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

Implied Volatility / Historical Volatility 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 March 28, 2019. You must subscribe to get the latest data.
# Stock Name Stock
Price
Stock Volume Option Volume Implied
Volatility
Historical
Vol
(IV + HV)
HV
Price Change High/Low
Change % Change
1 KCAP KOHLBERG CAPITAL CORP. 3.68 486,470 123 1.77 0.22 9.15 0.09 +0.12 +3.3%
2 ADMA ADMA BIOLOGICS INC COM 3.29 838,701 310 3.62 0.88 5.10 -0.25 +3.02 +91.9%
3 BCRX BIOCRYST PHARMACEUTICALS 7.90 403,643 148 2.10 0.55 4.85 0.14 +1.36 +17.2%
4 GAIN GLADSTONE INVESTMENT CORP. 11.70 249,028 11 0.58 0.20 3.91 -0.02 +1.00 +8.5%
5 BRX BRIXMOR PROPERTY GROUP INC 18.48 2,832,559 162 0.64 0.24 3.71 0.08 -0.93 -5.0%
6 BBVA BANCO BILBAO VIZCAYA ARG 5.69 2,554,115 104 0.80 0.30 3.68 -0.09 +0.75 +13.2%
7 LEVI LEVI STRAUSS & CO 22.69 1,759,202 1,440 0.50 0.20 3.47 0.39 +1.81 +8.0%
8 STAR STARENT NETWORKS CORP 8.37 617,309 140 0.52 0.22 3.40 0.13 +0.28 +3.3%
9 ITCI INTRA-CELLULAR THERAPIES INC. 12.30 345,253 106 1.30 0.55 3.36 0.40 +1.66 +13.5%
10 S SPRINT NEXTEL CORP 5.66 28,454,054 32,579 0.83 0.37 3.22 -0.37 +0.51 +9.0%
11 HROW HARROW HEALTH INC. COMMON STOC 4.79 585,474 720 1.34 0.61 3.21 0.04 -0.69 -14.4%
12 GSVC NEXT INNOVATION CORP. COMMON S 8.37 1,790,883 5,266 0.78 0.36 3.19 0.30 -2.15 -25.7%
13 SBGL SIBANYE GOLD LIMITED AMERICAN 4.10 7,066,307 651 1.34 0.63 3.11 -0.45 +0.84 +20.5%
14 TGS TRANS DE GAS DEL SUR SA ADR 12.99 549,341 10 1.08 0.54 3.00 0.48 -2.11 -16.2%
15 BB BLACKBERRY LIMITED COMMON STOC 8.88 5,794,136 31,795 0.72 0.37 2.97 0.12 +1.41 +15.9%
16 FGEN FIBROGEN INC COMMON STOCK S 54.22 413,550 145 0.91 0.46 2.97 0.60 -9.22 -17.0%
17 TEUM TEUM 4.46 5,798,509 908 1.24 0.63 2.95 0.01 +0.80 +17.9%
18 CARS CARS COM INC 22.74 445,131 1,433 0.68 0.36 2.92 -0.03 -3.00 -13.2%
19 OXM OXFORD INDUSTRIES INC 78.28 362,102 1,295 0.54 0.29 2.90 1.91 -6.23 -8.0%
20 OCUL OCULAR THERAPEUTIX INC. COMMOP 3.98 395,308 1 1.01 0.53 2.90 -0.04 +0.49 +12.3%
21 PLAY DAVE & BUSTERS ENTERTAINMENT 49.96 551,694 1,385 0.68 0.36 2.89 1.23 +5.74 +11.5%
22 VIVO MERIDIAN BIOSCIENCES INC 17.39 219,299 37 0.51 0.27 2.87 0.18 -5.09 -29.3%
23 GLDD GREAT LAKES DREDGE& DOCK 9.00 350,671 18 0.68 0.36 2.87 -0.06 +0.78 +8.7%
24 RH RESTORATION HARDWARE 131.93 2,431,318 39,901 1.04 0.56 2.85 2.53 -31.78 -24.1%
25 CIG COMPANHIA ENER MINAS GER 3.45 4,072,448 15 0.98 0.53 2.85 0.07 +0.40 +11.6%
26 NBRV NABRIVA THERAPEUTICS AG AMERIC 2.39 1,081,455 965 1.30 0.70 2.84 -0.19 +0.80 +33.5%
27 CNCE CONCERT PHARMACEUTICALS INC. 12.65 298,213 248 1.14 0.62 2.83 -0.43 -3.35 -26.5%
28 MD MEDNAX INC 27.34 1,270,400 143 0.49 0.28 2.79 0.22 -1.87 -6.8%
29 SIG SIGNET JEWELERS LTD. 27.69 1,191,182 4,988 0.98 0.55 2.77 0.45 -5.45 -19.7%
30 DF DEAN FOODS 3.17 1,095,401 44 0.99 0.56 2.77 0.06 -1.13 -35.6%
