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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 TENX TENAX THERAPEUTICS INC 2.16 1,800,315 2,628 4.82 0.59 9.13 0.35 -1.75 -80.8%
2 RAD RITE AID CORP 6.93 85,733,418 257,640 1.04 0.29 4.60 0.15 -1.73 -25.0%
3 PER PEROT SYSTEMS CORP 3.45 1,119,646 45 1.63 0.49 4.33 -0.50 +0.30 +8.7%
4 LJPC LA JOLLA PHARMACEUTICAL 20.09 224,543 144 2.07 0.67 4.06 0.59 -1.75 -8.7%
5 TRVN TREVENA INC. COMMON STOCK 6.59 241,726 374 1.64 0.63 3.59 0.03 +1.41 +21.4%
6 ACOR ACORDA THERAPEUTICS INC 20.20 753,155 502 1.22 0.49 3.51 -0.75 +5.95 +29.5%
7 DECK DECKERS OUTDOOR CORP 58.70 681,550 834 0.82 0.34 3.42 -1.89 -14.70 -25.0%
8 MDCO MEDICINES CO THE 34.92 979,693 193 0.98 0.41 3.40 -0.07 +19.00 +54.4%
9 MFIN MEDICAL FINANCE INC. COMMON S 2.72 266,207 657 1.51 0.65 3.34 0.04 -1.12 -41.3%
10 TRVG TRVG 11.12 457,349 27 0.54 0.23 3.31 -0.22 +3.05 +27.4%
11 IMMU IMMUNOMEDICS INC 4.65 1,512,501 1,929 1.54 0.76 3.03 0.07 +1.24 +26.7%
12 EPZM EPIZYME INC 10.15 350,688 10 1.27 0.64 3.00 0.30 +2.65 +26.1%
13 TEVA TEVA PHARMACEUTICAL LTD 34.59 10,752,490 42,057 0.60 0.31 2.95 0.66 -2.69 -7.8%
14 CRUS CIRRUS LOGIC INC 60.69 671,977 7,357 0.85 0.44 2.93 0.35 -7.88 -13.0%
15 ATHN ATHENAHEALTH INC 124.85 301,778 312 0.69 0.39 2.79 1.00 -16.57 -13.3%
16 AXDX ACCELERATE DIAGNOSTICS INC. C 20.55 310,035 562 1.03 0.58 2.78 0.85 +3.95 +19.2%
17 RTRX DESERT GATEWAY INC. COMMON ST 19.10 311,642 1,407 0.85 0.48 2.77 0.19 +2.65 +13.9%
18 AOBC AOBC 20.58 817,767 538 0.38 0.22 2.75 -0.22 -2.38 -11.6%
19 VCRA VOCERA COMMUNICATIONS INC 20.69 386,460 25 0.58 0.34 2.69 0.56 +1.79 +8.7%
20 TICC TICC CAPITAL CORP 6.91 295,988 9 0.48 0.28 2.69 0.13 +1.17 +16.9%
21 VIAV VIAVI SOLUTIONS INC COMMON STO 9.23 3,592,759 7,423 0.49 0.29 2.69 0.13 +1.66 +18.0%
22 ELNK EARTHLINK INC 6.53 534,490 12 0.70 0.42 2.68 0.01 -0.92 -14.0%
23 SNY SANOFI-AVENTIS ADS 39.88 1,365,003 292 0.37 0.22 2.67 0.37 +3.84 +9.6%
24 UVV UNIVERSAL CP 74.05 771,169 656 0.36 0.21 2.67 -0.95 +9.30 +12.6%
25 SSI STAGE STORES INC 2.75 1,203,490 109 1.21 0.73 2.66 -0.14 -0.47 -17.1%
26 PBH PRESTIGE BRANDS HOLDINGS 52.13 241,065 10 0.39 0.24 2.66 -0.37 +5.12 +9.8%
27 GDOT GREEN DOT 26.64 627,095 51 0.39 0.24 2.65 -0.06 -0.98 -3.7%
28 DISCK DISCOVERY COMMS C 27.41 938,121 5 0.47 0.28 2.65 0.13 +0.87 +3.2%
29 DCOM DIME COMMUNITY BANCSHARE 21.95 251,082 21 0.37 0.23 2.64 1.25 -1.55 -7.1%
30 ELOS SYNERON MEDICAL LTD ORD 9.65 232,838 354 0.55 0.34 2.63 0.70 +1.00 +10.4%
31 STML STEMLINE THERAPEUTICS INC 10.20 431,116 82 1.07 0.66 2.62 -0.20 -4.70 -46.1%
32 HAS HASBRO INC 82.59 1,631,652 1,296 0.37 0.23 2.62 1.08 +16.17 +19.6%
33 ARLZ ARALEZ PHARMACEUTICALS INC. CO 4.29 212,567 264 0.99 0.62 2.61 0.05 +0.36 +8.4%
