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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 FBRX FBRX 27.33 246,295 3,892 3.85 0.82 5.70 -0.79 -24.01 -87.9%
2 APLS AMERICAN PALLET LEAS 64.18 1,636,304 3,291 1.98 0.56 4.53 2.57 -36.68 -57.2%
3 ISEE EMERGING VISION INC 9.62 1,057,352 1,747 1.99 0.60 4.35 -0.33 +7.41 +77.0%
4 DFNS DEFENSE INDUSTRIES INTL 12.85 4,558,976 34,625 0.91 0.27 4.33 2.72 -2.86 -22.3%
5 RFL RYDEX 2X SELECT SECTOR FINAN 49.41 606,756 4,664 2.29 0.73 4.15 4.16 -15.65 -31.7%
6 ARAY ACCURAY INC 3.91 271,335 31 1.75 0.57 4.06 -0.07 -0.45 -11.5%
7 RKLB ROCKET LAB USA INC. COMMON STO 9.96 3,262,970 6,004 1.10 0.37 4.01 -0.47 +11.38 +114.3%
8 AJAX AJAX I 8.72 320,501 240 0.87 0.32 3.74 -0.06 -0.29 -3.3%
9 GWAC GWAC 11.34 5,023,914 9,384 0.78 0.29 3.73 1.32 -2.14 -18.9%
10 CMRX CHIMERIX INC. COMMON STOCK 6.62 432,182 228 2.27 0.86 3.63 -0.16 -0.69 -10.4%
11 SFTW OSPREY TECHNOLOGY ACQUISITION 10.01 343,635 2,746 0.89 0.36 3.47 0.00 +1.79 +17.9%
12 BLU BLUE CHIP VALUE FUND 3.55 405,648 186 1.51 0.62 3.43 0.09 +2.79 +78.6%
13 SBTX SILVERBACK THERAPEUTICS INC. C 24.60 286,539 17 1.94 0.80 3.43 -0.40 -13.29 -54.0%
14 RDHL REDHILL BIOPHARMA LTD. AMERICA 7.29 2,902,603 3,183 1.50 0.64 3.34 0.11 +3.89 +53.4%
15 STAG STAG INDUSTRIAL 41.16 631,115 95 0.51 0.22 3.30 0.04 +2.39 +5.8%
16 AHAC ALPHA HEALTHCARE ACQUISITION C 10.96 293,192 556 1.10 0.48 3.29 0.81 -0.79 -7.2%
17 RLAY RLAY 29.75 306,740 16 1.39 0.62 3.24 -0.25 +7.80 +26.2%
18 ACIC ATLAS CREEK INVESTMENT CORP 10.00 2,559,245 4,948 0.95 0.44 3.16 0.04 -1.21 -12.1%
19 ADAP ADAPTIMMUNE THERAPEUTICS PLC A 5.05 1,916,952 12,188 1.58 0.74 3.14 0.10 +1.81 +35.8%
20 EPIX EPIX PHARMACEUTICALS INC. COM 10.03 759,696 45 1.90 0.92 3.06 -0.01 -1.99 -19.8%
21 AUPH AURINIA PHARMACEUTICALS INC OR 17.93 9,116,456 39,900 1.46 0.71 3.06 1.49 +3.93 +21.9%
22 ARCO ARCOS DORADOS HOLDINGS INC 5.64 434,689 17 0.75 0.37 3.05 -0.18 -0.34 -6.0%
23 MGNX MACROGENICS INC. COMMON STOCK 22.72 252,275 121 1.24 0.61 3.04 0.15 +5.37 +23.6%
24 TCRR TCR2 THERAPEUTICS INC. COMMON 15.44 263,956 37 1.21 0.61 3.00 -0.58 -5.50 -35.6%
25 HLMN HILLMAN SOLUTIONS CORP. CLASS 11.87 416,223 198 0.53 0.27 2.96 0.08 +1.06 +8.9%
26 GLYC GLYCOMIMETICS INC. COMMON STO 2.01 216,603 62 1.12 0.58 2.95 0.02 +0.49 +24.4%
27 CDTX CIDARA THERAPEUTICS INC. COMMJ 2.05 511,663 108 1.30 0.67 2.94 -0.11 +0.28 +13.7%
28 LCID LUCID GROUP INC 21.48 8,990,660 87,546 0.83 0.43 2.92 -0.33 -5.36 -25.0%
29 PHAS PHASEBIO PHARMACEUTICALS INC. 3.38 210,039 61 1.33 0.70 2.89 -0.01 -0.63 -18.6%
30 MRTX MIRATI THERAPEUTICS INC. COMM 162.80 971,022 945 0.84 0.46 2.84 6.92 +13.59 +8.3%
31 ASLN ASLAN PHARMACEUTICALS LIMITED 2.70 328,920 493 1.50 0.82 2.83 0.00 +0.63 +23.3%
32 ABUS ARBUTUS BIOPHARMA CORPORATION 3.25 1,147,783 579 1.39 0.77 2.81 -0.01 +1.42 +43.7%
33 PBH PRESTIGE BRANDS HOLDINGS 56.10 227,857 2 0.47 0.26 2.81 -0.88 -3.48 -6.2%
34 QELL QELL ACQUISITION CORP. CLASS A 9.97 303,489 1,654 0.65 0.37 2.77 0.01 -0.97 -9.7%
