00.0 - 0.350.2Out
Call
COMP260618C0001400060814.00.0 - 0.30.15Out
Call
COMP260618C0001300096613.00.0 - 0.350.15Out
Call
COMP260618C00012000122312.00.05 - 0.40.15Out
Call
COMP260618C0001100035111.00.15 - 0.30.25Out
Call
COMP260618C0001000024010.00.3 - 0.450.4Out
Call
COMP260618C00009000539.00.55 - 0.650.55Out
Call
COMP260618C00008000738.00.95 - 1.251.0Out
Call
COMP260618C00007000197.01.3 - 1.92.3In
Call
COMP260618C000050001465.02.8 - 3.46.75In
Call
COMP260618C00002000252.05.4 - 6.56.22In
Put
COMP260618P00025000025.016.6 - 17.516.6In
Put
COMP260618P00024000024.015.6 - 16.615.6In
Put
COMP260618P00023000023.014.6 - 15.614.6In
Put
COMP260618P00022000022.013.6 - 14.613.6In
Put
COMP260618P00021000021.012.6 - 13.612.6In
Put
COMP260618P00020000020.011.6 - 12.611.6In
Put
COMP260618P00019000019.010.6 - 11.610.6In
Put
COMP260618P00018000018.09.6 - 10.59.6In
Put
COMP260618P00017000017.08.6 - 9.58.6In
Put
COMP260618P00016000016.07.6 - 8.67.6In
Put
COMP260618P00015000215.06.7 - 7.54.95In
Put
COMP260618P000140003214.05.6 - 6.44.2In
Put
COMP260618P000130007313.04.7 - 5.43.4In
Put
COMP260618P0001200045712.03.9 - 4.53.14In
Put
COMP260618P0001100017511.02.95 - 3.63.16In
Put
COMP260618P0001000013910.02.1 - 2.72.46In
Put
COMP260618P00009000859.01.5 - 1.71.71In
Put
COMP260618P000080002278.00.9 - 1.10.85In
Put
COMP260618P00007000937.00.5 - 0.70.64Out

Open Interest

Compass' options chain captures how market participants are distributing their bets across strikes and expirations. While options data is not predictive on its own, it adds a positioning dimension that complements fundamental and technical analysis.
The outstanding position count for Compass reaches 10.9 K, divided into 9.6 K call contracts and 1.3 K put contracts. The put-to-call open interest ratio is 0.13, pointing to a bullish skew in open positioning. The heaviest call open interest clusters near the 16.0 strike, while puts concentrate around 12.0.

Open Interest for June 18th 2026 Calls

Open Interest for June 18th 2026 Puts

Options Data Overview & Methodology

This screen maps options behavior for Compass and highlights where crowd positioning sits. Options analytics here show how traders balance protection and speculation in Compass. Implied volatility changes can reveal whether traders are paying up for protection or upside participation. Compass has a market cap of 6.01 B, ROE of -9.79%.

Data shown for Compass is aggregated from periodic company reporting and market reference feeds and normalized across reporting formats. Professional analyst research is incorporated when coverage is available. Source publication timing can introduce delays. Option-chain values are sourced from exchange feeds and can be delayed.

This content is curated and reviewed by:

Rifka Kats - Member of Macroaxis Editorial Board
Last reviewed on March 16th, 2026

Compass Corporate Management

Richard SimonelliVice RelationsProfile
Ashley DonatHead CoachingProfile
Soham CFAHead RelationsProfile
Ethan GlassChief OfficerProfile
Michael SimonsenChief OfficerProfile

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