Optionistics
Option Calculators and Stock Screeners
Symbol Lookup
HOT SHEET REGISTER FAQs CONTACT US RSS

Sudden Rise In IV Report Date:

SCREENER   
Stock Filter
STOCK PRICE
STOCK VOLUME
IMPLIED VOL
Option Filter
OPTION VOLUME
 
 
Screener Options
Subscribers can save settings 
 
 
Data is delayed from June 27, 2019. You must subscribe to get the latest data.
# Stock Name Stock
Price
Stock Volume Option Volume Implied
Volatility
Historical
Vol
IVol/Avg
IVol
Price Change High/Low
Change % Change
1 CZZ COSAN LTD 13.12 311,215 40 1.11 0.38 1.92 0.05 +1.66 +12.7%
2 FLDM FLUIDIGM 12.18 614,963 4 1.27 0.48 1.91 0.16 -1.53 -12.6%
3 HASI HANNON ARMSTRONG SUSTAINANBLE 27.11 327,896 5 0.51 0.21 1.90 0.27 +1.56 +5.8%
4 PEB PEBBLEBROOK HOTEL TRUST 28.01 890,360 2 0.59 0.25 1.80 0.79 -1.50 -5.4%
5 BHLB BERKSHIRE HILLS BANCORP 30.00 633,565 1 0.53 0.26 1.71 -0.02 +1.72 +5.7%
6 WPG WASHINGTON PRIME GROUP 3.73 4,766,132 312 1.06 0.44 1.54 0.25 -0.50 -13.4%
7 NAT NORDIC AMERICAN TNK SHIP 2.24 604,775 97 1.00 0.57 1.51 0.03 +0.19 +8.5%
8 LFC CHINA LIFE INSURANCE LTD ADS 12.38 312,874 2 0.48 0.31 1.50 0.17 +0.95 +7.7%
9 HHC HOWARD HUGHES CORP 131.25 6,346,173 7,934 0.39 0.43 1.48 38.66 -38.25 -29.1%
10 BDN BRANDYWINE REALTY TRUST 14.31 1,206,182 16 0.31 0.20 1.45 0.12 +0.59 +4.1%
11 CWEN CWEN 16.90 966,163 279 0.37 0.36 1.42 0.62 +1.16 +6.9%
12 CY CYPRESS SEMICONDUCTOR CP 22.21 8,315,946 1,478 0.19 0.42 1.42 -0.07 +0.30 +1.4%
13 TCF TCF FINANCIAL 20.41 1,876,741 23 0.47 0.25 1.41 0.23 +0.98 +4.8%
14 MANH MANHATTAN ASSOCIATES INC 67.74 445,630 3 0.44 0.31 1.40 0.88 +4.54 +6.7%
15 GMRE GLOBAL MEDICAL REIT INC. 10.50 529,050 1,020 0.51 0.25 1.39 0.09 +0.42 +4.0%
16 FPI FARMLAND PARTNERS INC 7.03 516,972 464 0.77 0.67 1.39 0.20 -0.83 -11.8%
17 RLJ RLJ LODGING TRUST 17.78 1,701,878 10 0.35 0.22 1.38 0.37 -0.75 -4.2%
18 JE JUST ENERGY GROUP INC 4.19 331,046 70 0.97 0.41 1.36 0.06 +0.23 +5.5%
19 PCH POTLATCH CORP 38.16 459,267 1 0.34 0.29 1.36 0.98 +2.49 +6.5%
20 HF HFF INC. A 45.36 1,049,089 7 0.34 0.30 1.36 0.47 +0.92 +2.0%
21 LMRK LANDMARK INFRASTRUCTURE PARTNE 16.72 219,397 103 0.50 0.35 1.35 0.52 -0.97 -5.8%
22 AEG AEGON N.V. 4.92 1,155,269 42 0.28 0.26 1.35 0.06 +0.26 +5.3%
