Mixed options sentiment in Blue Owl Capital (OWL), with shares down 44c near $8.70. Options volume relatively light with 19k contracts traded and calls leading puts for a put/call ratio of 0.77, compared to a typical level near 3.15. Implied volatility (IV30) dropped 1.52 near 57.36,in the top quartile of the past year, suggesting an expected daily move of $0.31. Put-call skew steepened, indicating increased demand for downside protection.
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