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# Stock Name Stock
Price
Stock Volume Option Volume Implied
Volatility
Historical
Vol
(IV + HV)
HV
Price Change High/Low
Change % Change
1 AUO AU OPTRONICS CORP ADS 4.03 1,225,533 5 1.37 0.31 5.38 -0.11 -0.68 -16.9%
2 NVAX NOVAVAX INC 2.18 7,352,349 53,978 2.47 0.68 4.63 0.04 +0.26 +11.9%
3 CPLP CAPITAL PRODUCTS PTNR LP 2.22 1,605,120 212 0.81 0.26 4.13 0.04 +0.09 +4.1%
4 IMGN IMMUNOGEN INC 4.76 1,477,886 12,953 2.04 0.69 3.95 -0.01 +1.17 +24.6%
5 HIVE AEROHIVE NETWORKS INC 3.76 253,343 2 1.06 0.36 3.94 0.01 +1.03 +27.4%
6 MGNX MACROGENICS INC. COMMON STOCK 11.54 492,979 70 1.59 0.57 3.80 0.19 +20.78 +180.1%
7 ALDX ALDEYRA THERAPEUTICS INC. COM 8.46 203,719 1,045 1.58 0.61 3.60 0.11 -0.96 -11.3%
8 LYG LLOYDS BANKING GRP ADS 2.95 12,027,578 453 0.62 0.24 3.54 -0.05 +0.23 +7.8%
9 HMC HONDA MOTOR CO LTD ADR 29.76 530,199 62 0.54 0.21 3.52 -0.13 -3.27 -11.0%
10 OCSL OAKTREE SPECIALTY LENDING CORP 4.73 276,973 25 0.47 0.21 3.29 -0.03 +0.56 +11.8%
11 VSTO VISTA OUTDOOR INC 10.29 323,894 12 0.91 0.41 3.22 -0.29 -1.74 -16.9%
12 FSCT FORESCOUT TECHNOLOGIES INC. CO 29.27 239,899 10 1.12 0.50 3.21 0.20 +9.94 +33.9%
13 BAH BOOZ ALLEN HAMILTON 47.99 696,932 41 0.49 0.22 3.19 0.23 +6.75 +14.1%
14 CNAT CONATUS PHARMACEUTICALS INC 2.15 3,216,063 1,926 2.02 0.93 3.18 0.40 -0.42 -19.5%
15 WIT WIPRO LTD ADS 5.50 822,283 32 0.52 0.24 3.15 0.00 +0.27 +4.9%
16 NNN NATIONAL RETAIL PPT INC 52.10 1,323,480 553 0.42 0.20 3.09 0.62 +2.46 +4.7%
17 VLY VALLEY NATIONAL BANCORP 10.34 2,437,055 9,485 0.50 0.24 3.09 -0.25 -0.62 -6.0%
18 INVA INOVA TECHNOLOGY INC 20.06 876,477 1,431 0.72 0.34 3.09 0.38 -6.00 -29.9%
19 ICPT INTERCEPT PHARMACEUTICALS INC 112.35 450,147 4,233 1.16 0.57 3.06 -3.47 +19.52 +17.4%
20 BIOS BIOSCRIP INC 3.54 256,868 5 0.95 0.47 3.05 -0.03 +0.33 +9.2%
21 LXRX LEXICON PHARMACEUTICALS 4.36 599,000 92 1.14 0.56 3.05 -0.11 +1.17 +26.8%
22 BCRX BIOCRYST PHARMACEUTICALS 8.70 853,846 2,465 1.11 0.55 3.00 -0.25 +0.94 +10.8%
23 FRBK REPUBLIC FIRST BANCORP 6.00 371,921 7 0.58 0.29 2.99 -0.16 +0.63 +10.5%
