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# Stock Name Stock
Price
Stock Volume Option Volume Implied
Volatility
Historical
Vol
IVol/Avg
IVol
Price Change High/Low
Change % Change
1 FOLD AMICUS THERAPEUTICS INC 9.28 1,717,612 293 1.76 0.56 1.87 0.09 +3.21 +34.6%
2 BRO BROWN & BROWN 26.98 1,600,195 3 0.65 0.71 1.82 0.12 +1.70 +6.3%
3 VIV VIVO PARTICIPACOES SA 11.88 1,686,521 11 0.99 0.33 1.73 -0.20 +1.38 +11.6%
4 LILAK LIBERTY GLOBAL PLC LILAC CLASS 14.54 610,477 25 1.03 0.33 1.70 -0.07 +3.00 +20.6%
5 IDTI INTEGRATED DEVICE TECH 48.44 2,343,012 85 0.15 0.33 1.54 0.12 -0.51 -1.1%
6 BOTZ BOTZ 16.85 1,226,157 68 0.53 0.24 1.54 0.07 +1.56 +9.3%
7 AVX AVX CORP 15.09 290,430 4 0.69 0.31 1.51 0.20 +1.66 +11.0%
8 FSP FRANKLIN STREET PROP CP 6.18 754,218 900 0.98 0.33 1.50 -0.02 +0.75 +12.1%
9 FCG FIRST TR ISE REV NAT GAS 14.88 352,032 1,401 0.65 0.29 1.49 -0.01 +2.82 +19.0%
10 TS TENARIS SA ADS 21.37 2,256,741 1 0.68 0.35 1.49 -0.14 +2.96 +13.9%
11 VEON VEON LTD. ADS 2.36 2,047,338 1 1.02 0.45 1.48 0.00 +0.28 +11.9%
12 CALM CAL-MAINE FOODS INC 42.00 210,094 152 0.65 0.28 1.47 -0.22 +2.01 +4.8%
13 EWBC EAST WEST BANCORP INC 42.67 1,200,579 2 0.62 0.26 1.46 -0.15 +7.77 +18.2%
14 ORC ORCHID ISLAND CAPITAL 6.45 1,154,124 11 0.84 0.26 1.44 0.11 +0.41 +6.4%
15 GNL GLOBAL NET LEASE INC 17.69 447,836 34 0.52 0.27 1.43 -0.12 +2.83 +16.0%
16 OXSQ OXFORD SQUARE CAPITAL CORP. CO 6.28 274,591 24 0.69 0.22 1.43 0.20 +0.47 +7.6%
17 PRGS PROGRESS SOFTWARE CORP 34.94 414,608 44 0.76 0.41 1.42 0.90 -3.11 -8.9%
18 AL ALCAN INC 29.87 1,237,108 810 0.65 0.26 1.41 -0.08 +8.09 +27.1%
19 PTE POWERSHARES DYNAMIC TELECOM 14.11 212,146 609 1.68 0.98 1.40 -0.63 +4.06 +28.8%
20 SEIC SEI INVESTMENTS COMPANY 45.45 922,989 8 0.52 0.24 1.40 0.85 +4.00 +8.8%
21 SKM SK TELECOM CO LTD 27.12 579,869 28 0.49 0.22 1.39 0.14 -1.16 -4.3%
22 QHC QUORUM HEALTH CORP 3.07 277,707 2 1.49 0.72 1.37 -0.28 +0.66 +21.5%
23 WATT ENERGOUS CORPORATION COMMON ST 7.04 40,102,627 31,529 1.56 1.01 1.36 2.46 +2.55 +36.2%
24 AVY AVERY DENNISON CORP 89.32 450,623 32 0.43 0.24 1.35 2.19 +7.70 +8.6%
25 FLO FLOWERS FOODS INC 18.33 1,532,157 91 0.45 0.26 1.34 0.14 +1.38 +7.5%
26 AQXP AQUINOX PHARMACEUTICALS INC. 2.10 259,720 25 1.25 1.96 1.34 0.02 +0.45 +21.4%
27 PBPB POTBELLY CORPORATION COMMON ST 8.02 296,508 86 0.66 0.33 1.32 -0.07 +0.69 +8.6%
28 ARRS ARRIS GROUP INC 30.52 3,520,103 241 0.32 0.28 1.32 0.60 -1.02 -3.3%
29 IRT INDEPENDENCE REALTY TRUST 9.19 714,079 753 0.40 0.21 1.32 -0.02 +0.99 +10.8%
30 HLX HELIX ENERGY SOLUTION GP 5.49 1,603,665 91 0.90 0.47 1.31 0.05 +1.63 +29.7%
31 SBRA SABRA HEALTHCARE REIT INC 16.35 1,900,834 68 0.48 0.27 1.31 -0.15 +2.89 +17.7%
32 WGP WESTERN GAS 27.75 1,795,573 307 0.52 0.30 1.30 -1.17 +4.37 +15.7%
