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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 TEF TELEFONICA SA 5.78 3,160,392 11 2.30 0.21 11.82 0.04 -2.03 -35.1%
2 HDGE ACTIVE BEAR ETF 5.97 1,513,322 72 1.16 0.20 6.69 0.17 +1.98 +33.2%
3 TNP TSAKOS ENERGY NAVIGATION 2.21 378,296 29 2.42 0.45 6.32 0.03 +1.08 +48.9%
4 ENZ ENZO BIOCHEM INC 3.40 19,049,643 7,845 3.59 0.68 6.27 1.14 -1.84 -54.1%
5 OPK OPKO HEALTH INC 2.32 102,550,156 142,300 3.27 0.63 6.22 0.26 -0.97 -41.8%
6 NINE NINETOWNS INTERNET TECH 2.16 450,826 1 4.60 0.89 6.14 -0.89 -1.78 -82.4%
7 SFNC SIMMONS FIRST NATL CORP 20.41 1,165,051 1 1.41 0.28 6.05 -0.77 -5.85 -28.7%
8 CLNY COLONY FINANCIAL INC 3.68 4,217,381 473 1.72 0.34 6.02 -0.26 -2.35 -63.9%
9 UE URBAN EDGE PROPERTIES 16.99 1,583,251 48 1.00 0.21 5.82 -0.41 -10.01 -58.9%
10 RPAY REPAY HOLDINGS CORP 17.90 556,605 6 1.26 0.27 5.70 -0.25 -7.21 -40.3%
11 TISI TEAM INC 11.74 225,969 4 1.38 0.30 5.57 -0.37 -6.03 -51.3%
12 NGL NGL ENERGY PARTNERS 6.22 4,321,895 6,650 1.60 0.35 5.57 -0.84 -5.07 -81.5%
13 STAY EXTENDED STAY AMERICA INC 10.45 5,752,287 575 1.04 0.23 5.48 0.09 -5.10 -48.8%
14 GNMK GENMARK DIAGNOSTICS 4.75 6,516,070 6,071 2.33 0.53 5.40 -0.88 +2.25 +47.4%
15 UAL UNITED CONTINENTAL 52.10 16,307,212 86,470 1.32 0.30 5.38 0.51 -34.30 -65.8%
16 CNK CINEMARK HOLDINGS INC 23.58 4,733,672 1,395 1.20 0.27 5.38 0.50 -17.87 -75.8%
17 LTRPA LIBERTY TRIPADVISOR HOLDINGS N 3.51 1,671,063 281 2.65 0.62 5.28 0.05 -2.65 -75.6%
18 SNR NEW SENIOR INVESTMENT GROUP I 6.21 836,297 1,272 1.42 0.34 5.23 -0.20 -4.49 -72.3%
19 ABEV AMBEV S.A. 3.33 84,143,892 69 1.27 0.31 5.13 0.02 -1.33 -39.9%
20 GOGL GOLDEN OCEAN GROUP 3.81 403,279 38 1.95 0.47 5.11 0.09 -1.29 -33.9%
21 KOF COCA-COLA FEMSA SAB DE 53.98 214,578 7 0.85 0.21 5.05 -1.01 -15.98 -29.6%
22 MMS MAXIMUS INC 64.71 543,528 1 0.91 0.23 5.01 -0.45 -18.29 -28.3%
23 HOLI HOLLYSYS AUTOMATION TECH 14.65 256,151 126 1.69 0.44 4.89 0.05 -5.13 -35.0%
24 IHRT IHEARTMEDIA INC. CLASS A COMMP 12.76 562,142 32 1.35 0.35 4.88 -0.59 -6.89 -54.0%
25 HASI HANNON ARMSTRONG SUSTAINANBLE 35.83 788,348 287 0.90 0.23 4.88 -0.31 -20.82 -58.1%
26 NCLH NORWEGIAN CRUISE LINE HOLDINGS 27.10 11,870,478 19,647 1.34 0.35 4.88 -1.49 -20.07 -74.1%
27 NR NEWPARK RESOURCES INC 2.94 800,578 2 2.08 0.54 4.83 -0.41 -2.07 -70.4%
28 DPK DIREXION DEVLPD MKT BEAR 13.55 410,021 5 1.46 0.38 4.79 0.56 +13.02 +96.1%
29 JETS US GLOBAL JETS ETF 21.93 2,367,530 4,049 0.89 0.24 4.76 0.27 -10.68 -48.7%
30 H HYATT HOTELS 69.22 1,502,662 3,904 0.88 0.23 4.74 -0.44 -45.20 -65.3%
31 BKD BROOKDALE SENIOR LIVING 4.51 5,320,304 12,218 1.68 0.45 4.74 -0.50 -3.04 -67.4%
32 AUB ATLANTIC UNION BANKSHARES CORP 26.73 456,959 6 0.96 0.26 4.73 -0.82 -7.89 -29.5%
33 CMO CAPSTEAD MORTGAGE CORP 7.59 1,279,013 25 0.75 0.20 4.72 -0.08 -5.62 -74.0%