31 VIV VIVO PARTICIPACOES SA 11.97 1,892,968 36 0.55 0.32 2.74 0.31 +1.03 +8.6%
32 BPT BP PRUDHOE BAY ROYAL TR 26.94 268,637 1,065 1.03 0.60 2.72 0.49 -7.44 -27.6%
33 INVA INOVA TECHNOLOGY INC 13.96 524,083 36 0.59 0.35 2.71 0.27 -0.89 -6.4%
34 SBLK STAR BULK CARRIERS CORP 6.54 305,244 322 0.83 0.48 2.71 -0.01 +1.99 +30.4%
35 TTOO T2 BIOSYSTEMS INC. COMON STOCW 2.67 321,864 73 1.27 0.75 2.70 -0.04 +0.61 +22.8%
36 CRNT CERAGON NETWORKS LTD 3.57 267,599 87 0.95 0.56 2.69 0.01 +0.23 +6.4%
37 KODK EASTMAN KODAK COMPANY 3.16 388,858 529 1.14 0.67 2.69 0.06 -0.83 -26.3%
38 HTGM HTG MOLECULAR DIAGNOSTICS INCH 2.47 212,547 9 1.14 0.68 2.68 -0.02 +0.77 +31.2%
39 VNTR VENATOR MATERIALS PLC 5.63 230,484 44 0.90 0.54 2.66 0.14 +1.58 +28.1%
40 LYG LLOYDS BANKING GRP ADS 3.22 6,096,216 537 0.42 0.25 2.64 -0.07 +0.24 +7.5%
41 KMX CARMAX INC 63.68 3,669,069 35,434 0.46 0.29 2.63 -0.16 +14.75 +23.2%
42 AI ARLINGTON ASSET INVSTMNT 7.94 504,427 614 0.36 0.22 2.63 -0.34 -0.46 -5.8%
43 PLUG PLUG POWER INC 2.42 6,968,125 3,550 1.00 0.61 2.62 0.06 +0.44 +18.2%
44 GNL GLOBAL NET LEASE INC 19.28 527,050 19 0.41 0.25 2.62 0.35 -1.16 -6.0%
45 HR HEALTHCARE REALTY TRUST 32.44 546,156 6 0.33 0.21 2.60 0.03 -2.47 -7.6%
46 AMRS AMYRIS 2.10 3,339,069 3,222 1.63 1.03 2.59 -0.24 +3.03 +144.3%
47 DHT DHT MARITIME INC 4.43 1,080,859 142 0.60 0.38 2.59 -0.09 +0.81 +18.3%
48 HEXO HEXO CORP 6.37 3,982,125 1,198 0.86 0.55 2.58 -0.03 +0.63 +9.9%
49 FFIN FIRST FINANCIAL BANKSHRS 57.54 248,979 7 0.36 0.23 2.56 1.01 +3.84 +6.7%
50 CGEN COMPUGEN LTD 4.19 399,637 23 0.99 0.63 2.56 0.02 -0.94 -22.4%
51 BHLB BERKSHIRE HILLS BANCORP 27.62 354,353 1 0.39 0.25 2.55 0.33 +2.31 +8.4%
52 WAIR WESCO AIRCRAFT HOLDINGS INC 8.75 376,041 8 0.63 0.41 2.54 -0.03 -0.65 -7.4%
53 HIIQ HEALTH INSURANCE INNOVATIONS 27.74 853,108 4,219 1.09 0.71 2.53 -0.10 -5.39 -19.4%
54 CIB BANCOLOMBIA SA 50.91 476,108 1 0.42 0.27 2.53 0.23 +4.49 +8.8%
55 UUUU ENERGY FUELS INC. 3.31 914,372 194 1.00 0.66 2.52 0.03 +0.42 +12.7%
56 RTIX RTI BIOLOGICS INC 5.86 253,735 5 0.55 0.36 2.52 0.07 -1.14 -19.5%
57 HMC HONDA MOTOR CO LTD ADR 27.30 386,590 144 0.30 0.20 2.51 0.14 +1.68 +6.2%
58 STZ CONSTELLATION BRANDS INC 172.50 1,133,594 5,233 0.41 0.27 2.51 2.38 +27.38 +15.9%
59 VGR VECTOR GROUP LTD 10.81 862,566 577 0.41 0.27 2.51 0.01 -0.47 -4.3%
60 CELG CELGENE CORP 87.45 12,529,932 164,120 0.53 0.35 2.51 -1.33 +7.99 +9.1%
61 WOW WIDEOPENWEST INC 9.30 428,201 14 0.70 0.47 2.50 -0.01 +0.57 +6.1%
62 SILJ PUREFUNDS ISE JUNIOR SILVER SM 8.94 255,836 58 0.47 0.31 2.50 -0.31 -0.82 -9.2%
63 RLGT RADIANT LOGISTICS INC 6.07 454,989 8 0.63 0.42 2.49 0.32 +1.26 +20.8%
64 ATRS ANTARES PHARMA INC. COMMON ST 2.99 1,533,664 250 0.72 0.49 2.47 -0.01 -0.39 -13.0%
65 BBBY BED BATH & BEYOND INC 17.33 5,842,337 20,608 0.81 0.55 2.47 0.15 +2.24 +12.9%
66 NGG NATIONAL GRID PLC 56.20 785,117 944 0.30 0.21 2.47 -2.38 -3.06 -5.4%
