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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 CARB CARBONITE INC. COMMON STOCK 22.88 4,965,763 2,079 0.08 0.57 9.91 -0.07 +0.30 +1.3%
2 KEM KEMET CORP 25.98 22,480,867 26,559 0.15 0.53 6.09 2.96 +1.63 +6.3%
3 BREW CRAFT BREW ALLIANCE INC COMMO 16.23 5,014,987 12,470 0.17 0.91 4.88 8.90 +0.38 +2.3%
4 KDMN KDMN 3.69 10,219,634 614 0.89 0.68 2.94 0.70 +0.86 +23.3%
5 CVET COVETRUS INC. COMMON STOCK 12.26 6,213,059 2,727 0.67 0.82 2.66 2.21 +2.86 +23.3%
6 DXC DXC TECHNOLOGY CO 35.25 18,307,267 23,123 0.40 0.54 2.52 5.85 -4.38 -12.4%
7 ZAYO ZAYO GROUP HOLDINGS INC 34.24 2,125,255 41 0.05 0.31 2.36 0.04 +0.12 +0.3%
8 CIO CITY OFFICE REIT INC 13.27 402,423 36 0.22 0.23 2.34 -0.04 -0.47 -3.5%
9 VRTU VIRTUSA CORP 43.08 206,529 74 0.23 0.48 2.30 0.29 +2.77 +6.4%
10 CLDT CHATHAM LODGING TRUST 17.82 233,376 43 0.14 0.20 2.28 -0.39 +0.60 +3.4%
11 CLDX CELLDEX THERAPEUTICS INC 2.29 240,507 670 0.78 2.66 2.24 -0.10 +0.34 +14.8%
12 AMRN AMARIN CORP PLC ADS 20.94 47,884,901 216,882 0.84 0.73 2.14 4.03 +3.73 +17.8%
13 ASUR ASURE SOFTWARE INC 8.69 730,246 805 0.51 0.70 2.10 -0.61 -0.71 -8.2%
14 INFN INFINERA CORP 5.39 5,736,299 3,627 0.51 0.60 2.09 0.12 +1.46 +27.0%
15 MIME MIMECAST LIMITED ORDINARY SHAR 43.12 338,501 422 0.30 0.44 2.06 -0.45 +2.04 +4.7%
16 FENG PHOENIX NEW MEDIA ADR 3.00 306,829 115 0.48 0.56 2.04 0.21 +0.59 +19.7%
17 ATRS ANTARES PHARMA INC. COMMON ST 3.90 3,570,873 479 0.67 0.43 2.03 0.13 +1.23 +31.5%
18 GDOT GREEN DOT 25.94 1,128,909 1,166 0.40 0.78 2.02 1.06 -2.96 -11.4%
19 AAP ADVANCE AUTO PARTS INC 156.14 4,349,981 18,384 0.26 0.29 2.02 -12.68 +7.92 +5.1%
20 DHI D.R. HORTON INC 54.27 9,447,234 25,731 0.23 0.27 2.01 1.62 -2.45 -4.5%
21 ACIA APRECIA INC. 67.32 744,180 255 0.09 0.47 2.01 0.52 -1.05 -1.6%
22 SYRS SYROS PHARMACEUTICALS INC. COM 5.02 297,206 31 0.64 0.90 1.99 0.03 -0.49 -9.8%
23 YELP YELP INC 35.77 1,481,745 3,968 0.34 0.39 1.98 -0.29 -2.91 -8.1%
24 SEMG SEMGROUP 15.62 4,244,738 634 0.30 0.64 1.98 -0.28 -1.03 -6.6%
25 HEP HOLLY ENERGY PARTNERS LP 23.05 205,589 16 0.22 0.25 1.96 -0.13 -1.27 -5.5%
26 GO GROCERY OUTLET HOLDING CORP 32.60 2,879,715 2,406 0.42 0.45 1.94 1.60 -2.58 -7.9%
27 GTT GLOBAL TELECOM & TECHNOLOGY I 7.02 2,350,028 704 0.80 0.99 1.94 -1.44 +3.07 +43.7%
28 UVV UNIVERSAL CP 52.76 404,234 122 0.23 0.29 1.92 -3.75 +2.66 +5.0%
29 QNST QUINSTREET INC. 15.56 785,244 780 0.38 0.59 1.91 0.11 +0.96 +6.2%
30 ICUI ICU MEDICAL INC 178.67 910,962 1,873 0.38 0.49 1.90 10.57 +11.92 +6.7%
31 FGEN FIBROGEN INC COMMON STOCK S 35.56 4,084,381 15,789 0.68 0.53 1.90 0.16 +11.30 +31.8%
32 ARLO ARLO TECHNOLOGIES INC 2.93 1,219,073 427 0.64 0.92 1.88 0.25 +0.56 +19.1%
33 ZG ZILLOW GROUP INC. CLASS A COMM 37.70 601,739 745 0.43 0.52 1.87 -0.86 +3.26 +8.6%
