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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 FHN FIRST HORIZON NATIONAL 22.81 2,664,808 12 0.73 0.37 3.25 -0.16 -2.33 -10.2%
2 POLY POLYPID LTD. ORDINARY SHARES 39.51 1,017,318 55 0.62 0.69 2.66 -0.21 +0.27 +0.7%
3 PSO PEARSON PLC ADS 9.47 258,884 1 0.85 0.38 1.89 -0.14 -0.62 -6.5%
4 CVET COVETRUS INC. COMMON STOCK 20.71 1,628,325 16 0.48 0.49 1.81 0.03 -0.31 -1.5%
5 SWCH SWITCH INC 33.66 4,707,948 1,178 0.21 0.35 1.80 -0.08 -0.92 -2.7%
6 SLGC SOMALOGIC INC. CLASS A COMMON 5.76 1,191,258 1 1.69 0.70 1.80 -0.52 -1.31 -22.7%
7 FBRT FRANKLIN BSP REALTY TRUST INC 15.73 1,225,232 56 0.65 0.27 1.78 -0.03 -2.46 -15.7%
8 NAUT NAUTILUS BIOTECHNOLOGY INC 3.81 256,386 28 1.95 0.62 1.77 0.03 -1.26 -33.1%
9 QUAD QUADREX CORP 3.82 404,884 45 2.21 0.66 1.77 -0.29 -1.06 -27.7%
10 GOL GOL INTELLIGENT AIRLINES 5.65 1,142,796 41 1.38 0.68 1.75 -0.20 -2.14 -37.9%
11 ALLK ALLAKOS INC. COMMON STOCK 2.96 871,194 57 1.78 2.35 1.74 0.16 +0.70 +23.8%
12 KRNY KEARNY FINANCIAL CORP 12.12 302,566 3 0.62 0.22 1.67 -0.25 -1.22 -10.0%
13 CBAY CYMABAY THERAPEUTICS INC. COMM 2.05 496,484 14 1.79 0.55 1.66 0.02 +0.77 +37.6%
14 NYMT NEW YORK MORTGAGE TRUST 3.11 1,886,034 13 1.11 0.26 1.64 -0.01 -0.87 -28.0%
15 BTG B2GOLD CORP. 4.14 10,856,282 610 1.04 0.40 1.63 -0.15 -0.69 -16.7%
16 DOUG DOUGLAS ELLIMAN INC 5.73 210,914 7 1.03 0.62 1.59 -0.12 -0.96 -16.8%
17 AMPS EDGERTON TECHNOLOGY 7.18 591,881 11 1.17 0.69 1.57 -0.62 +1.70 +23.7%
18 SBRA SABRA HEALTHCARE REIT INC 13.54 1,939,416 22 0.52 0.31 1.56 -0.28 +1.25 +9.2%
19 HMLP HOEGH LNG PARTNERS LP 9.06 467,002 73 0.73 1.19 1.55 -0.02 -0.14 -1.6%
20 EBC EASTERN BANKSHARES INC. COMMON 19.35 507,943 2 0.38 0.25 1.50 -0.05 -1.37 -7.1%
21 VWE VWE 9.29 237,686 10 0.94 0.45 1.50 -0.26 -0.70 -7.6%
22 RLAY RLAY 17.53 766,475 2,160 2.35 0.73 1.49 0.75 -4.88 -27.8%
23 SAIL SAILPOINT TECHNOLOGIES HOLDING 64.30 2,802,699 16 0.26 0.48 1.49 0.15 -5.74 -8.9%
24 TUR ISHARES MSCI TURKEY INDEX FU 21.63 424,761 336 0.51 0.42 1.48 0.10 -2.79 -12.9%
25 CIG COMPANHIA ENER MINAS GER 2.44 2,549,842 7 0.93 0.47 1.48 -0.02 -0.40 -16.4%
26 CODI COMPASS DIVERSIFIED HLDG 23.19 228,647 40 0.57 0.34 1.46 0.15 +2.75 +11.9%
27 EVH EVOLENT HEALTH INC 29.98 414,320 9 0.89 0.46 1.45 -0.59 -3.78 -12.6%
28 COLB COLUMBIA BANKING SYSTEM 30.28 1,022,385 28 0.74 0.36 1.44 -0.35 -3.31 -10.9%
29 SANA SANA BIOTECHNOLOGY INC. 5.59 1,692,553 233 1.55 0.82 1.43 0.16 -1.67 -29.8%
30 SRLP SPRAGUE RESOURCES LP 18.93 1,188,799 817 0.51 0.54 1.41 3.10 -0.20 -1.1%
31 PGRE PARAMOUNT GROUP INC 8.67 766,940 10 0.80 0.37 1.39 -0.33 -1.52 -17.5%
32 AINV APOLLO INVESTMENT CORP 12.18 423,345 28 0.46 0.21 1.39 -0.24 -2.17 -17.8%
33 ONEQ FIDELITY NASD COMP INDEX 47.05 377,776 1 0.41 0.24 1.37 -1.12 -5.63 -12.0%