34 PRA PROASSURANCE CORP 25.31 514,118 22 1.01 0.27 4.70 -0.11 -7.31 -28.9%
35 APTS PREFERRED APARTMENT COMMUNITIE 9.87 674,560 110 1.07 0.29 4.69 0.10 -3.77 -38.2%
36 TACO LEVY ACQUISITION CORP. COMMON 5.43 411,745 320 1.33 0.37 4.64 -0.11 -2.98 -54.9%
37 AER AERCAP HOLDINGS N.V. 47.45 3,656,123 403 0.95 0.27 4.58 -0.11 -37.03 -78.0%
38 EGLE EAGLE BULK SHIPPING INC 2.88 866,483 9 1.98 0.56 4.51 -0.08 -1.36 -47.2%
39 AMC AMC ENTERTAINMENT 4.53 4,613,388 9,748 1.73 0.49 4.51 -0.39 -2.58 -57.0%
40 NGHC NATIONAL GENERAL HOLDINGS CORP 19.45 373,582 2 0.84 0.24 4.49 -0.04 -7.63 -39.2%
41 RLJ RLJ LODGING TRUST 12.13 3,064,787 37 0.82 0.24 4.47 -0.01 -8.25 -68.0%
42 VRRM VERRA MOBILITY CORP 12.06 4,344,141 1,201 1.10 0.32 4.46 -0.56 -6.43 -53.3%
43 FORM FORMFACTOR INC 22.38 357,228 28 1.22 0.35 4.46 -0.36 -6.03 -26.9%
44 TOWN TOWNE BANK VA 22.77 211,053 23 0.79 0.23 4.45 -0.32 -7.74 -34.0%
45 JBLU JETBLUE AIRWAYS CORP 13.88 15,717,182 20,559 1.06 0.31 4.43 0.02 -7.27 -52.4%
46 HLT HILTON WORLDWIDE HOLDINGS INC 90.45 5,850,546 6,256 0.82 0.24 4.43 -1.16 -46.15 -51.0%
47 OSW ONESPAWORLD HOLDINGS LTD 10.48 2,542,402 2,472 1.03 0.30 4.43 -0.50 -8.03 -76.6%
48 CWK CUSHMAN & WAKEFIELD PLC 16.70 704,999 2 1.08 0.31 4.43 -1.15 -9.86 -59.0%
49 RYAAY RYANAIR HLDGS PLC ADS 68.86 1,102,583 152 1.06 0.31 4.43 1.39 -24.42 -35.5%
50 CNXM CNX MIDSTREAM PARTNERS LP 10.48 1,499,844 1,103 1.07 0.31 4.43 -0.77 -5.28 -50.4%
51 MSG MADISON SQUARE GARDEN INC. CO 247.70 348,970 547 0.76 0.22 4.42 -4.12 -65.23 -26.3%
52 BPMP BPMP 10.92 580,675 227 0.99 0.29 4.41 -1.53 -4.51 -41.3%
53 MINI MOBILE MINI INC 34.80 743,298 133 1.00 0.29 4.41 -2.63 -16.39 -47.1%
54 SSB SOUTH STATE CORP 67.97 254,698 20 0.83 0.25 4.40 -0.96 -16.50 -24.3%
55 ACM AECOM TECHNOLOGY CORP. 44.78 4,000,728 2,394 0.87 0.26 4.39 -2.45 -23.01 -51.4%
56 QRTEA LIBERTY INTERACTIVE QVC GROUP 5.18 3,816,412 339 2.08 0.61 4.39 -0.25 -2.17 -41.9%
57 LUV SOUTHWEST AIRLINES CO 45.73 10,692,944 26,065 0.80 0.24 4.38 0.48 -16.58 -36.3%
58 LYV LIVE NATION INC 52.99 7,414,111 13,019 1.04 0.31 4.38 -2.46 -31.29 -59.0%
59 OHI OMEGA HEALTHCARE INVEST 39.29 1,781,896 7,477 0.71 0.21 4.38 -1.92 -25.96 -66.1%
60 CUK CARNIVAL PLC ADS 25.71 3,037,014 109 1.17 0.35 4.37 -0.91 -18.63 -72.5%
61 PEB PEBBLEBROOK HOTEL TRUST 17.94 2,313,737 30 0.86 0.26 4.36 -0.02 -12.55 -70.0%
62 LNG CHENIERE ENERGY INC 45.52 6,734,868 6,958 0.85 0.25 4.36 -0.46 -18.46 -40.6%
63 GEL GENESIS ENERGY (L.P.) 8.56 1,872,376 744 1.24 0.37 4.35 -0.76 -5.98 -69.9%
64 CEMI CHEMBIO DIAGNOSTICS INC 3.81 208,002 9 1.91 0.57 4.34 -0.05 +1.98 +52.0%
65 ALK ALASKA AIR GROUP INC 45.21 5,035,322 9,107 0.98 0.29 4.33 1.75 -25.19 -55.7%
66 GLIBA GCI LIBERTY INC. CLASS A COMMO 69.31 574,766 6 0.68 0.20 4.33 -1.90 -42.80 -61.8%
67 DRI DARDEN RESTAURANTS 88.15 2,449,075 5,498 0.82 0.25 4.31 0.20 -62.00 -70.3%
