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# Stock Name Stock
Price
Stock Volume Option Volume Implied
Volatility
Historical
Vol
Avg IVol/IVol Price Change High/Low
Change % Change
1 CRAY CRAY INC 34.65 506,572 50 0.04 0.42 5.85 0.01 -0.14 -0.4%
2 TYPE MONOTYPE IMAGING HOLDING 19.89 1,606,757 123 0.10 0.35 3.62 -0.11 +0.21 +1.1%
3 DFRG DEL FRISCOS RESTAURANT GROUP 7.97 226,970 17 0.07 0.58 3.29 0.00 -0.09 -1.1%
4 WAGE WAGEWORKS INC 51.13 375,338 28 0.12 0.46 2.21 0.03 +0.17 +0.3%
5 CY CYPRESS SEMICONDUCTOR CP 23.00 3,889,298 1,725 0.06 0.41 2.07 0.12 -0.50 -2.2%
6 HBIO HARVARD BIOSCIENCE INC 2.49 922,014 104 0.55 0.71 2.07 -0.21 -0.26 -10.4%
7 DCP DYNCORP INTERNAT INC. 29.59 1,775,548 279 0.16 0.33 2.00 -0.01 -5.54 -18.7%
8 ORC ORCHID ISLAND CAPITAL 6.88 932,379 7 0.30 0.21 1.79 0.06 -0.95 -13.8%
9 JNPR JUNIPER NETWORKS INC 26.85 3,051,343 983 0.22 0.24 1.77 0.17 -3.51 -13.1%
10 TWTR TWITTER INC 41.50 20,849,284 82,985 0.33 0.47 1.74 -0.02 +1.98 +4.8%
11 FWRD FORWARD AIR CORP 61.87 243,994 203 0.20 0.25 1.63 -1.66 -3.04 -4.9%
12 BCOV BRIGHTCOVE INC. COMMON STOCK 12.37 509,835 403 0.29 0.29 1.61 0.58 -0.83 -6.7%
13 GHDX GENOMIC HEALTH INC 73.07 4,949,107 664 0.29 0.50 1.60 4.41 -4.37 -6.0%
14 MCC MEDLEY CAPITAL CORP 2.76 392,793 30 0.59 0.41 1.57 0.43 -0.27 -9.8%
15 PATK PATRICK INDUSTRIES INC 44.00 203,074 19 0.34 0.42 1.56 -2.21 -7.07 -16.1%
16 FLEX FLEXTRONICS INTERNAT LTD 11.29 6,092,833 950 0.36 0.56 1.54 0.03 -1.64 -14.5%
17 VRRM VERRA MOBILITY CORP 13.81 715,329 2 0.59 0.30 1.53 -0.14 -1.11 -8.1%
18 PRO PROS HOLDINGS INC 72.75 500,372 164 0.33 0.36 1.53 -0.74 -5.92 -8.1%
19 SNBR SLEEP NUMBER CORP 51.62 1,455,183 994 0.36 0.50 1.53 2.19 -9.02 -17.5%
20 ONDK ON DECK CAPITAL INC 3.04 3,068,264 1,510 0.58 0.63 1.51 -0.92 +0.64 +20.9%
21 LOGM LOGMEIN INC 77.00 623,104 611 0.27 0.32 1.51 -1.41 -9.88 -12.8%
22 GOOG GOOGLE INC A 1239.41 2,203,798 40,116 0.19 0.28 1.49 -11.00 -99.27 -8.0%
23 SFLY SHUTTERFLY INC 50.63 771,750 100 0.09 0.40 1.49 0.04 +0.26 +0.5%
24 RMD RESMED INC 129.41 769,161 270 0.21 0.31 1.49 2.54 +6.84 +5.3%
25 GOOGL GOOGLE INC CLASS A 1241.84 1,817,852 39,884 0.19 0.28 1.48 -3.38 -99.09 -8.0%
26 UCBI UNITED COMMUNITY BANKS 28.45 386,503 10 0.22 0.26 1.47 -0.72 -2.79 -9.8%
27 IRBT IROBOT CORP 74.58 768,682 4,830 0.38 0.56 1.47 0.07 -11.68 -15.7%
28 ENVA ENOVA INTERNATIONAL INC 26.55 776,477 222 0.38 0.41 1.47 1.32 -2.26 -8.5%
29 XLNX XILINX INC 120.55 2,689,289 14,654 0.33 0.44 1.47 -0.22 -18.90 -15.7%
30 MAT MATTEL INC 14.51 5,635,301 4,790 0.39 0.51 1.46 0.34 -3.91 -26.9%
31 INT WORLD FUEL SERVICES CORP 38.28 811,160 99 0.32 0.34 1.43 -1.36 -2.47 -6.5%
32 COLM COLUMBIA SPORTSWEAR CO 106.70 452,383 295 0.22 0.27 1.43 2.78 -15.12 -14.2%