34 QRTEA LIBERTY INTERACTIVE QVC GROUP 10.44 17,442,751 522 0.52 0.53 1.86 -0.03 -1.63 -15.6%
35 TRUE CENTRUE FINANCIAL CORP 4.53 1,519,184 561 0.62 0.67 1.86 -0.24 +0.91 +20.1%
36 EPC EDGEWELL PERSONAL CARE CO 33.07 1,164,754 2,585 0.33 0.38 1.84 -3.27 -3.41 -10.3%
37 ANGI ANGIES LIST INC. COMMON STOCK 7.66 1,256,015 1,867 0.43 0.52 1.82 -0.07 +0.42 +5.5%
38 BAND BANDWIDTH INC. CLASS A COMMON 53.18 383,691 28 0.45 0.47 1.82 2.88 +3.38 +6.4%
39 SE SPECTRA ENERGY CORP 36.76 14,122,610 43,438 0.44 0.59 1.81 5.76 +2.22 +6.0%
40 IRET INVESTORS REAL ESTATE TR 73.70 407,957 34 0.16 2.34 1.81 0.91 +3.90 +5.3%
41 VOD VODAFONE GROUP PLC ADR 21.25 5,350,448 10,326 0.19 0.27 1.81 0.71 -2.49 -11.7%
42 BE BEARINGPOINT INC 5.56 4,921,125 3,559 0.92 0.97 1.81 0.06 +1.50 +27.0%
43 MED MEDIFAST INC 79.84 761,094 1,836 0.49 0.53 1.79 -0.73 +13.07 +16.4%
44 COMM COMMSCOPE HOLDING COMPANY INC 15.19 4,066,736 299 0.49 0.53 1.75 0.18 -2.54 -16.7%
45 PSN PARSONS CORP 37.80 527,538 316 0.32 0.33 1.75 0.07 +2.75 +7.3%
46 MNST MONSTER WORLDWIDE INC 58.40 3,208,889 14,537 0.20 0.29 1.74 0.37 +2.07 +3.5%
47 TTWO TAKE-TWO INTERA SOFTWARE 118.99 1,612,055 2,740 0.27 0.36 1.73 -0.66 +5.42 +4.6%
48 VNTR VENATOR MATERIALS PLC 4.08 749,510 395 0.61 0.77 1.73 0.12 -0.61 -15.0%
49 VRS VERSO PAPER CORP 17.87 1,056,848 1,659 0.37 0.47 1.72 3.05 -1.67 -9.3%
50 SIEN SIENTRA INC. COMMON STOCK O 8.58 709,746 157 0.48 0.79 1.72 0.01 -1.00 -11.7%
51 Z ZILLOW INC. CLASS A COMMON STO 37.83 3,582,312 6,071 0.45 0.53 1.72 -0.80 +3.53 +9.3%
52 ORMP ORAMED PHARMACEUTICALS 2.57 637,890 366 1.43 0.48 1.71 -0.42 +3.23 +125.7%
53 UMH UMH PROPERTIES INC 15.34 262,331 96 0.12 0.24 1.71 0.20 -0.79 -5.1%
54 CNR CHINA METRO-RURAL 6.57 644,084 82 0.45 0.74 1.70 -0.21 +0.84 +12.8%
55 VSAT VIASAT INC 71.58 316,185 92 0.23 0.27 1.70 0.59 +4.33 +6.0%
56 AXDX ACCELERATE DIAGNOSTICS INC. C 15.36 204,479 570 0.57 0.54 1.70 0.40 +1.67 +10.9%
57 TME TRADER MEDIA EAST LD 13.21 23,828,489 9,105 0.33 0.46 1.69 -1.16 -1.37 -10.4%
58 MTRX MATRIX SERVICE CO 18.90 233,862 13 0.31 0.43 1.69 0.91 +2.33 +12.3%
59 NVGS NAVIGATOR HOLDINGS LTD 11.19 282,280 80 0.36 0.30 1.69 0.19 +1.77 +15.8%
60 TSN TYSON FOODS INC 88.88 6,436,427 28,162 0.24 0.26 1.68 6.15 -5.25 -5.9%
61 QUAD QUADREX CORP 4.44 820,461 417 0.52 1.01 1.68 0.15 -0.81 -18.2%
62 NLSN NIELSEN HOLDINGS 20.45 3,761,571 1,820 0.28 0.29 1.67 -0.15 -1.25 -6.1%
63 NCR NCR CORP 32.05 1,557,359 2,961 0.30 0.33 1.65 0.45 +1.79 +5.6%
64 AAXN AXON ENTERPRISE INC 64.01 725,044 808 0.36 0.47 1.65 -0.44 +13.65 +21.3%
65 MFC MANULIFE FINANCIAL CORP 19.92 2,063,323 1,090 0.14 0.21 1.64 0.20 -0.93 -4.7%
66 CNNE CANNAE HOLDINGS INC 33.79 866,933 131 0.27 0.28 1.64 4.43 +4.84 +14.3%