68 RYN RAYONIER INC 26.05 732,556 26 0.77 0.23 4.30 -0.41 -10.09 -38.7%
69 HGV HGV 24.22 1,300,466 8,447 1.07 0.32 4.30 -0.31 -15.94 -65.8%
70 HUD HUDSON LTD 6.23 1,042,310 122 1.51 0.46 4.28 -0.29 -3.97 -63.7%
71 FBP FIRST BANCORP PUERTO RICO 7.24 1,854,632 310 0.94 0.29 4.28 -0.44 -3.74 -51.7%
72 FOMX FOAMIX PHARMACEUTICAL LTD 2.99 1,925,679 174 2.11 0.64 4.27 -0.25 +0.45 +15.1%
73 CQP CHENIERE ENERGY PARTNERS 30.59 334,202 324 0.74 0.23 4.26 -1.52 -12.84 -42.0%
74 LADR LADDER CAPITAL CORP 15.75 1,241,162 143 0.69 0.21 4.25 -0.68 -13.10 -83.2%
75 L LOEWS CORP 44.18 1,819,466 30 0.70 0.22 4.24 -1.35 -15.66 -35.4%
76 FHB FIRST HAWAIIAN INC. COMMON STO 22.02 2,428,590 13 0.73 0.23 4.24 -0.83 -6.60 -30.0%
77 PTMN PORTMAN RIDGE FINANCE CORP 2.06 229,924 1 0.87 0.27 4.23 -0.09 -1.31 -63.6%
78 MGM MGM MIRAGE INC 20.39 19,490,306 53,127 1.04 0.32 4.23 -0.21 -14.49 -71.1%
79 CCL CARNIVAL CORP 27.15 29,635,013 127,155 1.16 0.36 4.23 -0.72 -19.25 -70.9%
80 LBRT LIBERTO INC 4.66 979,665 10 1.87 0.58 4.22 -0.83 -2.49 -53.4%
81 CINF CINCINNATI FINANCIAL CP 98.21 1,231,611 237 0.71 0.22 4.22 -2.93 -32.52 -33.1%
82 LAKE LAKELAND INDUSTRIES INC 16.46 1,241,100 1,011 1.75 0.54 4.22 -0.27 -3.08 -18.7%
83 DXD PROSHRS ULTSHT DOW30 ETF 26.26 3,561,902 5,278 1.00 0.31 4.19 0.47 +18.28 +69.6%
84 DAL DELTA AIR LINES INC. 45.89 25,777,087 82,700 0.82 0.26 4.19 0.88 -26.79 -58.4%
85 ASB ADVANSOURCE BIOMATERIALS 15.63 1,727,010 14 0.81 0.26 4.17 -0.57 -5.40 -34.5%
86 TMF DIREXION DLY 30Y TRSY BL 47.26 5,699,128 3,405 1.29 0.41 4.17 6.40 -21.72 -46.0%
87 SYNH SYNEOS HEALTH INC. CLASS A COM 62.82 2,080,482 3,277 1.17 0.37 4.15 -8.39 -32.80 -52.2%
88 EIDO ISHARES MSCI INDONESIA INVST 21.29 1,629,831 644 0.64 0.20 4.14 -0.56 -9.38 -44.1%
89 VLRS CONTROLADORA VUELA COMPAA DE A 8.75 438,523 266 1.23 0.39 4.14 -0.62 -5.79 -66.2%
90 SXC SUNCOKE ENERGY 4.02 794,586 16 1.60 0.51 4.13 -0.33 -1.24 -30.8%
91 NFG NATIONAL FUEL GAS CO 38.59 1,402,384 3,478 0.67 0.22 4.13 1.19 -7.01 -18.2%
92 ENBL ENABLE MIDSTREAM PARTNERS LP 5.00 2,819,923 879 1.10 0.35 4.12 -1.03 -3.39 -67.8%
93 GPC GENUINE PARTS CO 82.85 1,833,879 2,525 0.67 0.22 4.11 -2.80 -33.17 -40.0%
94 AMJ JPMORGAN ALERIAN MLP INDEX E 15.58 6,253,550 9,112 0.63 0.20 4.11 -1.20 -9.43 -60.5%
95 CVI CVR ENERGY INC 24.29 1,049,325 342 1.00 0.32 4.10 -0.23 -10.40 -42.8%
96 TROW T. ROWE PRICE GROUP 116.75 2,166,044 1,264 0.76 0.25 4.07 -5.26 -34.24 -29.3%
97 ALGT ALLEGIANT TRAVEL CO 121.76 282,820 126 0.87 0.28 4.06 -1.74 -61.70 -50.7%
98 SIX SIX FLAGS INC 21.33 3,963,312 14,041 1.29 0.42 4.05 0.24 -12.58 -59.0%
99 INO INOVIO BIOMEDICAL CORP 14.09 192,632,726 156,788 3.19 1.05 4.04 4.29 -8.96 -63.6%
100 BOH BANK OF HAWAII CORP 70.40 277,483 151 0.64 0.21 4.04 -2.13 -23.70 -33.7%

Data Provided by HistoricalOptionData.com
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