24 CARG CARGURUS INC. CLASS A COMMON S 40.34 492,601 1 0.93 0.47 2.97 -0.62 +2.95 +7.3%
25 VSTM VERASTEM INC. COMMON STOCK 3.06 1,977,445 362 1.47 0.76 2.95 -0.03 +0.44 +14.4%
26 BKCC BLACKROCK KELSO CAPITAL 6.05 202,658 4 0.46 0.23 2.95 0.03 +0.30 +5.0%
27 RIGL RIGEL PHARMACEUTICALS 2.04 1,298,509 126 1.22 0.64 2.91 -0.04 +0.49 +24.0%
28 PDLI PDL BIOPHARMA INC 3.13 2,105,682 11 0.83 0.44 2.91 -0.01 +0.39 +12.5%
29 WAIR WESCO AIRCRAFT HOLDINGS INC 8.00 865,322 2 0.88 0.46 2.90 -0.05 +0.99 +12.4%
30 CRNT CERAGON NETWORKS LTD 4.16 1,057,725 197 1.12 0.59 2.89 0.16 +0.88 +21.2%
31 LGND LIGAND PHARMACTLS INC B 115.96 360,949 866 0.85 0.45 2.88 1.85 +6.88 +5.9%
32 PSO PEARSON PLC ADS 11.98 201,421 58 0.42 0.22 2.87 0.14 -0.34 -2.8%
33 AUPH AURINIA PHARMACEUTICALS INC OR 6.30 1,061,833 505 0.82 0.44 2.87 0.24 +0.54 +8.6%
34 HTH HILLTOP HOLDINGS INC 18.65 239,448 5 0.51 0.27 2.87 0.02 +0.97 +5.2%
35 GGB GERDAU SA ADS 4.19 7,226,073 93 0.87 0.47 2.86 0.06 +0.20 +4.8%
36 WTR AQUA AMERICA INC 33.88 480,876 16 0.38 0.20 2.86 -0.14 +2.40 +7.1%
37 EA ELECTRONIC ARTS INC. COMMON ST 87.24 3,939,706 8,985 0.61 0.33 2.86 -3.23 +21.56 +24.7%
38 HAS HASBRO INC 90.63 876,031 1,167 0.51 0.27 2.85 -0.10 -7.10 -7.8%
39 GPRO GOPRO, INC 4.82 2,043,209 1,890 1.11 0.60 2.85 -0.08 +1.31 +27.2%
40 ELAN ELANDIA INTERNAT INC 30.50 1,852,416 11 0.55 0.30 2.84 0.00 -2.50 -8.2%
41 CMRX CHIMERIX INC. COMMON STOCK 2.14 442,713 160 0.81 0.44 2.83 -0.03 +0.36 +16.8%
42 CPRI CAPRI HOLDINGS LTD 42.83 2,730,482 5,118 0.73 0.40 2.83 0.28 +7.12 +16.6%
43 CIG COMPANHIA ENER MINAS GER 3.74 2,897,426 9 0.97 0.53 2.82 0.02 -0.37 -9.9%
44 RBBN RIBBON COMMUNICATION INC 5.55 412,080 105 0.73 0.40 2.82 0.07 +1.01 +18.2%
45 UEPS NET 1 UEPS TECHNOLS INC 4.50 371,539 359 1.09 0.60 2.81 -0.21 -1.72 -38.2%
46 SENS SENSEONICS HOLDINGS INC 2.46 1,352,492 124 1.16 0.64 2.81 -0.09 -0.31 -12.6%
47 CPRX CATALYST PHARMA PARTNERS 2.39 507,007 3 1.08 0.60 2.81 -0.06 +0.41 +17.2%
48 TROX TRONOX INC 8.60 831,978 866 0.90 0.50 2.80 -0.25 +2.92 +34.0%
49 OCUL OCULAR THERAPEUTIX INC. COMMOP 3.82 407,197 86 0.96 0.54 2.80 0.02 -0.36 -9.4%
50 CLNY COLONY FINANCIAL INC 5.72 2,963,513 408 0.52 0.29 2.79 0.00 +0.49 +8.6%