33 APU AMERIGAS PARTNERS L.P. 34.07 982,690 65 0.13 0.31 1.43 0.27 -3.16 -9.3%
34 OSPN ONESPAN INC. COMMON STOCK 14.94 247,470 237 0.35 0.48 1.42 -0.03 -2.13 -14.3%
35 CLS CELESTICA INC 7.16 480,948 19 0.28 0.38 1.42 0.14 -0.76 -10.6%
36 HOPE HOPEFLUENT GROUP HOLDINGS LTD 14.42 330,031 2 0.18 0.27 1.41 -0.22 -1.22 -8.4%
37 VLRS CONTROLADORA VUELA COMPAA DE A 10.24 447,167 160 0.32 0.43 1.40 0.10 -1.85 -18.1%
38 MYL MYLAN INC 20.78 60,884,577 84,802 0.52 0.49 1.40 2.32 -3.47 -16.7%
39 ALGN ALIGN TECHNOLOGY INC 196.05 3,129,200 16,736 0.44 0.57 1.39 -2.79 -23.43 -12.0%
40 SNAP SNAP INC 17.50 25,423,378 93,986 0.49 0.59 1.39 -0.39 -2.03 -11.6%
41 SWI SOLARWINDS INC 17.76 365,376 1 0.41 0.40 1.39 -0.32 -1.55 -8.7%
42 FET FORUM ENERGY TECHNOLOGIES INC 2.31 2,507,750 7 0.67 0.67 1.39 -0.07 -0.94 -40.7%
43 CHTR CHARTER COMMUNICATIONS A 393.65 728,701 793 0.20 0.28 1.39 -5.14 -22.87 -5.8%
44 NOW AMERICAN INTL MITTS 07 285.84 3,250,083 38,440 0.30 0.40 1.39 -3.49 -35.65 -12.5%
45 MINI MOBILE MINI INC 34.43 456,528 1 0.24 0.30 1.38 -0.26 -5.41 -15.7%
46 MGM MGM MIRAGE INC 30.47 5,089,982 4,844 0.27 0.36 1.38 0.00 -2.88 -9.5%
47 VCRA VOCERA COMMUNICATIONS INC 25.76 1,299,785 64 0.42 0.41 1.38 -0.02 -2.44 -9.5%
48 HAS HASBRO INC 126.07 924,643 2,472 0.20 0.28 1.38 2.40 -16.28 -12.9%
49 GGB GERDAU SA ADS 3.64 3,782,231 10 0.35 0.41 1.37 0.04 -0.72 -19.8%
50 EHTH EHEALTH INC 105.84 774,695 1,124 0.50 0.62 1.37 -2.56 -10.83 -10.2%
51 MHK MOHAWK INDUSTRIES INC 124.48 2,397,125 5,820 0.27 0.43 1.36 -4.36 -15.55 -12.5%
52 NOK NOKIA CORP ADS 5.65 19,742,395 19,340 0.27 0.30 1.36 -0.07 -0.62 -11.0%
53 EFX EQUIFAX INC 142.72 652,557 890 0.19 0.26 1.35 0.38 -9.19 -6.4%
54 CPG CRESCENT POINT ENERGY CORP 3.11 2,150,328 10 0.57 0.62 1.35 0.03 -0.34 -11.1%
55 GCAP GAIN CAPITAL HOLDINGS 4.19 498,323 347 0.48 0.46 1.35 -0.51 +0.55 +13.1%
56 PFPT PROOFPOINT INC. COMMON STOCK 127.52 460,109 1,124 0.29 0.39 1.34 -3.03 -14.51 -11.4%
57 GWR GENESEE & WYOMING CL A 109.67 599,017 3 0.04 0.28 1.34 0.14 +0.97 +0.9%
58 FTV FTV 76.83 3,003,797 703 0.21 0.22 1.34 -1.62 -10.15 -13.2%
59 ROCK GIBRALTAR INDUSTRIES INC 41.95 410,809 30 0.24 0.27 1.34 0.78 -1.41 -3.4%
60 AAN AARON'S INC 63.63 619,877 68 0.28 0.32 1.34 -0.45 -4.08 -6.4%
61 CCO CLEAR CHANNEL OUTDOOR 3.40 7,632,579 3 0.69 0.45 1.34 0.06 -1.34 -39.4%
62 OMCL OMNICELL INC 73.59 521,659 160 0.33 0.40 1.33 -1.66 -6.18 -8.4%
63 RCL ROYAL CARIBBEAN CRUISES 115.59 1,979,464 6,683 0.27 0.30 1.33 1.63 -12.72 -11.0%
64 TEAM TECHTEAM GLOBAL INC 139.05 2,874,211 22,190 0.44 0.46 1.33 -6.99 +8.54 +6.1%
65 FB FACEBOOK INC 195.94 15,243,379 233,588 0.29 0.33 1.33 -3.81 -16.63 -8.5%
66 NTGN NEON THERAPEUTICS INC. COMMON 2.89 640,483 2 2.89 0.85 1.33 -0.38 -0.58 -20.1%
67 WTR AQUA AMERICA INC 41.71 757,871 37 0.18 0.20 1.33 0.19 +2.87 +6.9%
