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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 SYNT SYNTEL INC 16.80 288,303 26 3.12 0.62 5.99 -0.26 -0.98 -5.8%
2 SFUN SOUFUN HOLDINGS ADR 2.66 2,458,586 39 2.33 0.49 5.79 -0.05 +0.98 +36.8%
3 PRTK PROFILE TECHNOLOGIES INC 18.80 716,781 899 1.93 0.47 5.16 0.20 +6.20 +33.0%
4 AEZS AETERNA ZENTARIS 3.05 544,413 2,229 2.09 0.63 4.30 0.15 -0.30 -9.8%
5 CRIS CURIS INC 2.78 395,651 20 1.56 0.65 3.40 -0.07 -0.30 -10.8%
6 CWH COMMONWEALTH REIT 31.29 419,498 49 0.87 0.37 3.36 -0.43 -3.48 -11.1%
7 BBRY BLACKBERRY 6.95 9,095,733 58,638 0.62 0.27 3.33 -0.06 +2.24 +32.2%
8 ACOR ACORDA THERAPEUTICS INC 26.70 492,102 364 1.13 0.51 3.21 -0.25 -11.10 -41.6%
9 RAD RITE AID CORP 4.42 11,430,193 27,632 0.80 0.38 3.08 -0.06 -0.67 -15.2%
10 SHOR SHORETEL INC 6.20 604,243 8 0.71 0.35 3.02 0.05 -0.50 -8.1%
11 SPWH SPORTSMANS WAREHOUSE HOLDINGS 4.84 626,692 30 0.86 0.44 2.96 0.16 -0.51 -10.5%
12 NVMI NOVA MEASUR INSTRUMENTS 18.62 205,884 589 0.49 0.25 2.93 0.72 -1.53 -8.2%
13 EVC ENTRAVISION CMMNCTNS 6.10 429,893 853 0.68 0.36 2.90 -0.05 +0.40 +6.6%
14 ANGI ANGIES LIST INC. COMMON STOCK 5.75 263,823 370 0.78 0.41 2.89 0.08 +0.47 +8.2%
15 VEDL VEDANTA LTD 17.03 957,745 472 0.84 0.45 2.87 0.17 -2.81 -16.5%
16 GERN GERON CORPORATION 2.21 1,272,980 553 1.00 0.54 2.87 -0.03 +0.52 +23.5%
17 BSMX GRUPO FINANCIERO SANTANDER MXI 9.19 2,914,656 17 0.65 0.35 2.86 0.11 -0.46 -5.0%
18 VRML VERMILLION INC 2.11 217,022 1 1.37 0.74 2.84 -0.11 -0.39 -18.5%
19 TXMD THERAPEUTICSMD INC. COMMON ST 7.06 1,621,522 500 0.93 0.50 2.84 -0.13 -2.65 -37.5%
20 MHLD MAIDEN HOLDINGS LTD 13.90 576,673 17 0.52 0.28 2.82 0.10 -2.13 -15.3%
21 SNAK INVENTURE GROUP 4.00 304,957 215 0.75 0.42 2.78 -0.07 +0.89 +22.3%
22 SAGE SAGEBRUSH GOLD LTD. COMMON STO 64.83 380,029 175 1.10 0.62 2.76 0.68 +9.51 +14.7%
23 NBIX NEUROCRINE BIOSCIENCES 41.78 1,381,854 677 0.81 0.46 2.75 -1.15 +13.04 +31.2%
24 FTR FRONTIER COMMUNICATNS B 2.13 65,099,831 11,987 0.72 0.42 2.73 0.11 -0.29 -13.6%
25 IDRA IDERA PHARMACEUTICALS 2.51 1,519,416 57 1.17 0.68 2.73 0.04 -0.43 -17.1%
26 EROS EROS INTL PLC 10.10 270,339 1,832 0.93 0.54 2.73 -0.15 -1.45 -14.4%
27 ATH ATH 49.76 2,965,594 23 0.36 0.21 2.73 -0.11 +3.98 +8.0%
28 ARLZ ARALEZ PHARMACEUTICALS INC. CO 2.18 992,916 80 1.18 0.69 2.71 -0.07 -0.70 -32.1%
29 PDLI PDL BIOPHARMA INC 2.16 2,372,481 23 0.85 0.50 2.69 -0.03 +0.16 +7.4%
30 FBR FIBRIA CELULOSE SA ADR 8.67 980,043 19 0.66 0.39 2.69 -0.04 +1.06 +12.2%
31 JMBA JAMBA INC 9.10 295,260 50 0.39 0.23 2.69 -0.05 -0.99 -10.9%
32 SSW SEASPAN CORPORATION 6.70 702,400 202 0.70 0.43 2.64 0.01 -0.58 -8.7%
33 ACRX ACELRX PHARMACEUTICALS 3.10 313,885 76 0.85 0.52 2.63 0.00 -0.60 -19.4%
