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# Stock Name Stock
Price
Stock Volume Option Volume Implied
Volatility
Historical
Vol
IVol/Avg
IVol
Price Change High/Low
Change % Change
1 RYAM RAYONIER ADVANCED MATERIALS IN 4.11 457,377 60 2.25 0.56 2.45 -0.17 +0.82 +20.0%
2 SHLX SHELL MIDSTREAM PARTNERS LP 15.81 846,383 5 0.19 0.24 2.08 -0.01 +0.04 +0.3%
3 ONEM 1LIFE HEALTHCARE INC. 17.05 8,023,406 1,654 0.28 0.98 1.93 -0.35 +0.22 +1.3%
4 OMIC SINGULAR GENOMICS SYSTEMS INC. 2.71 364,012 1 2.86 0.92 1.80 0.20 +0.77 +28.2%
5 OPK OPKO HEALTH INC 2.12 2,633,211 302 1.54 0.67 1.78 -0.01 -0.34 -16.0%
6 CHMI CHERRY HILL MORTGAGE INVESTMEN 6.26 249,046 5 1.29 0.26 1.73 -0.06 -0.59 -9.4%
7 BRMK BROADMARK REALTY CAPITAL INC 6.19 955,057 125 0.83 0.28 1.71 -0.04 -0.86 -14.0%
8 VRA VERA BRADLEY 3.44 468,042 12 2.05 0.51 1.68 -0.05 -0.54 -15.6%
9 TPVG TRIPLEPOINT VENTURE GROWTH BDC 13.03 210,075 105 0.75 0.29 1.68 0.02 -2.62 -20.1%
10 PSO PEARSON PLC ADS 10.31 307,824 24 0.75 0.41 1.63 0.14 -1.16 -11.3%
11 RPT RAMCO-GERSHENSON PROP TR 9.53 370,243 10 0.78 0.31 1.62 0.00 -2.02 -21.2%
12 AAT AMERICAN ASSETS TRUST 27.61 228,409 7 0.65 0.26 1.61 0.20 -3.53 -12.8%
13 TWO TWO HARBORS INVESTMENT 4.73 3,018,540 81 0.57 0.28 1.60 -0.04 -1.03 -21.8%
14 VRNT VERINT SYSTEMS INC 45.17 553,106 398 0.70 0.25 1.60 -1.57 -11.66 -25.8%
15 ANNX ANNX 5.73 228,472 103 1.35 0.97 1.58 -0.09 +1.17 +20.4%
16 SCPL SCIPLAY CORPORATION CLASS A CO 11.16 221,497 40 0.99 0.44 1.58 -0.14 -0.56 -5.0%
17 GPMT GRANITE POINT MORTGAGE TRUST I 8.96 476,680 69 0.62 0.28 1.58 -0.14 -1.59 -17.7%
18 FNB FNB CORPORATION FL 11.45 2,353,774 1 0.63 0.28 1.57 -0.21 +1.06 +9.3%
19 CNDT CNDT 3.98 531,635 254 1.21 0.49 1.55 -0.01 -0.60 -15.1%
20 BLCO BLCO 15.41 582,198 30 1.12 0.55 1.54 0.41 +2.64 +17.1%
21 FCF FIRST COMMONWEALTH FINL 13.19 504,082 30 0.63 0.26 1.54 -0.19 +0.64 +4.9%
22 CCOI COGENT CMMNCTNS GRP INC 54.11 286,140 3 0.60 0.29 1.54 0.64 -5.09 -9.4%
23 KYN KAYNE ANDERSON MLP 9.16 409,533 5 0.62 0.28 1.53 -0.10 -1.24 -13.5%
24 CERS CERUS CORPORATION 3.93 2,083,665 58 0.96 0.57 1.53 0.01 -0.54 -13.7%
25 TEN TENNECO INC 18.41 1,356,816 5,205 0.76 0.79 1.52 -0.22 +1.19 +6.4%
26 RTL ISHARES FTSE NAREIT RETAIL C 7.21 458,640 303 0.47 0.31 1.52 -0.07 -1.50 -20.9%
27 AVPT AVEPOINT INC 4.23 1,205,485 990 0.95 0.56 1.50 -0.17 +0.54 +12.8%
28 INCY INCYTE CORPORATION 69.11 1,037,399 161 0.52 0.31 1.50 -1.10 +3.69 +5.3%
29 RNW RENEW ENERGY GLOBAL PLC CLASS 6.63 486,736 5 0.85 0.58 1.49 -0.04 +0.70 +10.6%
30 ROG ROGERS CORP 251.67 484,785 77 0.36 0.30 1.49 -5.70 -11.18 -4.4%
31 ITUB ITAU UNIBANCO HOLDING 5.06 43,337,081 712 0.66 0.41 1.48 -0.01 +0.57 +11.4%
32 AKTS AKOUSTIS TECHNOLOGIES INC. COO 3.83 375,478 42 1.79 0.71 1.47 -0.27 -0.89 -23.2%
33 CND CONCORD ACQUISITION CORP 10.06 528,634 35 0.20 0.20 1.47 -0.01 +0.04 +0.4%
