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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 GLYC GLYCOMIMETICS INC. COMMON STO 9.02 386,401 2,875 2.07 0.53 4.91 -0.16 -6.38 -70.7%
2 NTGN NEON THERAPEUTICS INC. COMMON 2.89 640,483 2 2.89 0.85 4.40 -0.38 -0.58 -20.1%
3 ALLK ALLAKOS INC. COMMON STOCK 34.57 388,113 154 2.10 0.63 4.31 0.65 +58.27 +168.6%
4 NMR NOMURA HOLDINGS INC ADS 3.20 513,248 1 0.86 0.27 4.19 -0.07 +0.54 +16.7%
5 UMPQ UMPQUA HOLDINGS CORP 17.30 1,061,448 1 0.76 0.25 3.99 -0.23 -2.12 -12.3%
6 ATNX ATHENEX INC. COMMON STOCK 18.33 493,133 97 1.65 0.57 3.89 -0.31 -5.89 -32.1%
7 DCPH DECIPHERA PHARMACEUTICALS INC. 21.54 387,005 485 1.74 0.61 3.85 0.06 +21.45 +99.6%
8 SFNC SIMMONS FIRST NATL CORP 25.01 502,849 40 0.77 0.28 3.75 -0.86 +1.39 +5.6%
9 FEYE FIREEYE INC. COMMON STOCK 16.18 3,974,212 12,629 0.97 0.38 3.54 0.23 -3.52 -21.8%
10 GRUB GRUBHUB INC 79.73 4,967,591 43,468 1.25 0.50 3.51 5.09 -22.36 -28.0%
11 GRPN GROUPON INC. CLASS A COMMON S 3.46 3,917,109 4,918 1.03 0.42 3.49 -0.05 -1.15 -33.2%
12 TTS TILE SHOP HLDGS INC. COMMON S 2.89 898,668 16 1.29 0.52 3.49 0.14 -0.65 -22.5%
13 GMLP GOLAR LNG PARTNERS LP COMMON U 11.78 235,968 27 0.78 0.32 3.44 -0.17 -2.46 -20.9%
14 RTRX DESERT GATEWAY INC. COMMON ST 19.94 397,531 1,312 1.03 0.43 3.40 -0.76 -4.39 -22.0%
15 FIT FITBIT INC 4.38 2,856,095 4,084 1.16 0.49 3.40 0.03 -1.53 -34.9%
16 AIMT AIMMUNE THERAPEUTICS INC. COMM 18.91 292,640 419 1.19 0.50 3.38 0.12 +3.97 +21.0%
17 SD SANDRIDGE ENERGY INC 6.43 255,906 23 1.14 0.48 3.36 -0.12 -2.01 -31.3%
18 HLF HERBALIFE LTD 41.41 2,232,282 1,767 0.59 0.26 3.28 -0.11 -6.32 -15.3%
19 UAA UAA 27.44 6,834,228 54,547 0.99 0.45 3.23 0.20 -9.15 -33.3%
20 RL POLO RALPH LAUREN CORP 111.27 1,437,229 8,348 0.71 0.32 3.20 1.19 -27.77 -25.0%
21 ZNGA ZYNGA INC. CLASS A COMMON STOC 6.41 15,044,476 13,729 0.69 0.32 3.19 -0.05 -0.90 -14.0%
22 SDRL SEADRILL LIMITED 3.81 863,722 138 1.71 0.79 3.18 -0.37 -1.74 -45.7%
23 PBH PRESTIGE BRANDS HOLDINGS 34.05 286,921 16 0.63 0.29 3.18 0.54 -2.23 -6.5%
24 CARS CARS COM INC 19.32 658,406 1,041 0.76 0.35 3.17 -0.69 -10.61 -54.9%
25 UA UNDER ARMOUR INC CL A 24.39 2,496,910 6,983 0.91 0.42 3.15 0.22 -8.08 -33.1%
26 VG VONAGE HOLDINGS CORP 12.43 1,214,761 707 0.80 0.37 3.14 -0.07 +1.32 +10.6%
27 AI ARLINGTON ASSET INVSTMNT 6.68 233,919 37 0.50 0.24 3.13 0.07 -1.18 -17.7%
28 GEO GEO GROUP INC 16.42 994,989 3,449 0.64 0.30 3.13 -0.08 +1.88 +11.4%
29 MDCO MEDICINES CO THE 37.31 1,094,735 1,604 0.93 0.44 3.10 0.37 -6.16 -16.5%
30 YETI YETI HOLDINGS INC 36.34 909,775 2,691 1.32 0.63 3.10 0.49 -9.46 -26.0%
31 HAE HAEMONETICS CORP 123.76 269,486 2,803 0.69 0.33 3.09 0.51 +16.60 +13.4%
32 KALA KALA PHARMACEUTICALS INC. COMM 5.74 217,951 120 1.35 0.64 3.09 0.08 -1.93 -33.6%
33 TAP MOLSON COORS BREWING CLB 56.51 1,150,566 2,960 0.58 0.28 3.08 -0.08 -6.59 -11.7%