34 RFP RESOLUTE FOREST PRODUCTS INC 5.40 371,414 1,036 0.88 0.54 2.63 0.25 -0.40 -7.4%
35 PCTI PC-TEL INC 6.82 351,630 126 0.47 0.29 2.63 0.56 +1.30 +19.1%
36 BGCP BGC PARTNERS INC CL A 11.26 1,839,323 253 0.34 0.21 2.61 0.42 -0.66 -5.9%
37 CGI CELADON GROUP 6.50 234,319 111 1.02 0.64 2.59 -0.15 -2.65 -40.8%
38 BBBY BED BATH & BEYOND INC 39.93 1,648,131 2,736 0.41 0.26 2.58 0.56 -2.65 -6.6%
39 GRFS GRIFOLS S.A. AMERICAN DEPOSIT 19.03 1,116,159 205 0.35 0.22 2.58 0.83 +1.04 +5.5%
40 AHT ASHFORD HOSPITALITY TR 6.36 907,561 1,186 0.69 0.44 2.57 0.04 -0.27 -4.2%
41 MULE MULE 23.71 439,639 89 0.59 0.38 2.57 -0.09 -2.11 -8.9%
42 CLS CELESTICA INC 14.17 242,813 7 0.42 0.27 2.56 0.01 -0.58 -4.1%
43 VIV VIVO PARTICIPACOES SA 14.89 1,386,888 82 0.49 0.31 2.55 -0.02 -0.60 -4.0%
44 ECHO ECHO GLOBAL LOGISTICS 21.60 269,285 56 0.43 0.28 2.54 0.35 -2.75 -12.7%
45 WWE WORLD WRESTLING ENTMT 22.47 410,618 1,664 0.45 0.29 2.54 0.04 -1.92 -8.5%
46 VIAV VIAVI SOLUTIONS INC COMMON STO 10.80 3,166,107 1,237 0.39 0.25 2.52 -0.05 -1.34 -12.4%
47 SLAB SILICON LABORATORIES INC 73.50 276,298 6 0.42 0.28 2.52 0.80 -4.55 -6.2%
48 ALR ALERE INC 39.73 886,747 948 0.75 0.50 2.51 0.89 +9.69 +24.4%
49 MNTX MANITEX INTERNATIONAL 6.70 356,844 2 0.74 0.49 2.50 -0.45 +0.50 +7.5%
50 TIME TIME INC 19.35 667,494 504 0.47 0.32 2.46 0.00 -1.45 -7.5%
51 EXTR EXTREME NETWORKS INC 7.38 8,362,184 1,727 0.56 0.39 2.46 0.92 +0.73 +9.9%
52 PTC PAR TECHNOLOGY CORP 52.47 899,531 739 0.38 0.26 2.45 -0.61 +1.73 +3.3%
53 MACK MERRIMACK PHARMACEUTICALS INC 3.06 3,209,936 729 0.88 0.61 2.45 0.02 +0.33 +10.8%
54 JILL JILL 13.85 625,151 40 0.53 0.37 2.44 0.74 -1.05 -7.6%
55 TIS ORCHIDS PAPER PRODUCTS 23.71 558,488 225 0.45 0.32 2.44 -0.99 +1.33 +5.6%
56 ENT ENTERRA ERGY TR-TRUST UN 3.34 320,824 317 0.82 0.57 2.44 0.04 -0.48 -14.4%
57 AXTA AXALTA COATING SYSTEMS LTD 32.12 1,862,000 193 0.29 0.20 2.43 0.22 -1.31 -4.1%
58 MDXG MIMEDX GROUP INC 9.44 445,657 165 0.56 0.39 2.43 -0.23 +2.46 +26.1%
59 SFM SPROUTS FARMERS MARKET INC. C 22.79 2,901,683 2,220 0.49 0.35 2.43 -0.73 +1.10 +4.8%
60 WPG WASHINGTON PRIME GROUP 8.51 1,967,800 589 0.44 0.31 2.43 0.10 +0.98 +11.5%
61 TDG TRANSDIGM GROUP INC 220.03 1,197,925 4,740 0.38 0.27 2.43 1.10 +21.92 +10.0%
62 CUDA BARRACUDA NETWORKS INC 23.18 266,411 185 0.60 0.43 2.42 -0.41 -4.12 -17.8%
63 IBKC IBERIABANK CORP 79.30 574,242 5 0.38 0.27 2.41 2.25 -4.90 -6.2%
64 GBCI GLACIER BANCORP INC 34.22 449,119 1 0.36 0.25 2.41 1.49 -2.33 -6.8%
65 WTI W&T OFFSHORE INC 2.77 1,370,468 42 0.89 0.63 2.41 0.01 -0.81 -29.2%
66 SMRT STEIN MART INC 2.96 328,001 12 0.79 0.57 2.40 -0.03 -0.54 -18.2%
67 NLNK NEWLINK GENETICS CORPORATION C 23.12 1,056,837 6,279 1.02 0.73 2.39 1.23 -7.96 -34.4%