34 LAMR LAMAR ADVERTISING CO A 92.98 625,124 229 0.48 0.30 1.47 0.49 -11.39 -12.2%
35 ACGL ARCH CAPITAL GROUP LTD 45.04 1,151,724 62 0.42 0.24 1.46 -0.46 -3.99 -8.9%
36 NWPX NORTHWEST PIPE CO 32.79 272,241 23 0.71 0.38 1.45 1.51 -6.40 -19.5%
37 BRKL BROOKLINE BANCORP INC 12.54 665,116 4 0.45 0.24 1.45 -0.08 +0.47 +3.7%
38 LBTYA LIBERTY GLOBAL INC CL A 19.09 2,630,826 21 0.47 0.30 1.44 -0.87 -3.33 -17.4%
39 ROIV ROIVANT SCIENCES LTD. COMMON S 3.28 1,042,922 11 2.08 0.91 1.44 -0.24 +0.60 +18.3%
40 DWAC DWAC 22.13 5,961,979 175,288 1.97 2.06 1.43 -2.86 -6.93 -31.3%
41 BIP BROOKFIELD INFRA PTNR LP 41.37 443,143 17 0.41 0.46 1.42 0.19 -4.52 -10.9%
42 NVVE NUVVE HOLDING CORP. COMMON STO 2.47 310,452 113 1.40 0.87 1.42 -0.08 -0.91 -36.8%
43 TGA TRANSGLOBE ENERGY CORP 3.04 534,313 116 1.46 0.71 1.41 -0.05 -0.57 -18.8%
44 ARQQ ARQIT QUANTUM INC. ORDINARY SH 5.68 311,282 212 1.62 1.31 1.41 -0.57 +3.29 +57.9%
45 TS TENARIS SA ADS 27.12 1,906,781 7 0.66 0.41 1.41 -0.63 -3.17 -11.7%
46 AIV APARTMENT INV & MGMT 8.99 1,582,303 18 0.91 0.33 1.40 0.23 -1.88 -20.9%
47 API ADVANCED PHOTONIX CL A 3.80 632,622 16 1.93 0.99 1.40 -0.06 +0.86 +22.6%
48 HLN HALEON PLC 5.80 5,103,298 50 0.76 0.48 1.40 0.17 +0.47 +8.1%
49 RVNC REVANCE THERAPEUTICS INC. COM 20.10 657,584 460 2.39 0.86 1.39 -1.63 +9.41 +46.8%
50 DCPH DECIPHERA PHARMACEUTICALS INC. 16.04 922,409 14 1.42 1.58 1.39 -0.69 +4.84 +30.2%
51 RVLP RVL PHARMACEUTICALS PLC ORDINA 2.47 288,298 235 2.01 0.68 1.39 0.12 +0.52 +21.1%
52 FAZE FAZE HOLDINGS INC. COMMON STOC 13.73 1,780,964 23,530 2.29 2.01 1.39 -3.70 +4.82 +35.1%
53 PCRX PACIRA PHARMACEUTICALS 51.24 510,659 24 0.59 0.38 1.39 -0.46 +6.55 +12.8%
54 CTXS CITRIX SYSTEMS INC 102.77 641,107 741 0.24 0.27 1.38 -0.06 +1.14 +1.1%
55 TBPH THERAVANCE BIOPHARMA INC 9.43 237,205 24 1.01 0.59 1.37 0.06 +1.57 +16.6%
56 SHO SUNSTONE HOTEL INVESTORS 10.65 1,762,024 1 0.75 0.38 1.37 -0.15 -1.13 -10.6%
57 HLLY HOLLY BROTHERS PICTURES INC. C 5.77 396,665 35 1.23 0.66 1.36 0.17 -1.43 -24.8%
58 VCEL AASTROM BIOSCIENCES INC. COMMO 22.62 348,651 5 1.01 0.62 1.36 -0.07 +4.35 +19.2%
59 ADPT ADAPTEC INC 8.38 1,089,653 38 1.27 0.82 1.36 -0.34 -2.00 -23.9%
60 IIIN INSTEEL INDUSTRIES INC 27.58 233,325 6 0.87 0.43 1.36 -0.47 +2.41 +8.7%
61 ARLO ARLO TECHNOLOGIES INC 5.64 731,599 10 1.02 0.55 1.35 -0.06 -1.06 -18.9%
62 POWW AMMO INC. COMMON STOCK 3.53 1,442,628 510 1.10 0.53 1.35 -0.10 -0.47 -13.3%
63 MXCT MAXCYTE INC. COMMON STOCK 5.86 1,905,406 24 1.45 0.81 1.35 0.80 +0.85 +14.5%
64 WIT WIPRO LTD ADS 4.95 2,396,711 3 0.36 0.31 1.35 -0.04 +0.36 +7.3%
65 TTMI TTM TECHNOLOGIES INC 14.93 702,774 13 0.55 0.41 1.35 -0.19 -1.83 -12.3%
66 AGI ALAMOS GOLD INC 7.07 2,678,732 827 0.67 0.43 1.34 -0.10 -0.72 -10.2%
67 NWE NORTHWESTERN CORP 53.16 334,854 26 0.41 0.22 1.34 -0.17 -3.42 -6.4%