23 ATNX ATHENEX INC. COMMON STOCK 18.39 513,391 693 1.45 0.57 1.35 0.40 +2.72 +14.8%
24 OFG ORIENTAL FINANCIAL GROUP 23.66 1,412,050 3,282 0.50 0.37 1.34 2.96 +1.29 +5.5%
25 STAY EXTENDED STAY AMERICA INC 16.63 965,190 7,133 0.56 0.25 1.34 0.30 -0.60 -3.6%
26 WRTC WRTC 5.84 272,348 281 1.15 0.90 1.33 -0.55 -1.03 -17.6%
27 VUZI VUZIX CORP 4.27 426,415 179 1.61 0.82 1.33 0.04 -2.06 -48.2%
28 FLO FLOWERS FOODS INC 23.02 1,668,023 7 0.34 0.21 1.33 -0.05 +0.93 +4.0%
29 CVA COVANTA HOLDING CORP 17.84 481,376 33 0.31 0.25 1.32 0.19 -0.43 -2.4%
30 WSO WATSCO INC 163.47 225,406 31 0.27 0.24 1.31 2.43 -9.40 -5.8%
31 CCS COMCAST CORP 6.625 NT 56 26.25 435,832 3 0.55 0.36 1.31 0.99 +1.57 +6.0%
32 SKYW SKYWEST INC 58.06 270,297 113 0.42 0.33 1.30 1.12 +5.34 +9.2%
33 WIFI BOINGO WIRELESS INC. COMMON S 18.10 776,078 2,293 0.66 0.59 1.29 0.19 +1.48 +8.2%
34 BCOR BLUCORA INC. COMMON STOCK 29.32 349,468 4 0.47 0.42 1.28 0.11 +1.64 +5.6%
35 SNH SENIOR HOUSING PROPS TRUST 8.29 2,704,411 501 0.49 0.34 1.28 0.37 +0.55 +6.6%
36 LPG DORIAN LPG LTD 8.86 509,674 52 0.72 0.44 1.27 0.18 +1.20 +13.5%
37 LLL L-3 COMMUNICATIONS HLDGS 246.18 554,444 8 0.30 0.28 1.26 -2.11 +3.10 +1.3%
38 FTDR FRONTDOOR INC. COMMON STOCK 43.34 715,182 45 0.51 0.63 1.26 1.03 +3.50 +8.1%
39 HYGS HYDROGENICS CORPORATION 15.50 950,209 1,095 0.71 0.65 1.25 0.90 -1.38 -8.9%
40 FCN FTI CONSULTING INC 84.00 217,804 1 0.38 0.31 1.25 2.19 +10.51 +12.5%
41 SXCP SUNCOKE ENERGY PARTNERS LP 12.41 1,334,038 52 0.49 0.32 1.24 -0.13 +0.41 +3.3%
42 ALEX ALEXANDER & BALDWIN INC 23.26 493,846 1 0.28 0.26 1.24 1.03 -1.01 -4.3%
43 FSS FEDERAL SIGNAL CORP 26.82 332,847 3 0.48 0.33 1.24 0.35 +1.52 +5.6%
44 ACRS ACLARIS THERAPEUTICS INC. COMM 2.13 7,910,590 1,183 1.72 0.96 1.24 -2.32 +0.87 +40.8%
45 NCI NAVIGANT CONSULTING INC 22.92 226,004 20 0.37 0.38 1.23 0.13 +1.53 +6.7%
46 SOI SOLARIS OILFIELD INFRASTRUCTUR 14.99 449,310 11 0.57 0.46 1.23 -0.43 -2.40 -16.0%
47 ING ING GROEP NV 11.61 1,851,494 656 0.34 0.27 1.23 0.26 -0.37 -3.2%
48 WTFC WINTRUST FINANCIAL CORP 72.19 263,049 19 0.36 0.25 1.22 0.70 -8.42 -11.7%
49 SGH SMART GLOBAL HOLDINGS INC. ORD 21.52 699,086 2,613 0.99 0.66 1.22 0.61 +10.35 +48.1%
