Reddit Inc (RDDT) Last: 158.12, Change: +4.67 (3.04%), Volume: 4.66M
Put volume: 17,658    Call volume: 23,162    Put:Call Ratio: 0.76

November 20, 2026 CALLS (99 days until expiration) Click any strike to open contract detail

Strike / % Distance
From 158.12
Bid YieldBoost** at Bid
Total / Annualized
Ask Last Vol Open
Interest
Current Odds Call
Expires Worthless
Total Return
If Called
Open Contract Detail90.00 / -43.08% 68.75
43.48%/160.24%
71.95 64.54 - 3
4%
+0.40%
Open Contract Detail95.00 / -39.92% 64.75
40.95%/150.91%
67.45 53.62 - 2
6%
+1.03%
Open Contract Detail100.00 / -36.76% 60.40
38.20%/140.77%
63.05 57.57 - 10
8%
+1.44%
Open Contract Detail105.00 / -33.59% 56.10
35.48%/130.75%
58.80 95.51 - 2
10%
+1.88%
Open Contract Detail110.00 / -30.43% 51.80
32.76%/120.73%
54.70 51.50 2 14
12%
+2.33%
Open Contract Detail115.00 / -27.27% 47.95
30.33%/111.76%
49.95 48.75 - 32
14%
+3.05%
Open Contract Detail120.00 / -24.11% 43.95
27.80%/102.43%
46.85 41.60 - 39
17%
+3.69%
Open Contract Detail125.00 / -20.95% 40.55
25.65%/94.51%
43.30 38.85 1 15
20%
+4.70%
Open Contract Detail130.00 / -17.78% 37.00
23.40%/86.24%
39.85 37.60 1 75
23%
+5.62%
Open Contract Detail135.00 / -14.62% 33.75
21.34%/78.66%
36.35 35.80 - 27
26%
+6.72%
Open Contract Detail140.00 / -11.46% 30.45
19.26%/70.97%
33.55 30.76 3 141
29%
+7.80%
Open Contract Detail145.00 / -8.30% 28.20
17.83%/65.73%
30.55 26.80 - 29
33%
+9.54%
Open Contract Detail150.00 / -5.14% 25.75
16.29%/60.02%
27.90 25.40 2 177
36%
+11.15%
Open Contract Detail155.00 / -1.97% 22.60
14.29%/52.67%
24.80 24.60 14 167
40%
+12.32%
Open Contract Detail160.00 / +1.19% 20.85
13.19%/48.60%
22.40 22.25 75 229
43%
+14.38%
Open Contract Detail165.00 / +4.35% 19.10
12.08%/44.52%
21.20 20.00 6 73
47%
+16.43%
Open Contract Detail170.00 / +7.51% 17.00
10.75%/39.62%
19.15 18.60 30 705
50%
+18.26%
Open Contract Detail175.00 / +10.68% 15.20
9.61%/35.43%
17.20 15.35 1 85
53%
+20.29%
Open Contract Detail180.00 / +13.84% 13.45
8.51%/31.35%
16.50 14.15 14 143
56%
+22.34%
Open Contract Detail185.00 / +17.00% 12.35
7.81%/28.78%
14.40 13.50 1 61
59%
+24.81%
Open Contract Detail190.00 / +20.16% 10.45
6.61%/24.36%
13.65 11.05 69 57
62%
+26.77%
Open Contract Detail195.00 / +23.32% 9.50
6.01%/22.14%
11.65 13.55 - 42
66%
+29.33%
Open Contract Detail200.00 / +26.49% 9.05
5.72%/21.09%
10.00 9.00 113 262
68%
+32.21%
Open Contract Detail210.00 / +32.81% 6.60
4.17%/15.38%
9.60 7.10 18 144
72%
+36.98%
Open Contract Detail220.00 / +39.13% 5.35
3.38%/12.47%
8.05 5.55 - 207
76%
+42.52%
Open Contract Detail230.00 / +45.46% 4.25
2.69%/9.91%
6.55 5.30 6 110
80%
+48.15%
Open Contract Detail240.00 / +51.78% 3.40
2.15%/7.92%
5.75 4.20 3 467
83%
+53.93%
Open Contract Detail250.00 / +58.11% 3.00
1.90%/6.99%
4.90 4.59 - 212
85%
+60.01%
Open Contract Detail260.00 / +64.43% 2.41
1.52%/5.62%
4.25 3.20 - 117
87%
+65.96%
Open Contract Detail270.00 / +70.76% 1.79
1.13%/4.17%
2.64 3.26 - 44
90%
+71.89%
Open Contract Detail280.00 / +77.08% 1.57
0.99%/3.66%
2.17 1.74 1 211
92%
+78.07%
Open Contract Detail290.00 / +83.41% 1.30
0.82%/3.03%
2.03 1.47 15 18
93%
+84.23%
Open Contract Detail300.00 / +89.73% 1.12
0.71%/2.61%
1.53 1.17 - 163
94%
+90.44%
  = in-the-money
« Back to option month choices

** Represents the hypothetical return generated by the option premium, as a percentage of the current stock price, assuming the call option were to expire worthless. The values in this column are grayed out for in-the-money options reflecting the fact that the stock is at high risk to be called away at any time, whereas the YieldBoost calculation requires the call option to expire worthless and never be exercised.

"Odds" shown are based entirely on technical analysis of the underlying stock, its price history and implied volatility, its current quote data, its current options chain data and associated greeks and implied greeks including delta, gamma, vega, and rho. No fundamental business-level data for the company itself is considered. In other words this value shown is purely based upon observable market data past and present, which is never a guarantee of future price movement and is therefore merely a research tool investors can utilize in combination with other forms of analysis. Market data is inherently error prone, and none of the information presented should be considered to be free of errors or relied upon for any investing decisions. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person.

Browse options education, YieldBoost screens, beta and volatility research, and related income and market idea pages from across the channel network. These links are grouped by topic to make the list easier to scan.

Options Education and Core Strategy Pages

Core StockOptionsChannel pages focused on options basics, active options activity, and broad stock-trading characteristics that options investors often compare.