33 YELP YELP INC 34.95 1,622,804 8,648 0.74 0.55 1.29 0.81 -2.11 -6.0%
34 UNT UNIT CP 14.62 460,997 23 0.93 0.57 1.29 -0.30 +3.80 +26.0%
35 ALGT ALLEGIANT TRAVEL CO 101.73 353,773 29 0.67 0.38 1.29 -2.38 +22.30 +21.9%
36 ENTG ENTEGRIS INC 26.70 1,382,778 4 0.70 0.38 1.28 0.70 +3.76 +14.1%
37 DB DEUTSCHE BANK AG ORD SHS 7.81 13,935,021 40,432 0.77 0.35 1.28 -0.35 +1.52 +19.5%
38 CPLP CAPITAL PRODUCTS PTNR LP 2.10 548,084 160 0.93 0.24 1.28 -0.04 +0.32 +15.2%
39 SAH SONIC AUTOMOTIVE INC 13.23 215,706 400 0.84 0.37 1.27 -0.27 +2.86 +21.6%
40 NUAN NUANCE COMMUNICATIONS 13.12 2,290,402 241 0.50 0.31 1.27 -0.15 +2.45 +18.7%
41 BKCC BLACKROCK KELSO CAPITAL 5.27 711,643 7 0.48 0.22 1.27 0.03 +0.98 +18.6%
42 WY WEYERHAEUSER CO 21.53 8,737,921 15,096 0.50 0.23 1.27 0.18 +3.59 +16.7%
43 BMCH VIRTUS OIL & GAS CORP 15.28 390,807 400 0.54 0.32 1.26 0.10 +1.97 +12.9%
44 SRTY PROSHARES ULTRAPRO SHORT RUSSE 40.97 858,956 70 1.11 0.53 1.26 -0.43 -11.99 -29.3%
45 TOUR TUNIU CORP ADS 4.73 206,275 3 0.64 0.48 1.25 0.20 +0.73 +15.4%
46 NAT NORDIC AMERICAN TNK SHIP 2.04 1,541,232 624 1.23 0.61 1.24 -0.05 +0.30 +14.7%
47 AZUL AZUL HOLDINGS INC 26.95 312,559 190 0.70 0.50 1.24 0.03 +3.65 +13.5%
48 PKI PERKINELMER INC 77.49 447,452 10 0.48 0.27 1.23 1.79 +8.92 +11.5%
49 POOL POOL CORP 145.60 230,846 8 0.42 0.22 1.23 1.49 +9.27 +6.4%
50 BXP BOSTON PROPERTIES INC 112.68 747,564 62 0.33 0.21 1.23 -0.06 +8.92 +7.9%
51 MRC MRC GLOBAL INC 12.22 1,009,920 103 0.60 0.33 1.23 -0.29 +4.18 +34.2%
52 HMC HONDA MOTOR CO LTD ADR 26.18 1,280,800 1 0.36 0.21 1.23 0.17 +3.67 +14.0%
53 HCSG HEALTHCARE SERVICES GR 40.07 673,599 60 0.44 0.29 1.23 0.24 +3.91 +9.8%
54 VER VEREIT INC 7.33 8,345,680 971 0.37 0.20 1.23 0.01 +0.47 +6.4%
55 PSXP PHILLIPS 66 PARTNERS LP 42.39 641,499 60 0.37 0.23 1.23 -1.08 +7.10 +16.7%
56 GLPG GALAPAGOS NV AMERICAN DEPOSITA 88.21 210,571 245 0.74 0.37 1.23 -3.87 +18.68 +21.2%
57 CTT COMPETITIVE TECHNOLOGIES 7.01 523,634 35 0.54 0.24 1.22 -0.09 +1.56 +22.3%
58 HZO MARINEMAX INC 17.85 218,269 21 0.71 0.52 1.22 -0.29 +3.24 +18.2%
59 WBT WBT 11.40 1,191,160 39 0.84 0.41 1.22 -0.01 +1.94 +17.0%
60 FOXF FOX FACTORY HOLDING CORP. COMM 58.03 239,851 1 0.75 0.43 1.22 1.74 +7.69 +13.2%
61 SID COMPANHIA SIDERURGICA 2.22 810,853 2 0.92 0.56 1.22 0.01 +0.47 +21.2%
62 TRMB TRIMBLE NAVIGATION LTD 32.07 1,196,836 16 0.52 0.32 1.22 0.59 +4.53 +14.1%
63 OPK OPKO HEALTH INC 2.53 4,548,983 407 1.05 0.77 1.22 -0.01 +1.41 +55.5%
64 ALLY ALLY FINANCIAL INC 22.36 3,100,442 1,678 0.53 0.24 1.22 0.30 +4.03 +18.0%
65 LTC LTC PROPERTIES INC 41.61 308,711 62 0.32 0.22 1.22 -0.37 +3.14 +7.5%
66 EAF GRAFTECH INTERNATIONAL LTD 11.31 1,710,716 797 0.91 0.54 1.22 -0.31 +2.62 +23.1%
67 MNR MONMOUTH REAL ESTATE A 12.48 527,714 29 0.34 0.22 1.22 -0.10 +1.01 +8.1%