50 MMSI MERIT MEDICAL SYSTEMS 59.36 347,917 2,679 0.38 0.30 1.21 1.23 -4.62 -7.8%
51 COTY COTY INC 13.15 3,222,269 3,125 0.60 0.56 1.21 0.03 -2.29 -17.4%
52 KHC THE KRAFT HEINZ COMPANY COMMON 30.77 5,014,897 19,541 0.36 0.41 1.21 -0.07 +0.95 +3.1%
53 CHTR CHARTER COMMUNICATIONS A 391.41 548,360 5,284 0.26 0.28 1.20 3.17 +25.72 +6.6%
54 PDLI PDL BIOPHARMA INC 3.05 853,588 7 0.50 0.38 1.20 0.10 +0.28 +9.2%
55 NEPT NEPTUNE TECH & BIORESRCS 4.46 726,098 2,823 0.99 0.71 1.20 0.14 +1.76 +39.5%
56 XOG EXTRACTION OIL & GAS INC. COMM 4.29 8,639,734 174 0.94 0.66 1.20 -0.08 -0.58 -13.5%
57 RTEC RUDOLPH TECHNOLOGIES INC 28.42 506,000 10 0.50 0.35 1.20 1.14 -2.23 -7.8%
58 SPB SPECTRUM BRANDS INC 52.12 493,085 12 0.51 0.44 1.20 -0.24 +3.09 +5.9%
59 VTR VENTAS INC 69.42 2,128,493 2,276 0.23 0.21 1.20 0.99 -2.84 -4.1%
60 RMAX RE/MAX HOLDINGS INC 30.00 241,968 21 0.50 0.35 1.20 0.88 +2.63 +8.8%
61 BUD ANHEUSER-BUSCH INBEV ADR 87.20 1,102,608 9,119 0.27 0.25 1.20 -0.17 +7.34 +8.4%
62 TACO LEVY ACQUISITION CORP. COMMON 12.50 602,060 79 0.48 0.31 1.20 0.29 +1.00 +8.0%
63 STML STEMLINE THERAPEUTICS INC 15.08 513,753 170 0.62 0.59 1.19 0.58 -2.54 -16.8%
64 DRNA DICERNA PHARMACEUTICALS INC. 15.75 299,078 1 0.73 0.63 1.19 -0.08 -1.67 -10.6%
65 RGS REGIS CORP 16.70 299,171 1 0.39 0.34 1.19 0.50 +1.84 +11.0%
66 USM U.S. CELLULAR CORP 45.02 210,548 98 0.44 0.43 1.19 1.42 +3.99 +8.9%
67 PBH PRESTIGE BRANDS HOLDINGS 30.92 473,983 12 0.55 0.29 1.19 0.20 +1.98 +6.4%
68 ASMB ASSEMBLY BIOSCIENCES INC. COMP 13.86 427,468 15 0.72 0.66 1.19 0.49 +1.16 +8.4%
69 OEC ORION ENGINEERED CARBONS S.A. 21.10 537,011 34 0.46 0.39 1.19 0.57 -2.93 -13.9%
70 GEO GEO GROUP INC 20.76 1,067,186 2,472 0.41 0.29 1.19 0.79 -3.55 -17.1%
71 TSG TSG 17.00 2,420,064 1,494 0.57 0.45 1.19 0.79 -1.26 -7.4%
72 WNC WABASH NATIONAL CORP 16.08 419,584 72 0.35 0.41 1.18 0.13 -1.48 -9.2%
73 HMSY HMS HOLDINGS CORP 31.73 409,620 33 0.47 0.41 1.18 0.76 +3.53 +11.1%
74 NVMI NOVA MEASUR INSTRUMENTS 25.62 350,465 2 0.43 0.31 1.18 0.72 -0.83 -3.2%
75 BIOS BIOSCRIP INC 2.45 1,209,407 125 0.82 0.59 1.18 0.16 +0.51 +20.8%
76 BNFT BENEFITFOCUS INC. COMMON STOC 26.18 383,281 247 0.64 0.55 1.18 0.84 -1.64 -6.3%
77 STAR STARENT NETWORKS CORP 12.11 464,308 27 0.57 0.24 1.18 0.15 +0.82 +6.8%