34 AZN ASTRAZENECA PLC 27.05 7,316,809 4,123 0.39 0.25 2.60 0.33 +2.69 +9.9%
35 SANM SANMINA-SCI CORP 36.80 574,398 3,010 0.51 0.32 2.59 0.80 +4.45 +12.1%
36 PBYI Puma Biotechnology, Inc. 32.15 388,520 514 1.34 0.84 2.59 0.15 +8.35 +26.0%
37 TRMB TRIMBLE NAVIGATION LTD 29.97 565,575 7 0.45 0.29 2.59 0.20 +2.22 +7.4%
38 WEB WEB COM GROUP INC 19.45 251,880 15 0.57 0.36 2.58 -0.30 +3.05 +15.7%
39 UBNT UBIQUITI NETWORKS INC. COMMON 62.63 265,834 719 0.46 0.30 2.57 0.64 -14.08 -22.5%
40 FB FACEBOOK INC 132.18 19,167,157 370,820 0.41 0.26 2.57 -0.60 +3.31 +2.5%
41 FGEN FIBROGEN INC COMMON STOCK S 23.30 400,091 155 0.93 0.61 2.53 0.10 -2.25 -9.7%
42 CYNO CYNOSURE INC CL A 46.25 538,919 76 0.60 0.39 2.53 -1.25 +20.25 +43.8%
43 FEYE FIREEYE INC. COMMON STOCK 12.60 4,834,323 6,560 0.81 0.53 2.52 -0.22 -2.00 -15.9%
44 ELY CALLAWAY GOLF CO 11.47 522,749 2,871 0.43 0.28 2.52 -0.10 -1.54 -13.4%
45 FRED FRED'S INC 14.11 4,069,707 9,834 1.13 0.75 2.52 -0.34 +3.63 +25.7%
46 ALGN ALIGN TECHNOLOGY INC 90.93 1,711,649 7,664 0.42 0.28 2.52 -1.30 +11.07 +12.2%
47 KNL KNOLL INC 26.74 243,541 1 0.44 0.29 2.52 -0.25 -4.24 -15.9%
48 ISBC INVESTORS BANCORP INC 14.46 8,085,453 1,610 0.30 0.20 2.51 0.36 +0.47 +3.3%
49 TCB TCF FINANCIAL CORP 17.72 3,670,143 3 0.46 0.31 2.51 -1.44 -0.94 -5.3%
50 AAP ADVANCE AUTO PARTS INC 164.37 768,073 279 0.39 0.26 2.51 -1.13 -6.59 -4.0%
51 WWE WORLD WRESTLING ENTMT 19.50 317,130 28 0.46 0.31 2.50 -0.13 +3.64 +18.7%
52 IRWD IRONWOOD PHARMACEUTICALS 13.97 1,067,298 69 0.65 0.43 2.50 0.02 +3.27 +23.4%
53 ENTG ENTEGRIS INC 19.05 408,501 20 0.42 0.28 2.50 0.10 +2.95 +15.5%
54 NYMT NEW YORK MORTGAGE TRUST 6.58 936,854 26 0.55 0.37 2.49 0.01 -0.32 -4.8%
55 BAH BOOZ ALLEN HAMILTON 36.26 2,042,245 390 0.30 0.20 2.49 0.06 -3.51 -9.7%
56 EPC EDGEWELL PERSONAL CARE CO 78.56 405,975 3 0.39 0.26 2.49 -1.14 -4.17 -5.3%
57 RRR RSC HOLDINGS INC 23.69 524,857 25 0.34 0.23 2.49 0.00 -0.69 -2.9%
58 ZNGA ZYNGA INC. CLASS A COMMON STOC 2.57 9,792,710 1,705 0.57 0.38 2.48 0.00 +0.17 +6.6%
59 WIX WIX.COM LTD. ORDINARY SHARES 54.70 234,283 10 0.60 0.40 2.48 -0.35 +9.60 +17.6%
60 ESRX EXPRESS SCRIPTS INC 67.59 9,060,402 27,293 0.35 0.24 2.47 -1.63 +3.35 +5.0%
61 OTEX OPEN TEXT CP 34.79 534,020 636 0.37 0.25 2.47 0.01 -2.20 -6.3%
62 URA GLOBAL X URANIUM ETF 17.67 496,780 285 0.44 0.30 2.46 0.19 +1.66 +9.4%
63 CHKR CHESAPEAKE GRANTITE WASH TRUST 3.15 278,288 8 0.94 0.64 2.46 -0.15 -0.35 -11.1%
64 AMPH AMERICAN PHYSICNS SVC GP 15.58 290,646 3 0.67 0.46 2.46 0.05 +2.92 +18.7%
65 IRBT IROBOT CORP 62.18 382,549 449 0.46 0.32 2.46 -0.90 -10.06 -16.2%
66 CALD CALLIDUS SOFTWARE INC 18.60 231,786 20 0.56 0.38 2.45 0.10 +2.83 +15.2%
67 FTNT FORTINET INC. 32.78 1,201,088 6,072 0.47 0.33 2.44 0.21 +5.54 +16.9%