51 ZNGA ZYNGA INC. CLASS A COMMON STOC 4.42 7,969,980 2,677 0.59 0.33 2.78 0.04 +0.75 +17.0%
52 XENT INTERSECT ENT INC. COMMON STOL 28.50 319,292 19 0.84 0.47 2.78 -0.01 +6.23 +21.9%
53 CLS CELESTICA INC 9.81 491,415 9 0.44 0.25 2.78 0.32 -2.28 -23.2%
54 RBS ROYAL BANK SCOTLAND ADS 6.31 1,221,556 222 0.51 0.29 2.77 -0.11 +0.52 +8.2%
55 MAT MATTEL INC 12.26 2,167,179 459 0.73 0.41 2.77 -0.18 +5.00 +40.8%
56 NTCT NETSCOUT SYSTEMS INC 25.93 384,144 368 0.56 0.32 2.74 -0.15 +2.01 +7.8%
57 ANGI ANGIES LIST INC. COMMON STOCK 15.89 746,135 21 0.71 0.41 2.74 -0.45 +1.84 +11.6%
58 DBO POWERSHARES DB OIL INDX 9.77 333,128 4 0.50 0.29 2.74 0.19 +0.67 +6.9%
59 CTT COMPETITIVE TECHNOLOGIES 8.90 258,172 1 0.45 0.26 2.74 0.01 +1.15 +12.9%
60 PLT PLANTRONICS INC 37.58 289,360 45 0.62 0.36 2.73 -0.26 +12.16 +32.4%
61 VERI VERITONE INC. COMMON STOCK 5.38 1,298,630 378 1.54 0.89 2.73 -0.31 -0.58 -10.8%
62 FLOW FLOW INTERNATIONAL CORP 33.11 315,426 1 0.68 0.39 2.73 0.86 +3.08 +9.3%
63 ORBK ORBOTECH LTD 59.77 801,356 135 0.45 0.26 2.73 -0.56 +6.58 +11.0%
64 EVRI EVERI HLDGS INC 6.65 374,778 3 0.78 0.45 2.72 -0.21 +1.19 +17.9%
65 GNC GNC HOLDINGS INC 3.08 978,866 2,808 1.12 0.65 2.72 -0.08 -0.30 -9.7%
66 JNPR JUNIPER NETWORKS INC 27.95 4,068,648 12,733 0.44 0.25 2.72 -0.20 -3.13 -11.2%
67 NUAN NUANCE COMMUNICATIONS 15.43 895,929 226 0.52 0.30 2.72 -0.16 +1.64 +10.6%
68 ZYNE ZYNERBA PHARMACEUTICALS INC. C 4.81 7,738,891 4,575 1.36 0.80 2.71 0.97 +1.68 +34.9%
69 DLB DOLBY LABORATORIES INC 62.68 430,570 41 0.41 0.24 2.71 -0.59 +4.19 +6.7%
70 ATKR ATKORE INTL GROUP INC 22.17 232,577 9 0.68 0.40 2.71 0.46 +3.26 +14.7%
71 BPFH BOSTON PRIVATE FINCL HLD 11.71 248,776 5 0.46 0.27 2.70 0.00 -0.61 -5.2%
72 CWK CUSHMAN & WAKEFIELD PLC 15.98 711,283 1 0.62 0.37 2.70 0.40 +2.90 +18.1%
73 ATRS ANTARES PHARMA INC. COMMON ST 3.00 342,071 99 0.90 0.53 2.69 0.00 +0.35 +11.7%
74 HMSY HMS HOLDINGS CORP 28.38 337,365 6 0.63 0.37 2.69 -0.78 +4.01 +14.1%
75 COTY COTY INC 7.21 6,904,035 342 0.80 0.47 2.69 -0.13 +4.15 +57.6%
76 MKTX MARKETAXESS HOLDINGS INC 213.50 289,298 141 0.39 0.23 2.69 -4.80 +20.92 +9.8%