78 CLH CLEAN HARBORS INC 69.99 285,115 2 0.32 0.30 1.18 1.15 +2.29 +3.3%
79 KNDI KANDI TECHNOLOGIES CORP 4.86 707,212 1,053 0.86 0.77 1.18 0.17 +0.93 +19.1%
80 SFLY SHUTTERFLY INC 50.53 459,607 60 0.14 0.40 1.18 0.00 +0.25 +0.5%
81 NRE NOBAO RENEWABLE ENERGY HOLDING 16.25 949,844 1,216 0.36 0.26 1.18 0.95 -0.96 -5.9%
82 CRCM CARE.COM INC 11.00 1,487,178 737 0.60 0.53 1.18 -0.20 +0.66 +6.0%
83 SNA SNAP-ON INC 163.48 388,460 82 0.36 0.27 1.17 -0.05 -14.30 -8.7%
84 EHC ENCOMPASS HEALTH CORP 61.99 540,354 122 0.31 0.25 1.17 1.05 +4.17 +6.7%
85 GIL GILDAN ACTIVEWEAR INC 38.45 450,446 4 0.30 0.27 1.17 0.36 +1.95 +5.1%
86 ADTN ADTRAN INC 15.10 255,370 3 0.49 0.40 1.17 -0.29 -3.82 -25.3%
87 COWN COWEN GROUP INC 16.80 203,585 20 0.40 0.35 1.17 0.18 -1.70 -10.1%
88 SNE SONY CORP 52.70 1,024,208 13,016 0.33 0.31 1.17 0.24 +3.35 +6.4%
89 GSKY GREENSKY INC. CLASS A COMMON S 11.49 1,637,788 6,776 0.65 0.70 1.17 -0.67 +1.10 +9.6%
90 GRFS GRIFOLS S.A. AMERICAN DEPOSIT 20.57 1,636,105 1 0.51 0.29 1.17 0.67 +1.93 +9.4%
91 HSC HARSCO CORP 27.40 568,072 369 0.49 0.46 1.16 0.25 -2.69 -9.8%
92 BIIB BIOGEN IDEC INC 239.77 1,560,136 7,641 0.33 0.49 1.16 1.70 -12.58 -5.2%
93 SUM SUMMIT MATERIALS INC 18.50 3,926,870 16,302 0.61 0.51 1.16 1.17 +1.16 +6.3%
94 HXL HEXCEL CORP 79.50 584,684 30 0.28 0.23 1.16 0.44 +2.50 +3.1%
95 FLNT FLUENT INC. COMMON STOCK 5.18 333,606 18 0.77 0.59 1.16 0.31 +0.94 +18.1%
96 EXPD EXPEDITORS INTL WASH INC 74.74 701,141 30 0.26 0.23 1.16 1.56 -3.37 -4.5%
97 DIN DINEEQUITY INC 94.35 328,605 472 0.41 0.38 1.16 1.91 +9.65 +10.2%
98 SRPT SAREPTA THERAPEUTICS 129.76 1,051,918 9,099 0.96 0.52 1.16 1.42 +29.04 +22.4%
99 WLH WILLIAM LYON HOMES 18.01 458,159 24 0.47 0.41 1.16 0.48 +1.87 +10.4%
100 SERV SERVIDYNE INC 52.55 1,628,920 882 0.32 0.51 1.16 1.95 +2.39 +4.5%

Data Provided by HistoricalOptionData.com
Optionistics is not a registered investment advisor or broker-dealer. We do not make recommendations as to particular securities or derivative instruments, and do not advocate the purchase or sale of any security or investment by you or any other individual. By continuing to use this site, you agree to read and abide by the full disclaimer.