68 ASGN ON ASSIGNMENT INC 63.22 243,816 220 0.26 0.34 1.32 -0.41 -4.75 -7.5%
69 HUBB HUBBELL CORP 125.37 298,669 404 0.21 0.27 1.32 -0.60 +8.51 +6.8%
70 ANIK ANIKA THERAPEUTICS INC 53.36 515,940 295 0.39 0.46 1.31 -2.49 +5.36 +10.0%
71 CARB CARBONITE INC. COMMON STOCK 18.26 2,487,863 1,371 0.42 0.58 1.31 0.25 -4.12 -22.6%
72 MXL MAXLINEAR INC. 22.10 453,277 331 0.36 0.41 1.31 -1.11 -2.25 -10.2%
73 INTC INTEL CORP 52.51 20,298,888 94,630 0.24 0.30 1.31 0.92 -7.15 -13.6%
74 GWW W.W. GRAINGER INC 291.55 478,617 706 0.28 0.30 1.30 -8.25 -31.07 -10.7%
75 HEP HOLLY ENERGY PARTNERS LP 28.32 827,283 456 0.20 0.25 1.30 -0.08 -1.34 -4.7%
76 TNET TRINET GROUP INC 73.46 885,623 279 0.31 0.35 1.30 -3.32 -6.40 -8.7%
77 ARLP ALLIANCE RSRCE PARTNERS 17.54 397,533 607 0.23 0.22 1.30 0.41 -3.13 -17.8%
78 STL STERLING BANCORP 21.75 1,650,295 29 0.26 0.28 1.30 -0.17 -3.08 -14.2%
79 NTGR NETGEAR INC 33.50 413,212 231 0.34 0.62 1.29 -0.75 -1.83 -5.5%
80 LKQ LKQ CORPORATION COMMON STOCK 27.35 2,283,537 3,372 0.23 0.25 1.29 -0.38 -2.91 -10.6%
81 ADVM ADVM 13.95 547,568 70 1.07 0.80 1.29 0.17 -3.40 -24.3%
82 B BARNES GROUP INC 52.57 305,633 12 0.26 0.26 1.29 0.52 -9.76 -18.6%
83 LYV LIVE NATION INC 71.20 931,746 2,756 0.21 0.26 1.28 -2.34 -3.50 -4.9%
84 WST WEST PHARMACEUTICAL SVCS 138.37 512,388 77 0.19 0.25 1.28 1.46 +8.00 +5.8%
85 AABA ALTABA INC 70.87 1,368,148 1,769 0.05 0.30 1.28 -0.14 -1.60 -2.3%
86 BAH BOOZ ALLEN HAMILTON 71.54 2,544,959 1,879 0.21 0.21 1.28 2.34 -4.79 -6.7%
87 DECK DECKERS OUTDOOR CORP 159.36 773,464 897 0.29 0.36 1.27 -0.16 -26.84 -16.8%
88 DHX DICE HOLDINGS INC 3.54 220,665 1 0.58 0.60 1.27 0.01 -0.46 -13.0%
89 ZBH ZIMMER BIOMET HOLDINGS INC 134.53 1,897,902 1,340 0.21 0.23 1.27 0.03 +6.00 +4.5%
90 TSCO TRACTOR SUPPLY CO 110.45 816,016 1,249 0.26 0.25 1.26 0.50 -11.85 -10.7%
91 BAX BAXTER INTERNATIONAL INC 85.97 1,906,089 453 0.18 0.21 1.26 0.82 -4.76 -5.5%
92 DLX DELUXE CORP 43.82 393,113 227 0.24 0.32 1.26 -0.18 -2.36 -5.4%
93 CASA MEXICAN RESTAURANTS INC 6.83 203,829 18 0.63 0.57 1.26 0.06 +1.06 +15.5%
94 LOB LIVE OAK BANCSHARES INC. COMMO 19.84 269,618 50 0.30 0.45 1.26 -0.53 -2.53 -12.8%
95 BOOM DYNAMIC MATERIALS CORP 51.73 640,649 616 0.48 0.56 1.26 0.25 -8.88 -17.2%
96 NSC NORFOLK SOUTHERN CORP 191.99 1,588,710 7,878 0.21 0.26 1.26 2.00 -23.49 -12.2%
97 BC BRUNSWICK CORP 47.76 1,479,307 99 0.31 0.33 1.26 -0.10 -4.79 -10.0%
98 SBUX STARBUCKS CORP 98.02 11,106,821 55,413 0.22 0.22 1.26 -1.09 -4.99 -5.1%
99 AEG AEGON N.V. 4.98 1,166,585 501 0.23 0.26 1.25 -0.02 -1.19 -23.9%
100 AXE ANIXTER INTERNATIONAL 64.34 223,921 3 0.26 0.33 1.25 1.10 -8.98 -14.0%

Data Provided by HistoricalOptionData.com
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