77 PETX ARATANA THERAPEUTICS INC. COM 4.21 497,303 42 0.93 0.55 2.69 0.01 +0.32 +7.6%
78 ADRO ADURO BIOTECH INC. COMMON STOJ 2.47 267,675 15 1.37 0.81 2.69 0.05 +1.91 +77.3%
79 DATA DATATRAK INTERNATIONAL INC. C 124.66 718,353 1,221 0.70 0.41 2.68 -1.30 +9.08 +7.3%
80 EOLS EVOLUS INC. COMMON STOCK 15.09 552,893 741 1.71 1.02 2.68 0.10 +15.16 +100.5%
81 QTNA QUANTENNA COMMUNICATIONS INC. 14.34 277,035 5 0.72 0.43 2.68 -0.15 +3.70 +25.8%
82 MYGN MYRIAD GENETICS INC 27.58 943,285 217 0.80 0.48 2.67 0.19 +4.74 +17.2%
83 LLNW LIMELIGHT NETWORKS INC 2.86 361,474 109 0.93 0.56 2.67 0.04 +0.52 +18.2%
84 SFLY SHUTTERFLY INC 45.59 660,898 360 0.79 0.47 2.66 -0.86 -6.21 -13.6%
85 SWKS SKYWORKS SOLUTIONS INC 71.54 1,488,650 9,148 0.58 0.35 2.66 -1.15 +15.94 +22.3%
86 GRUB GRUBHUB INC 77.03 2,062,378 4,888 0.93 0.56 2.66 -3.96 +10.95 +14.2%
87 RL POLO RALPH LAUREN CORP 116.15 821,072 5,659 0.57 0.35 2.66 1.06 +12.50 +10.8%
88 EVC ENTRAVISION CMMNCTNS 3.82 229,878 2 0.95 0.58 2.66 -0.02 +0.28 +7.2%
89 BRS BRISTOW GROUP INC 3.85 1,542,493 485 1.38 0.84 2.65 -0.26 -2.74 -71.2%
90 WAGE WAGEWORKS INC 30.70 358,826 136 0.71 0.43 2.65 0.61 +7.00 +22.8%
91 FEYE FIREEYE INC. COMMON STOCK 17.27 2,946,522 10,493 0.65 0.39 2.65 -0.15 -1.46 -8.5%
92 QGEN QIAGEN NV 37.11 904,192 71 0.36 0.22 2.65 -0.05 +1.94 +5.2%
93 GE GENERAL ELECTRIC CO 8.90 113,812,807 289,692 0.67 0.41 2.65 -0.03 +2.01 +22.6%
94 GRPN GROUPON INC. CLASS A COMMON S 3.70 4,315,476 1,322 0.75 0.45 2.65 -0.01 -0.39 -10.5%
95 ATTU ATTUNITY LTD. ORDINARY SHARES 23.99 542,965 654 0.95 0.58 2.65 -0.37 -4.74 -19.8%
96 VUZI VUZIX CORP 4.05 308,020 414 1.05 0.64 2.65 -0.21 +0.42 +10.4%
97 FGEN FIBROGEN INC COMMON STOCK S 53.66 359,047 928 0.80 0.48 2.64 0.17 +5.82 +10.8%
98 HTGM HTG MOLECULAR DIAGNOSTICS INCH 2.10 322,378 13 1.24 0.76 2.64 -0.08 +0.48 +22.9%
99 CBL CBL & ASSOC PROPERTIES 2.41 1,762,701 216 0.87 0.53 2.64 0.02 -0.28 -11.8%
100 CHKP CHECK POINT SFTWARE TECH 110.76 1,643,274 2,455 0.35 0.21 2.64 1.12 +10.81 +9.8%

Data Provided by HistoricalOptionData.com
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