34 ALVR ALVARION LTD 3.70 546,577 53 1.72 0.82 1.36 0.17 +0.98 +26.5%
35 SWI SOLARWINDS INC 12.11 304,313 6 0.62 0.94 1.35 -0.46 -1.61 -13.3%
36 DBX DROPBOX INC. CLASS A COMMON ST 22.82 14,369,244 50,941 0.56 0.34 1.34 1.33 -3.26 -14.3%
37 PNR PENTAIR INC 50.80 815,333 63 0.47 0.27 1.34 -0.55 -7.20 -14.2%
38 ADPT ADAPTEC INC 6.94 1,721,044 62 1.31 0.73 1.33 -1.05 +2.29 +33.0%
39 CATY CATHAY GENERAL BANCORP 41.85 309,051 12 0.54 0.30 1.33 -0.20 -4.48 -10.7%
40 RADI RADIUS GLOBAL INFRASTRUCTURE I 15.45 949,362 222 0.81 0.40 1.33 0.05 -1.29 -8.3%
41 AERI AERIE PHARMACEUTICALS INC. CO 5.74 668,976 11 1.04 0.77 1.33 0.37 +1.95 +34.0%
42 DHX DICE HOLDINGS INC 7.22 1,948,649 86 0.78 0.53 1.32 0.37 -2.11 -29.2%
43 FBP FIRST BANCORP PUERTO RICO 14.96 2,619,116 8 0.61 0.38 1.32 -0.29 -2.30 -15.4%
44 PFG PRINCIPAL FINANCIAL GRP 70.88 1,230,355 96 0.41 0.28 1.32 -1.31 -8.90 -12.6%
45 MLI MUELLER INDUSTRIES INC 55.98 213,189 50 0.47 0.32 1.32 0.03 -5.93 -10.6%
46 SVM SILVERCORP METALS INC 2.91 574,269 109 0.77 0.48 1.31 -0.12 -0.37 -12.7%
47 NRZ NEW RESIDENTIAL INVESTMENT 11.34 2,529,209 2,092 0.33 0.28 1.30 -0.08 -3.16 -27.9%
48 BVN COMPANIA DE MINAS BUENA 8.70 1,084,647 10 0.82 0.52 1.30 -0.18 -2.12 -24.3%
49 AUDC AUDIOCODES LTD 23.60 445,502 2 0.74 0.32 1.30 0.08 -2.83 -12.0%
50 ELF ELF 26.42 719,508 6 0.59 0.38 1.30 -0.89 +1.92 +7.3%
51 ABCB AMERIS BANCORP 45.68 217,240 20 0.52 0.33 1.28 -0.21 -6.09 -13.3%
52 VRAY VIEWRAY INCORPORATED COMMON ST 2.85 1,685,347 3,148 1.16 0.67 1.28 -0.07 -0.37 -13.0%
53 SHLX SHELL MIDSTREAM PARTNERS LP 14.42 764,553 557 0.26 0.27 1.28 0.15 -0.88 -6.1%
54 GFI GOLD FIELDS LTD ADR 9.70 15,862,965 11,688 0.74 0.54 1.28 -0.42 -0.69 -7.1%
55 ASND ASCENDIS PHARMA A/S AMERICAN D 86.30 258,678 78 0.98 0.51 1.27 2.98 -9.02 -10.5%
56 NXTC NEXTCURE INC. COMMON STOCK 4.17 399,569 11 1.02 0.51 1.27 0.11 +0.85 +20.4%
57 KYN KAYNE ANDERSON MLP 9.57 662,097 377 0.45 0.27 1.27 -0.06 -1.73 -18.1%
58 APLE APPLE HOSPITALITY REIT INC 16.95 1,620,853 13 0.43 0.30 1.27 -0.21 -2.66 -15.7%
59 CO CHINA CORD BLOOD CORP 3.46 621,917 147 1.08 0.63 1.27 0.59 -0.78 -22.5%
60 SEAT VIVID SEATS INC. CLASS A COMMO 8.91 580,682 3 0.87 0.63 1.27 -0.32 -1.71 -19.2%
61 VRA VERA BRADLEY 6.74 254,167 58 0.88 0.48 1.26 -0.11 -2.46 -36.5%
62 EWQ ISHARES MSCI FRANCE INDEX 34.35 454,514 7 0.34 0.23 1.26 -0.42 -4.86 -14.1%
63 JBI LEHMAN ABS 7.875 DUKE CP 11.12 518,635 2 0.78 0.50 1.26 -0.20 -2.30 -20.7%
64 FTEC FOR THE EARTH CORPORATION. COM 106.59 225,320 16 0.37 0.26 1.26 -2.71 -13.81 -13.0%
65 RYTM RHYTHM PHARMACEUTICALS INC. CO 3.72 565,419 828 3.24 0.76 1.26 0.32 +1.33 +35.8%
66 MRC MRC GLOBAL INC 11.57 405,212 13 0.73 0.51 1.26 0.02 -2.88 -24.8%
67 ALEX ALEXANDER & BALDWIN INC 20.21 299,162 1 0.58 0.28 1.26 -0.30 -2.78 -13.8%