68 TUP TUPPERWARE BRANDS CORP 7.36 4,178,363 11,181 1.09 0.93 1.34 -3.66 +3.67 +49.8%
69 AMLX AMYLYX PHARMACEUTICALS INC. CO 17.15 3,947,713 35,522 3.89 1.23 1.33 -0.93 +15.65 +91.3%
70 VXX IPATH S&P 500 VIX SHORT-TERM 19.21 1,260,000 27,551 0.76 0.71 1.33 0.07 +2.22 +11.6%
71 INGR INGREDION INCORPORATED 84.12 314,527 13 0.33 0.24 1.33 -1.39 -5.31 -6.3%
72 BCTX BRIACELL THERAPEUTICS CORP. CO 8.05 371,837 334 1.36 0.78 1.33 -0.05 -2.43 -30.2%
73 BTG B2GOLD CORP. 3.12 7,971,655 2,100 0.78 0.42 1.33 0.00 +0.50 +16.0%
74 GRIN GRINDROD SHIPPING HOLDINGS LTD 24.86 422,765 164 0.66 0.78 1.33 0.67 -2.76 -11.1%
75 SF STIFEL FINANCIAL CORP 58.82 483,315 20 0.48 0.36 1.33 0.05 -6.26 -10.6%
76 AIRC APARTMENT INCOME REIT CORP 41.77 732,797 1 0.44 0.24 1.33 0.67 -3.98 -9.5%
77 WDS WOODSIDE ENERGY GROUP LTD 23.47 590,720 299 0.56 0.42 1.33 0.45 -4.36 -18.6%
78 CODI COMPASS DIVERSIFIED HLDG 20.05 562,475 498 0.50 0.37 1.33 -0.32 -2.17 -10.8%
79 HT HERSHA HOSPITALITY TRUST 9.34 288,644 92 0.85 0.52 1.32 -0.15 -1.58 -16.9%
80 GLPI GAMING AND LEISURE PROPERTIES 48.80 1,375,899 68 0.30 0.24 1.32 0.67 -4.15 -8.5%
81 NKTR NEKTAR THERAPEUTIC SYSTS 3.76 1,838,359 140 1.25 1.18 1.32 -0.25 -0.76 -20.2%
82 PLTK PLASTIC RECYCLING IN 10.27 2,552,848 2,298 0.71 0.64 1.31 0.08 +1.30 +12.7%
83 IMGN IMMUNOGEN INC 5.11 2,415,498 5,897 1.25 0.73 1.31 -0.47 -0.68 -13.3%
84 RENT RENTRAK CORP 3.79 645,612 146 1.66 0.95 1.31 -0.08 -1.53 -40.4%
85 MGPI MGP INGREDIENTS INC 112.44 308,643 84 0.51 0.37 1.30 6.87 -11.95 -10.6%
86 ZYME ZYMEWORKS INC 4.76 1,279,118 978 1.30 0.88 1.30 -1.93 +1.84 +38.7%
87 ORCL ORACLE CORP 73.83 7,082,605 22,698 0.50 0.32 1.30 -0.85 -11.79 -16.0%
88 GNL GLOBAL NET LEASE INC 13.26 662,842 107 0.43 0.26 1.30 -0.04 -2.32 -17.5%
89 GWRE GUIDEWIRE SOFTWARE INC 67.19 945,505 2,129 0.67 0.35 1.30 -1.32 -7.76 -11.5%
90 ARCC ARES CAPITAL CORP. 19.20 2,762,529 12,894 0.43 0.25 1.30 -0.10 -2.30 -12.0%
91 GTLB GITLAB INC. CLASS A COMMON STO 47.40 3,014,111 8,185 1.31 1.01 1.30 -0.91 +14.72 +31.1%
92 GWH ESS TECH INC 3.62 1,487,505 352 1.52 1.31 1.30 -0.34 +1.48 +41.0%
93 PATH NUPATHE 15.59 7,536,231 17,923 1.29 0.77 1.29 -0.51 -3.38 -21.7%
94 IRBT IROBOT CORP 58.86 1,819,790 192 0.14 0.57 1.29 -0.17 -1.48 -2.5%
95 CDMO AVID BIOSERVICES INC. COMMON S 15.96 571,743 264 1.26 0.62 1.29 -0.11 +3.44 +21.6%
96 NWS NEWS CORP DELAWARE CL B 16.79 666,217 3 0.46 0.35 1.29 -0.51 -1.58 -9.4%
97 AZRE AZURE POWER GLOBAL LTD 3.59 999,172 379 2.11 1.02 1.28 0.04 +3.13 +87.2%
98 ATAI ATA INC ADR 4.21 1,416,059 38 1.21 0.83 1.28 -0.15 -1.07 -25.4%
99 CRMD CORMEDIX 3.38 234,473 134 1.22 1.13 1.28 -0.14 -0.54 -15.8%
100 LSXMK LIBERTY MEDIA CORP SERIES C LB 40.11 592,936 46 0.52 0.25 1.28 -1.08 -3.58 -8.9%

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