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Check out our Dark Pool Levels

GRMN
Garmin Ltd
stock NYSE

At Close
Jun 30, 2026 3:59:53 PM EDT
237.40USD+1.557%(+3.64)945,360
214.43Bid   260.16Ask   45.73Spread
Pre-market
0.00USD-100.000%(-233.76)0
After-hours
Jun 30, 2026 4:10:30 PM EDT
237.54USD+0.059%(+0.14)344,289
OverviewOption ChainMax PainOptionsPrice & VolumeSplitsDividendsHistoricalExchange VolumeDark Pool LevelsDark Pool PrintsExchangesShort VolumeShort Interest - DailyShort InterestBorrow Fee (CTB)Failure to Deliver (FTD)ShortsTrendsNewsTrends
GRMN Reddit Mentions
Subreddits
Limit Labels     

We have sentiment values and mention counts going back to 2017. The complete data set is available via the API.
Take me to the API
GRMN Specific Mentions
As of Jun 30, 2026 6:34:37 PM EDT (1 min. ago)
Includes all comments and posts. Mentions per user per ticker capped at one per hour.
2 hr ago • u/2fingers • r/thetagang • im_not_selling_anything_im_trying_to_understand • C
They're Schwab's portfolio margin risk metrics. EPR (expected price range) is the *theoretical* maximum amount a security could move up or down in a single day. PNR (point of no return) is the percentage move an underlying would have to make before the entire brokerage account goes to zero. Basically the more contracts you pile on, the more leveraged the position becomes and the PNR gets lower and lower since it would take a smaller move in the stock to wipe you out. So if the stock has an EPR of 25% (the lowest value Schwab gives to individual stocks), I'm going to make sure my PNR doesn't get below 75% (3x of 25%). This is where the share price comes in since a stock trading at $500 carries a lot more notional risk (when levered up with options) than a stock trading at $50, etc.
I target a range of stocks that meet my risk requirements, everything listed above, but basically they're all more or less equally (un)likely to move 30% within 2 weeks. I filter it by earnings so stocks come and go from the list as they move through earnings reports.
Here's what I traded the last weekly and the last monthly expirations. There's a few that are greater than $350/share and those were mostly 0dte.
BA, BROS, BURL, CHTR, COF, CVX, DE, DHR, DLR, DLTR, FIS, GDDY, HD, HON, HSY, IBM, JNJ, KMB, LOW, MCD, MMM, PEP, PGR, PM, SPGI, TXRH, UNP, UPS, WDAY
  ADI, AEE, AEP, AER, AFL, AGCO, ALLE, ALSN, AME, AMT, APD, ATO, ATR, AWK, BCPC, BR, CBOE, CBRE, CHRW, CNI, DE, DOV, DPZ, DTE, DUK, ECL, ED, EFX, ESS, ETN, EXR, FLS, FRT, FSS, GPC, GRMN, IEX, IFF, ISRG, ITT, ITW, J, JCI, JLL, JNJ, LDOS, MA, MAA, MCD, MHK, MIDD, MLI, NSC, OC, OPEN, ORLY, PCAR, PEG, PKG, PNC, PNW, PSA, RPM, RSG, SPG, SPGI, SSNC, SUI, SWK, TMO, TRI, UNP, VRSK, WAB, WCN, WEC, WM, WMS, XYL, YUM
sentiment 0.16
37 days ago • u/Glittering_River_820 • r/ValueInvesting • if_you_arent_invested_in_ai_you_are_probably_down • C
You're actually right, most of S&P500 companies aren't shining to say the least. Although there are a few names like CAT, TWLO, GRMN, which showed some positive numbers
sentiment 0.73


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