67 STAY EXTENDED STAY AMERICA INC 18.20 1,527,587 585 0.38 0.26 2.47 0.01 +0.52 +2.9%
68 EV EATON VANCE CORP 40.26 632,265 28 0.33 0.23 2.46 0.32 +2.68 +6.7%
69 PDLI PDL BIOPHARMA INC 3.72 938,468 87 0.55 0.38 2.46 0.07 -0.29 -7.8%
70 CPRX CATALYST PHARMA PARTNERS 5.07 3,101,787 472 0.99 0.68 2.46 -0.26 +0.61 +12.0%
71 CALM CAL-MAINE FOODS INC 45.13 243,278 390 0.38 0.26 2.46 0.65 -4.14 -9.2%
72 RUBY RUBIUS THERAPEUTICS INC. COMMO 18.02 356,334 4 1.14 0.79 2.44 -0.38 +2.02 +11.2%
73 CBAY CYMABAY THERAPEUTICS INC. COMM 13.10 862,002 55 0.90 0.63 2.44 0.17 -1.47 -11.2%
74 NPTN NEOPHOTONICS 6.26 1,093,779 16 0.78 0.54 2.44 0.07 +0.55 +8.8%
75 BCS BARCLAYS PLC ADR 8.02 4,580,126 730 0.37 0.26 2.43 -0.21 +0.84 +10.5%
76 SIEN SIENTRA INC. COMMON STOCK O 8.64 399,809 225 0.91 0.64 2.42 0.08 -1.54 -17.8%
77 BTG B2GOLD CORP. 2.78 4,069,439 260 0.54 0.38 2.42 -0.11 -0.13 -4.7%
78 AVYA AVYA 17.01 644,509 679 0.68 0.48 2.42 -0.26 +2.31 +13.6%
79 MAG MAGNETEK INC 10.39 511,721 47 0.57 0.40 2.42 -0.70 -1.32 -12.7%
80 RDNT RADNET INC 12.30 295,619 1,035 0.54 0.39 2.41 0.11 +0.97 +7.9%
81 WBA WALGREEN BOOTS ALLIANCE INC. M 62.51 5,711,254 11,625 0.38 0.27 2.41 0.28 -9.19 -14.7%
82 AUPH AURINIA PHARMACEUTICALS INC OR 6.42 387,402 205 0.65 0.46 2.41 0.00 +0.48 +7.5%
83 LW LW 73.92 2,099,627 244 0.32 0.23 2.41 1.65 -6.84 -9.3%
84 EBS EMERGENT BIOSOLUTIONS INC. 49.87 736,750 21 0.48 0.34 2.40 0.51 +4.10 +8.2%
85 GNW GENWORTH FINANCIAL INC A 3.84 1,475,542 1,022 0.66 0.47 2.40 -0.05 +0.19 +4.9%
86 MRNS MARINUS PHARMACEUTICALS INC. P 3.94 287,395 622 1.10 0.78 2.40 0.08 +0.75 +19.0%
87 MCRN MILACRON HLDGS CORP 11.30 247,879 14 0.48 0.35 2.40 -0.06 +3.78 +33.5%
88 MRKR MARKER THERAPEUTICS INC 6.03 668,950 74 1.25 0.90 2.40 -0.68 +1.02 +16.9%
89 FTR FRONTIER COMMUNICATNS B 2.07 3,170,808 1,553 1.08 0.78 2.39 0.01 +0.61 +29.5%
90 SNBR SLEEP NUMBER CORP 47.89 412,932 254 0.62 0.45 2.39 0.50 -9.39 -19.6%
91 LXRX LEXICON PHARMACEUTICALS 5.26 504,231 486 0.90 0.65 2.39 -0.06 +1.16 +22.1%
92 SGRY SURGERY PARTNERS INC. COMMON S 11.32 217,239 143 0.67 0.48 2.39 0.01 -2.18 -19.3%
93 OR OSISKO GOLD ROYALTIES LTD 11.31 559,192 45 0.42 0.30 2.38 -0.54 +0.40 +3.5%
94 CHFC CHEMICAL FINANCIAL CORP 41.00 511,037 15 0.36 0.26 2.38 0.63 +3.78 +9.2%
95 CPG CRESCENT POINT ENERGY CORP 3.20 2,296,874 209 0.76 0.55 2.38 -0.07 +1.14 +35.6%
96 DSX DIANA SHIPPING INC 2.84 286,300 606 0.56 0.41 2.37 0.04 +0.44 +15.5%
97 SGH SMART GLOBAL HOLDINGS INC. ORD 23.87 648,378 3,263 0.91 0.67 2.37 0.67 -5.60 -23.5%
98 SPWH SPORTSMANS WAREHOUSE HOLDINGS 4.91 1,360,335 865 0.62 0.45 2.37 -0.52 +0.46 +9.4%
99 ARA ARACRUZ CELULOSE SA CL B 6.01 3,072,718 398 0.97 0.71 2.37 -3.69 +1.95 +32.4%
100 MDCO MEDICINES CO THE 27.86 1,213,397 2,056 0.61 0.45 2.37 0.89 +2.57 +9.2%

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.