READYSTATE ASSET MANAGEMENT LP's ownership history for COF
READYSTATE ASSET MANAGEMENT LP currently holds 1.2K shares with a market value of $217.1K. It started holding COF on 2026-03-31. At its peak, it held 1.2K shares on 2026-03-31. Its highest holding value was $217.1K on 2026-03-31. At its lowest, it held 1.2K shares on 2026-03-31, with a value of $217.1K on 2026-03-31.
It has also owned 38 contracts of calls, with the market value of the underlying securities totaling $693.2K on 2026-03-31. At its peak, it held 38 contracts of calls on 2026-03-31 and it owned calls with the market value of the underlying securities totaling $693.2K on 2026-03-31. At its lowest, it held 38 contracts of calls on 2026-03-31 and it owned calls with the market value of the underlying securities totaling $693.2K on 2026-03-31.
It has also owned 38 contracts of puts, with the market value of the underlying securities totaling $693.2K on 2026-03-31. At its peak, it held 38 contracts of puts on 2026-03-31 and it owned puts with the market value of the underlying securities totaling $693.2K on 2026-03-31. At its lowest, it held 38 contracts of puts on 2026-03-31 and it owned puts with the market value of the underlying securities totaling $693.2K on 2026-03-31.