34 MEET MEETME INC 3.47 1,003,971 266 1.17 0.56 3.08 -0.10 +0.37 +10.7%
35 BSM BLACK STONE MINERALS LP 14.90 224,205 106 0.41 0.20 3.04 -0.03 -1.29 -8.7%
36 CC CIRCUIT CITY STORES INC 19.32 2,610,837 1,300 0.89 0.44 3.01 -0.17 -7.61 -39.4%
37 SNE SONY CORP 54.70 2,987,210 17,795 0.62 0.31 3.00 -0.10 +2.71 +5.0%
38 MCK MCKESSON CORP 141.28 982,013 934 0.52 0.26 3.00 2.33 +8.71 +6.2%
39 MGLN MAGELLAN HEALTH SERVICES 67.92 366,353 244 0.69 0.35 2.98 -0.71 -7.05 -10.4%
40 FNB FNB CORPORATION FL 12.08 1,427,977 39 0.49 0.25 2.98 0.01 -1.62 -13.4%
41 PSXP PHILLIPS 66 PARTNERS LP 51.95 1,684,124 4,580 0.44 0.22 2.97 -0.92 -1.80 -3.5%
42 GTT GLOBAL TELECOM & TECHNOLOGY I 12.82 1,129,621 193 1.34 0.68 2.97 -0.45 -7.92 -61.8%
43 PRTK PROFILE TECHNOLOGIES INC 3.29 283,149 118 1.13 0.58 2.96 0.08 +1.48 +45.0%
44 TEUM TEUM 3.30 1,270,791 1,033 1.58 0.81 2.95 0.00 -0.60 -18.2%
45 VRRM VERRA MOBILITY CORP 13.81 715,329 2 0.59 0.30 2.95 -0.14 -1.11 -8.1%
46 ABC AMERISOURCE BERGEN CORP 87.23 800,138 851 0.53 0.27 2.95 1.11 +7.52 +8.6%
47 STX SEAGATE TECHNOLOGY 47.48 1,650,559 4,896 0.72 0.37 2.94 -0.33 -5.38 -11.3%
48 PRTY PARTY CITY HOLDCO INC 6.08 2,102,975 1,664 0.96 0.50 2.92 -0.25 -2.01 -33.1%
49 CTRA CONTURA ENERGY INC 36.83 211,026 1 0.57 0.30 2.92 -1.46 -7.38 -20.0%
50 RVNC REVANCE THERAPEUTICS INC. COM 12.07 220,340 107 0.86 0.45 2.91 0.20 -1.45 -12.0%
51 FSLR FIRST SOLAR INC. COMMON STOCK 66.05 762,075 5,486 0.69 0.36 2.91 1.03 -7.48 -11.3%
52 WAIR WESCO AIRCRAFT HOLDINGS INC 10.87 394,607 150 0.92 0.48 2.90 0.02 -1.23 -11.3%
53 NBRV NABRIVA THERAPEUTICS AG AMERIC 2.35 352,438 117 1.41 0.74 2.89 0.00 -0.69 -29.4%
54 BGS B&G FOODS INC CL A 18.42 1,565,983 1,141 0.61 0.32 2.88 0.19 +2.26 +12.3%
55 OLED UNIVERSAL DISPLAY CORPORATION 214.36 496,675 2,807 1.08 0.58 2.88 0.50 -26.15 -12.2%
56 IAG IAMGOLD CORP 3.71 4,196,487 2,574 1.04 0.56 2.88 0.03 -0.54 -14.4%
57 THS TREEHOUSE FOODS INC 59.64 387,184 79 0.54 0.29 2.87 -0.10 -9.91 -16.6%
58 AKAM AKAMAI TECHNOLOGIES INC 83.52 1,013,812 4,563 0.55 0.29 2.87 -0.40 +7.24 +8.7%
59 GPRO GOPRO, INC 5.36 3,043,519 5,001 1.01 0.54 2.86 -0.04 -1.45 -27.1%
60 ANET ARISTA NETWORKS INC 272.23 666,679 1,750 0.79 0.42 2.86 -0.75 -58.18 -21.4%
61 SND SMART SAND INC. COMMON STOCK 2.19 221,254 8 1.34 0.72 2.86 -0.05 +0.51 +23.3%
62 COMM COMMSCOPE HOLDING COMPANY INC 14.87 2,275,839 1,198 0.80 0.43 2.86 -0.06 -4.75 -31.9%
63 CLX CLOROX CO THE 165.37 1,017,992 1,885 0.41 0.22 2.85 -0.96 -12.68 -7.7%
64 AR ANTERO RESOURCES CORP 4.04 16,682,518 5,424 0.89 0.48 2.85 -0.09 -0.82 -20.4%
65 CECO CAREER EDUCATION CORP 19.50 245,532 16 0.59 0.32 2.84 0.06 +2.94 +15.1%
66 ESI ITT EDUCATIONAL SERVICES 10.01 707,493 31 0.58 0.32 2.83 -0.21 -1.04 -10.4%
67 SSYS STRATASYS INC 28.49 857,399 1,319 0.89 0.48 2.83 -0.78 -6.69 -23.5%