68 DNLI DENALI THERAPEUTICS INC. COMMO 19.48 350,980 28 1.03 0.62 1.22 -0.37 +2.36 +12.1%
69 PETQ PETIQ INC. CLASS A COMMON STOC 23.95 396,166 30 0.76 0.51 1.21 0.06 +7.60 +31.7%
70 CBD COMPANHIA BRASILIERA DE 20.52 443,484 25 0.59 0.38 1.21 0.60 +3.85 +18.8%
71 SKYW SKYWEST INC 44.80 207,904 150 0.69 0.36 1.21 0.07 +5.23 +11.7%
72 JCOM J2 GLOBAL COMMUNICATIONS 69.10 240,363 6 0.47 0.25 1.21 0.76 +5.59 +8.1%
73 SNR NEW SENIOR INVESTMENT GROUP I 4.26 826,234 609 0.54 0.35 1.21 -0.11 +0.58 +13.6%
74 SNP CHINA PETRO & CHEM ADS 72.97 334,748 207 0.46 0.32 1.21 -4.37 +7.01 +9.6%
75 WEN WENDY'S/ARBY'S GROUP INC. 15.47 2,896,094 138 0.41 0.24 1.21 -0.06 +1.07 +6.9%
76 SLM SLM CORP. 8.36 3,813,875 1,231 0.56 0.25 1.21 -0.07 +1.05 +12.6%
77 VREX VREX 23.12 220,547 10 0.53 0.48 1.20 0.11 +4.74 +20.5%
78 BAH BOOZ ALLEN HAMILTON 44.76 1,202,942 43 0.40 0.22 1.20 -0.32 +3.39 +7.6%
79 TMK TORCHMARK CORP 74.30 512,095 3 0.39 0.21 1.20 0.86 +8.00 +10.8%
80 KBE SPDR KBW BANK IDX FD ETF 36.81 3,278,785 933 0.46 0.21 1.20 -0.09 +5.91 +16.1%
81 IDXX IDEXX LABORATORIES INC 187.95 610,386 287 0.46 0.30 1.20 2.35 +13.03 +6.9%
82 AVID AVID TECHNOLOGY INC 4.65 379,423 10 0.85 0.44 1.20 -0.22 +0.30 +6.5%
83 SHLX SHELL MIDSTREAM PARTNERS LP 16.55 2,035,985 2,335 0.47 0.30 1.20 -1.02 +3.41 +20.6%
84 GMED GLOBUS MEDICAL 42.89 556,269 13 0.52 0.29 1.20 0.15 -4.88 -11.4%
85 ERI EMRISE CORP 35.44 670,060 85 0.74 0.49 1.20 0.16 +9.16 +25.8%
86 EDIT EDITAS MEDICINE INC. COMMON ST 20.32 794,373 592 1.00 0.66 1.20 -0.27 +7.83 +38.5%
87 MNK MALLINCKRODT PUBLIC LIMITED CO 15.90 2,483,331 1,232 0.96 0.58 1.20 -0.81 +4.75 +29.9%
88 ABB ABB LTD ADR 18.63 3,849,968 630 0.33 0.21 1.20 -0.05 +1.30 +7.0%
89 EV EATON VANCE CORP 34.46 1,245,681 22 0.49 0.23 1.20 0.63 +5.25 +15.2%
90 NIHD NII HOLDINGS INC 4.23 770,213 273 1.78 1.18 1.20 0.06 +1.17 +27.7%
91 NTRA NATERA INC. COMMON STOCK 12.87 387,340 25 0.71 0.62 1.19 -0.68 +2.31 +17.9%
92 PHG ROYAL PHILIPS ELEC ADR 35.14 1,151,066 295 0.47 0.24 1.19 0.11 -2.16 -6.1%
93 POL POLYONE CORPORATION 28.29 394,545 25 0.49 0.28 1.19 0.54 +3.52 +12.4%
94 LIVN LIVANOVA PLC ORDINARY SHARES 89.19 254,045 241 0.63 0.37 1.19 0.37 +4.73 +5.3%
95 LXP LEXINGTON REALTY TRUST 8.31 2,123,287 14 0.43 0.22 1.19 0.00 +0.76 +9.1%
96 XPER XPER 18.55 582,780 81 0.69 0.56 1.19 0.18 +2.67 +14.4%
97 MDC MDC HOLDINGS INC 27.93 518,672 16 0.51 0.33 1.19 0.48 +3.56 +12.7%
98 TEF TELEFONICA SA 8.43 2,053,302 920 0.47 0.22 1.19 -0.02 +0.49 +5.8%
99 JBGS JBG SMITH PROPERTIES 34.40 645,270 18 0.38 0.20 1.19 -0.01 +3.59 +10.4%
100 SJT SAN JUAN BASIN ROY TR 5.03 262,926 70 0.56 0.40 1.19 -0.02 -0.47 -9.3%

Data Provided by HistoricalOptionData.com
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