68 GDOT GREEN DOT 33.29 322,344 179 0.33 0.24 2.39 0.48 -1.25 -3.8%
69 ZAYO ZAYO GROUP HOLDINGS INC 32.81 1,592,645 322 0.29 0.21 2.39 -0.10 +2.05 +6.2%
70 UCTT ULTRA CLEAN HOLDINGS INC 16.18 531,396 159 0.54 0.39 2.38 0.32 -1.25 -7.7%
71 KMX CARMAX INC 60.06 1,353,666 1,450 0.42 0.30 2.38 0.01 -5.77 -9.6%
72 KOS CORTS TRUST III SHERWIN 7 1/4 6.42 1,975,144 51 0.69 0.50 2.38 0.03 -0.75 -11.7%
73 INVA INOVA TECHNOLOGY INC 13.82 2,750,911 52 0.49 0.36 2.38 0.39 -1.46 -10.6%
74 NDLS NOODLES & CO CLASS A 5.35 368,007 573 0.80 0.59 2.36 -0.10 +0.65 +12.1%
75 MMSI MERIT MEDICAL SYSTEMS 29.23 426,666 6 0.36 0.26 2.36 0.52 -1.23 -4.2%
76 RELY SIGNATURE GROUP HOLDINGS INC.U 2.70 319,873 3 0.72 0.53 2.36 0.00 -0.70 -25.9%
77 CWST CASELLA WASTE SYSTMS INC 13.94 322,179 14 0.40 0.29 2.36 0.13 +0.62 +4.4%
78 EGOV NIC INC 20.25 334,969 1 0.31 0.23 2.35 0.20 +0.95 +4.7%
79 STML STEMLINE THERAPEUTICS INC 8.35 218,147 7 1.18 0.88 2.34 -0.10 +0.80 +9.6%
80 ELOS SYNERON MEDICAL LTD ORD 10.60 573,632 11 0.41 0.31 2.34 -0.12 +0.82 +7.8%
81 CPG CRESCENT POINT ENERGY CORP 10.87 1,057,065 21 0.61 0.45 2.34 -0.45 -0.98 -9.0%
82 OTIC OTONOMY INC 12.25 386,798 70 0.76 0.57 2.34 0.00 +0.98 +8.0%
83 CSFL CENTERSTATE BANKS INC 26.04 287,143 120 0.30 0.23 2.33 0.98 -2.40 -9.2%
84 GOOS CANADA GOOSE HOLDINGS INC 16.41 484,917 366 0.67 0.51 2.32 -0.08 -0.91 -5.5%
85 TRCO TRIBUNE MEDIA CO 37.56 741,418 82 0.44 0.33 2.32 0.28 +2.45 +6.5%
86 VHC VIRNETX HOLDING CORP 2.25 311,100 3,125 1.29 0.98 2.31 0.25 +1.20 +53.3%
87 GLUU GLU MOBILE INC 2.43 16,198,292 1,069 0.63 0.48 2.31 0.05 -0.22 -9.1%
88 MDCO MEDICINES CO THE 49.09 1,137,473 1,695 0.57 0.43 2.31 -0.94 +6.86 +14.0%
89 ATRS ANTARES PHARMA INC. COMMON ST 2.74 703,358 30 0.79 0.61 2.31 0.00 +0.35 +13.0%
90 FUEL SMF ENERGY CORP 5.23 1,390,779 1,257 0.82 0.62 2.31 0.05 -1.16 -22.2%
91 AEIS ADVANCED ENERGY IND INC 68.34 457,244 707 0.34 0.26 2.31 1.54 -4.07 -6.0%
92 ZFGN ZAFGEN INC 4.60 219,046 10 1.19 0.91 2.30 -0.12 +0.63 +13.7%
93 CVGI COMMERCIAL VEHICLE GROUP 6.15 306,273 5 0.74 0.57 2.30 0.78 +2.35 +38.2%
94 PNRA PANERA BREAD CO CL A 255.45 551,095 5,432 0.28 0.21 2.30 0.21 +60.76 +23.8%
95 ICLR ICON PLC ADS 80.27 240,034 3 0.33 0.26 2.29 -0.45 -3.81 -4.8%
96 QLYS QUALYS INC. COMMON STOCK 37.60 339,248 64 0.37 0.29 2.29 0.65 -2.80 -7.4%
97 WBMD WEBMD HEALTH CORP. CLASS A 53.29 1,181,759 2,843 0.30 0.23 2.29 -0.50 -2.40 -4.5%
98 TWOU 2U INC. COMMON STOCK 38.71 403,958 9 0.40 0.31 2.29 0.34 +5.71 +14.8%
99 SBGL SIBANYE GOLD LIMITED AMERICAN 8.79 1,454,586 102 0.78 0.60 2.29 -0.27 +2.02 +22.9%
100 MLNX MELLANOX TECHNOLOGIES 50.95 397,567 549 0.39 0.30 2.29 -0.05 +1.70 +3.3%

Data Provided by HistoricalOptionData.com
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