68 BOOT LACROSSE FOOTWEAR INC 10.58 572,894 13 1.05 0.73 2.44 -0.48 -1.77 -16.7%
69 CPLP CAPITAL PRODUCTS PTNR LP 3.69 787,358 780 0.88 0.61 2.44 0.01 -0.37 -10.0%
70 SGYP SYNERGY PHARMACEUTICALS 6.27 10,131,007 9,398 1.01 0.70 2.44 0.44 +0.88 +14.0%
71 NKTR NEKTAR THERAPEUTIC SYSTS 12.37 1,475,563 301 0.65 0.46 2.43 0.12 +1.59 +12.9%
72 ZAYO ZAYO GROUP HOLDINGS INC 32.18 2,431,222 342 0.37 0.26 2.43 0.40 -2.28 -7.1%
73 CDNS CADENCE DESIGN SYSTEMS 26.22 894,074 49 0.29 0.20 2.43 0.26 +4.19 +16.0%
74 COH COACH INC 35.58 2,874,277 3,313 0.37 0.26 2.43 -0.32 +3.06 +8.6%
75 DV DEVRY INC 32.90 278,445 35 0.71 0.50 2.42 0.10 -1.25 -3.8%
76 WPG WASHINGTON PRIME GROUP 9.45 1,682,822 372 0.48 0.34 2.42 -0.30 +0.40 +4.2%
77 LPL LG DISPLAY CO LTD 13.18 372,456 2 0.49 0.34 2.42 -0.09 -1.09 -8.3%
78 SBH SALLY BEAUTY HOLDINGS INC. 24.22 2,470,190 59 0.48 0.34 2.42 -0.39 -2.71 -11.2%
79 RMBS RAMBUS INC 13.89 328,872 769 0.39 0.28 2.42 0.12 -1.52 -10.9%
80 EXTR EXTREME NETWORKS INC 5.49 616,552 117 0.69 0.49 2.42 0.03 +0.76 +13.8%
81 AMZN AMAZON.COM INC 835.77 2,979,178 121,542 0.39 0.28 2.42 -3.38 -32.77 -3.9%
82 LXRX LEXICON PHARMACEUTICALS 13.90 403,989 134 0.76 0.54 2.41 0.01 +2.15 +15.5%
83 SCSS SELECT COMFORT CORP 19.78 557,815 1,649 0.72 0.51 2.41 0.05 +3.09 +15.6%
84 GV GOLDFIELD CORP THE 6.15 940,158 180 0.89 0.63 2.41 -0.30 +1.10 +17.9%
85 WTS WATTS WATER TECHNOLOGIES 65.70 210,220 4 0.32 0.23 2.41 1.40 -5.65 -8.6%
86 BANC FIRST PACTRUST BANCORP INC. C 14.80 2,447,550 1,973 0.74 0.52 2.41 -0.60 +5.70 +38.5%
87 WCG WELLCARE HEALTH PLANS 145.32 340,479 89 0.40 0.29 2.40 0.47 -8.65 -6.0%
88 FLT FLEETCOR TECHNOLOGIES 148.18 645,173 42 0.39 0.28 2.40 0.13 +21.77 +14.7%
89 CORT CORCEPT THERAPEUTICS INC 7.51 329,658 438 0.66 0.47 2.40 0.11 +0.99 +13.2%
90 BCRX BIOCRYST PHARMACEUTICALS 6.45 603,354 1,387 2.02 1.45 2.40 0.00 -1.11 -17.2%
91 PNRA PANERA BREAD CO CL A 209.83 618,937 1,580 0.30 0.22 2.39 -0.17 +26.42 +12.6%
92 MWA MUELLER WATER PRODUCTS SER A 13.62 710,133 40 0.42 0.30 2.39 -0.14 -1.11 -8.2%
93 BRKS BROOKS AUTOMATION INC 17.67 307,876 111 0.40 0.29 2.39 0.33 +4.23 +23.9%
94 WU WESTERN UNION CO. THE 19.59 5,015,938 451 0.30 0.22 2.39 0.00 +0.82 +4.2%
95 CMG CHIPOTLE MEXICAN GRILL INC. 416.60 546,564 11,947 0.45 0.33 2.39 -2.13 -21.52 -5.2%
96 ARAY ACCURAY INC 5.30 657,053 131 0.64 0.46 2.39 0.25 +0.70 +13.2%
97 VLRS CONTROLADORA VUELA COMPAA DE A 13.48 374,266 11 0.47 0.34 2.39 -0.10 +1.44 +10.7%
98 XXIA IXIA 18.20 1,197,010 10,256 0.61 0.44 2.38 0.10 +1.35 +7.4%
99 NUAN NUANCE COMMUNICATIONS 15.96 1,535,590 536 0.40 0.29 2.38 -0.01 +1.29 +8.1%
100 AEIS ADVANCED ENERGY IND INC 59.37 330,941 483 0.38 0.27 2.38 0.61 +4.38 +7.4%

Data Provided by HistoricalOptionData.com
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