68 AKS AK STEEL HOLDING CORP 2.54 7,471,143 10,898 1.01 0.55 2.82 0.06 +0.49 +19.3%
69 AVXL ANAVEX LIFE SCIENCES CP 2.53 346,618 197 1.27 0.70 2.82 -0.02 -0.32 -12.6%
70 WMGI WRIGHT MEDICAL GROUP 28.21 1,304,576 1,495 0.54 0.30 2.82 0.37 -7.75 -27.5%
71 KIN KINDRED BIOSCIENCES INC. COMM 6.87 436,019 15 0.85 0.47 2.81 0.15 +0.86 +12.5%
72 NOMD NOMAD FOODS LIMITED 22.67 665,442 8 0.45 0.25 2.80 0.10 -2.79 -12.3%
73 AVYA AVYA 11.41 577,498 869 0.92 0.51 2.80 0.00 +2.45 +21.5%
74 NLSN NIELSEN HOLDINGS 23.50 2,523,729 2,581 0.56 0.31 2.80 -0.05 -3.35 -14.3%
75 LL LUMBER LIQUIDATORS INC 9.63 1,683,198 7,289 0.90 0.50 2.80 -0.51 -3.04 -31.6%
76 ANGI ANGIES LIST INC. COMMON STOCK 13.81 629,840 107 0.77 0.43 2.79 -0.15 -5.67 -41.1%
77 GLW CORNING INC 34.10 5,889,405 21,848 0.49 0.28 2.79 0.31 -7.12 -20.9%
78 ETH ETHAN ALLEN INTERIORS 20.71 229,104 27 0.50 0.28 2.78 -0.18 -3.62 -17.5%
79 CTSH COGNIZANT TECH SOL CP A 66.04 2,367,374 929 0.48 0.27 2.78 -0.36 -6.10 -9.2%
80 EPC EDGEWELL PERSONAL CARE CO 29.60 433,004 150 0.57 0.33 2.76 0.07 +2.70 +9.1%
81 ATEN A10 NETWORKS INC 7.41 656,562 13 0.54 0.30 2.76 -0.06 +0.88 +11.9%
82 FHB FIRST HAWAIIAN INC. COMMON STO 26.62 1,143,000 85 0.38 0.21 2.76 -0.53 -2.13 -8.0%
83 TXMD THERAPEUTICSMD INC. COMMON ST 2.15 1,514,060 484 1.08 0.61 2.75 -0.07 +1.16 +54.0%
84 REI RING ENERGY INC. 2.30 752,881 286 1.04 0.59 2.75 -0.11 -0.70 -30.4%
85 FDP FRESH DEL MONTE PRDCE 27.24 281,960 1,890 0.63 0.36 2.75 0.47 +3.88 +14.2%
86 NEWM NEW MEDIA INVESTMENT GROUP 10.41 1,405,946 85 0.51 0.29 2.75 0.07 -3.33 -32.0%
87 HLIT HARMONIC INC 7.94 712,978 472 0.77 0.44 2.75 0.18 -1.44 -18.1%
88 CHRS CHARMING SHOPPES INC 16.30 675,166 551 1.05 0.60 2.75 -0.39 +3.79 +23.3%
89 AMRX AMNEAL PHARMACEUTICALS INC 3.65 1,931,665 127 1.25 0.72 2.75 0.00 -1.27 -34.8%
90 NPTN NEOPHOTONICS 4.75 1,579,538 591 1.04 0.60 2.75 -0.14 +1.71 +36.0%
91 ENBL ENABLE MIDSTREAM PARTNERS LP 13.91 1,689,616 501 0.48 0.28 2.75 0.18 -1.94 -14.0%
92 AERI AERIE PHARMACEUTICALS INC. CO 21.93 696,713 385 0.85 0.49 2.74 -0.87 +3.83 +17.5%
93 PNNT PENNANTPARK INVESTMENT CORP. 6.64 331,039 4 0.35 0.20 2.73 -0.04 -0.40 -6.0%
94 CPRI CAPRI HOLDINGS LTD 36.30 1,655,222 8,986 0.66 0.38 2.73 0.22 -9.69 -26.7%
95 RTEC RUDOLPH TECHNOLOGIES INC 28.23 228,905 44 0.61 0.35 2.73 -0.28 -6.11 -21.6%
96 WAT WATERS CORP 219.14 783,047 6,500 0.47 0.27 2.72 1.51 -19.27 -8.8%
97 ETN EATON CORP 81.07 2,449,671 2,376 0.38 0.22 2.72 -0.50 -6.21 -7.7%
98 GNW GENWORTH FINANCIAL INC A 3.90 2,658,473 1,082 0.72 0.42 2.71 -0.15 +0.57 +14.6%
99 CRUS CIRRUS LOGIC INC 48.87 289,155 1,563 0.70 0.41 2.71 0.24 +11.13 +22.8%
100 LLNW LIMELIGHT NETWORKS INC 2.47 908,390 111 0.88 0.51 2.71 -0.02 +0.38 +15.4%

Data Provided by HistoricalOptionData.com
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