67 TPIC TPIC 17.43 615,290 857 0.45 0.52 1.63 -0.20 -1.46 -8.4%
68 RVLV REVOLVE GROUP INC 15.52 1,170,735 4,359 0.68 0.84 1.63 0.22 +2.49 +16.0%
69 PEGA PEGASYSTEMS INC 72.92 285,397 28 0.25 0.27 1.63 0.37 +6.17 +8.5%
70 BNFT BENEFITFOCUS INC. COMMON STOC 23.71 573,909 42 0.50 0.50 1.62 -1.42 -2.46 -10.4%
71 PLNT PLANET FITNESS INC 70.01 2,122,904 1,925 0.27 0.31 1.61 2.28 +4.89 +7.0%
72 DBX DROPBOX INC. CLASS A COMMON ST 18.91 3,366,408 3,137 0.34 0.40 1.61 0.05 -1.07 -5.7%
73 RUBI THE RUBICON PROJECT INC 8.25 750,034 877 0.51 0.59 1.61 0.48 -0.93 -11.3%
74 QUOT LIFE QUOTES INC 10.59 520,232 168 0.30 0.48 1.61 0.05 +0.48 +4.6%
75 FLXN FLEXION THERAPEUTICS INC 15.96 377,807 513 0.67 0.59 1.60 -0.18 +2.61 +16.4%
76 NTWK NETSOL TECHNOLOGIES INC 4.73 260,869 33 0.52 0.51 1.60 -0.97 -1.13 -23.9%
77 NOAH NOAH HOLDINGS 31.31 290,115 125 0.42 0.53 1.60 -1.58 -3.93 -12.6%
78 URGN UROGEN PHARMA LTD. ORDINARY SH 27.51 467,489 903 0.50 0.52 1.59 3.29 +4.66 +16.9%
79 TERP TERRAFORM POWER INC. CLASS A L 15.16 2,842,032 961 0.26 0.23 1.59 -1.40 +1.57 +10.4%
80 NET CLOUDFLARE INC 16.16 336,296 687 0.53 0.58 1.59 -0.07 +3.64 +22.5%
81 HEAR HEARUSA INC. COMMON STOCK 8.84 457,410 602 0.56 0.68 1.59 -0.08 -0.94 -10.6%
82 FOE FERRO CORP 13.69 999,803 374 0.38 0.41 1.58 1.10 -1.42 -10.4%
83 UI UBIQUITI NETWORKS INC 180.77 525,469 2,666 0.33 0.68 1.58 -1.21 +19.14 +10.6%
84 AI ARLINGTON ASSET INVSTMNT 5.85 317,375 6 0.33 0.26 1.58 0.01 -0.28 -4.8%
85 PAR 3PAR INC 31.29 339,791 137 0.37 0.49 1.58 1.06 -3.24 -10.4%
86 NNBR NN 9.73 555,973 97 0.51 0.61 1.57 0.55 -1.73 -17.8%
87 LPSN LIVEPERSON INC 35.17 886,353 381 0.37 0.43 1.57 0.45 +4.81 +13.7%
88 JMIA JUMIA TECHNOLOGIES AG 5.84 3,515,093 8,300 0.84 1.07 1.57 -0.82 +0.99 +17.0%
89 VSTO VISTA OUTDOOR INC 9.61 929,248 27 0.44 0.61 1.56 -0.29 -1.73 -18.0%
90 ATSG AIR TRANSPORT SERVICES 23.96 374,320 65 0.29 0.35 1.56 0.27 +1.64 +6.8%
91 XPER XPER 21.19 289,968 5 0.29 0.49 1.56 0.08 -2.74 -12.9%
92 MPAA MOTORCAR PARTS AMERICA 21.09 342,719 294 0.34 0.47 1.56 1.09 +3.51 +16.6%
93 PCTI PC-TEL INC 8.93 235,135 155 0.35 0.49 1.56 -0.10 -0.43 -4.8%
94 ENV ENVESTNET 64.56 441,444 509 0.26 0.30 1.56 0.50 +7.38 +11.4%
95 CHNG CHINA NATURAL GAS INC 13.17 712,409 183 0.52 0.47 1.56 -0.03 +1.15 +8.7%
96 EPAY BOTTOMLINE TECHNOLOGIES 46.91 373,394 79 0.30 0.39 1.55 0.28 +3.59 +7.7%
97 KRO KRONOS WORLDWIDE INC 14.67 241,610 123 0.34 0.38 1.55 -0.13 -1.59 -10.9%
98 CCOI COGENT CMMNCTNS GRP INC 64.90 326,813 36 0.20 0.27 1.55 0.65 -3.83 -5.9%
99 SWCH SWITCH INC 15.72 1,368,441 8,807 0.36 0.48 1.55 0.15 +0.66 +4.2%
100 BL BLACKLINE INC. COMMON STOCK 50.40 234,798 111 0.35 0.47 1.55 0.75 +4.60 +9.1%

Data Provided by HistoricalOptionData.com
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