68 NNN NATIONAL RETAIL PPT INC 43.30 522,578 35 0.31 0.21 1.25 -0.71 -4.18 -9.7%
69 MGNX MACROGENICS INC. COMMON STOCK 3.34 1,097,598 10 1.41 0.73 1.25 0.04 -1.21 -36.2%
70 NVAX NOVAVAX INC 44.76 23,194,880 96,592 1.97 1.09 1.25 -11.21 -9.88 -22.1%
71 AIR AAR CORP 48.74 388,893 18 0.49 0.33 1.25 -1.39 -9.56 -19.6%
72 FTDR FRONTDOOR INC. COMMON STOCK 24.21 799,603 128 0.51 0.36 1.25 -0.94 -3.91 -16.2%
73 YMAB Y-MABS THERAPEUTICS INC. COMMO 13.28 404,212 674 0.77 0.86 1.24 0.48 -2.88 -21.7%
74 RARE ULTRAGENYX PHARMACEUTICAL INC. 51.41 601,650 65 0.87 0.51 1.24 1.45 +9.28 +18.1%
75 MD MEDNAX INC 19.85 763,659 4 0.65 0.36 1.24 0.21 -1.73 -8.7%
76 BASE COUCHBASE INC. COMMON STOCK 15.53 243,000 82 1.25 0.90 1.24 -0.56 +3.32 +21.4%
77 MNDT MANDIANT INC. COMMON STOCK 21.79 27,676,520 1,956 0.08 0.42 1.24 -0.35 -0.53 -2.4%
78 COUP COUPONS.COM INCORP 70.76 1,577,159 9,599 1.52 0.66 1.24 -4.17 -20.22 -28.6%
79 INVA INOVA TECHNOLOGY INC 15.33 486,454 6 0.64 0.35 1.24 0.15 -1.27 -8.3%
80 BWXT BWX TECHNOLOGIES INC 51.26 223,872 38 0.42 0.28 1.23 0.41 +3.32 +6.5%
81 LADR LADDER CAPITAL CORP 11.44 429,163 24 0.33 0.26 1.23 -0.11 -2.01 -17.5%
82 RGEN REPLIGEN CORP 165.19 366,788 62 0.73 0.48 1.23 -7.17 -27.55 -16.7%
83 ASRT ASSERTIO THERAPEUTICS INC. COM 3.19 1,370,996 308 1.09 0.97 1.23 0.06 -0.58 -18.2%
84 SCS STEELCASE INC 11.92 482,355 12 0.50 0.30 1.23 -0.08 -1.73 -14.5%
85 WEBR WEBER INC 7.85 208,353 845 1.12 0.54 1.23 -0.06 +4.40 +56.1%
86 GGPI GORES GUGGENHEIM INC. CLASS A 10.05 3,080,837 14,460 0.77 0.38 1.23 -0.09 -1.52 -15.1%
87 SOI SOLARIS OILFIELD INFRASTRUCTUR 13.99 285,205 4 0.61 0.50 1.22 0.06 -3.70 -26.4%
88 MNRL BRIGHAM MINERALS INC 32.43 482,120 262 0.56 0.38 1.22 0.95 -8.88 -27.4%
89 BSAC BANCO SANTANDER CHILE 20.19 205,099 13 0.48 0.35 1.22 -0.15 -3.99 -19.8%
90 IR INGERSOLL-RAND PLC 48.85 2,269,053 35 0.46 0.29 1.22 0.28 -8.45 -17.3%
91 EVR EVERCORE PARTNERS INC. A 110.30 314,081 26 0.44 0.34 1.21 -3.55 -18.89 -17.1%
92 TIL TILL CAPITAL LTD. RESTRICTED V 6.01 660,710 1 1.45 0.82 1.21 0.13 -2.11 -35.1%
93 EPV ULTRASHORT MSCI EUROPE PROSH 13.23 267,942 8 0.60 0.39 1.21 0.34 +3.32 +25.1%
94 SPG SIMON PROPERTY GROUP INC. 109.95 1,391,386 3,230 0.37 0.32 1.21 -2.37 -16.45 -15.0%
95 CAG CONAGRA FOODS 32.00 2,893,409 6,753 0.32 0.23 1.20 -0.32 +2.26 +7.1%
96 SBLK STAR BULK CARRIERS CORP 32.51 2,750,094 3,045 0.53 0.64 1.20 1.26 -8.71 -26.8%
97 AVT AVNET INC 48.09 849,123 6,793 0.38 0.29 1.20 -0.83 -6.93 -14.4%
98 HYLN HYLIION 3.73 1,655,716 555 1.04 0.70 1.20 0.00 -0.39 -10.5%
99 VIST VIST FINANCIAL CORP 8.97 896,346 91 0.80 0.57 1.20 -0.04 -2.16 -24.1%
100 MRCY MERCURY COMPUTER SYSTEMS 63.07 261,992 23 0.51 0.37 1.20 -0.42 -7.92 -12.6%

Data Provided by HistoricalOptionData.com
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