35 GMDA GAMIDA CELL LTD 4.70 431,618 72 1.41 0.79 2.77 -0.11 -0.82 -17.4%
36 PTR PETROCHINA CO LTD ADS 39.79 267,879 254 0.59 0.33 2.77 -0.87 +9.45 +23.7%
37 CUE CUE BIOPHARMA INC. COMMON STOC 11.58 360,659 560 1.20 0.68 2.76 -0.16 +1.87 +16.1%
38 GDS GDS HOLDINGS LIMITED ADS 56.79 1,735,294 14,996 0.88 0.50 2.76 0.00 +9.71 +17.1%
39 MBT MOBILE TELESYS OJSC ADS 8.94 3,042,464 10 0.41 0.24 2.73 -0.04 +0.80 +8.9%
40 ENDP ENDO PHARMACEUTICALS HLD 2.40 6,819,056 5,500 1.62 0.93 2.73 -0.13 +0.93 +38.8%
41 TRHC TABULA RASA HEALTHCARE INC. CO 31.26 256,594 964 1.04 0.61 2.72 -1.62 -4.25 -13.6%
42 PAYA PAYA HOLDINGS INC 9.37 858,847 1,315 0.64 0.38 2.72 -0.20 +2.13 +22.8%
43 SPRT SUPPORT.COM INC 19.70 95,183,247 482,257 2.75 1.60 2.71 5.74 +39.99 +203.0%
44 HPQ HEWLETT-PACKARD CO 29.10 11,679,467 62,377 0.50 0.29 2.69 -0.29 -1.72 -5.9%
45 BTG B2GOLD CORP. 3.75 6,529,305 696 0.74 0.44 2.68 -0.00 +0.30 +8.1%
46 NAUT NAUTILUS BIOTECHNOLOGY INC 7.72 270,358 359 0.90 0.54 2.67 -0.11 -0.96 -12.4%
47 VEON VEON LTD. ADS 2.00 42,882,784 1,884 0.67 0.40 2.67 0.16 +0.26 +13.0%
48 MAGS MAGAL SECURITY SYSTEMS 5.69 270,549 32 0.84 0.51 2.67 0.06 -0.34 -5.9%
49 OMER OMEROS CORP 15.49 270,548 220 0.87 0.52 2.66 -0.06 +1.08 +7.0%
50 AXSM AXSOME THERAPEUTICS INC. COMMO 23.26 1,573,655 5,717 1.37 0.82 2.66 -2.07 +6.53 +28.1%
51 XAIR BEYOND AIR INC. COMMON STOCK 10.92 1,556,121 2,436 1.06 0.64 2.66 0.62 +1.72 +15.8%
52 MNTV MOMENTIVE GLOBAL INC 19.51 251,921 65 0.37 0.22 2.65 -0.16 +1.86 +9.5%
53 RVNC REVANCE THERAPEUTICS INC. COM 27.16 349,954 213 0.75 0.46 2.65 -0.20 -1.42 -5.2%
54 KDMN KDMN 5.42 3,392,044 1,090 1.08 0.66 2.64 0.04 +3.78 +69.7%
55 AGRO ADECOAGRO SA 9.20 565,255 6 0.61 0.37 2.63 0.02 +1.30 +14.1%
56 GMAB GENMAB A/S ADS 47.27 212,907 33 0.51 0.32 2.62 0.37 -5.22 -11.1%
57 DOYU DOUYU INTERNATIONAL HOLDINGS A 3.85 3,608,899 1,052 1.08 0.67 2.62 0.07 +0.71 +18.4%
58 DBRG DIGITALBRIDGE GROUP INC 6.77 1,806,600 790 0.45 0.28 2.62 -0.18 -0.49 -7.2%
59 SY SYBASE INC 6.23 203,384 110 1.08 0.66 2.62 -0.23 -1.93 -31.0%
60 CCXI CHEMOCENTRYX INC. COMMON STOC 15.46 1,177,894 2,145 1.31 0.81 2.62 0.30 +1.29 +8.3%
61 SNPR TORTOISE ACQUISITION CORP 9.30 1,249,469 3,351 0.84 0.52 2.61 -0.92 +1.01 +10.9%
62 NJR NEW JERSEY RESOURCES CP 36.70 464,392 15 0.51 0.32 2.58 -0.81 -1.80 -4.9%
63 KSU KANSAS CITY SOUTHERN 292.20 739,786 909 0.47 0.30 2.57 -1.22 -15.66 -5.4%
64 TBPH THERAVANCE BIOPHARMA INC 8.23 2,027,127 2,805 1.00 0.64 2.57 -0.47 -2.13 -25.9%
65 PXLW PIXELWORKS INC 5.44 1,956,155 1,131 1.19 0.77 2.56 0.03 +2.46 +45.2%
66 ENVX ENOVIX CORP 15.24 921,209 435 0.77 0.50 2.53 0.19 +2.67 +17.5%
67 ONCS ONCOSEC MEDICAL INCORPORATED C 2.18 218,891 4 1.26 0.83 2.52 -0.08 +0.24 +11.0%
68 ELMS ELECTRIC LAST MILE SOLUTIONS I 7.70 614,278 1,346 0.98 0.65 2.51 0.07 +1.02 +13.2%
69 KURA KURA ONCOLOGY INC. COMMON STOC 18.95 609,382 219 0.83 0.55 2.51 -0.47 +2.24 +11.8%
70 REKR REKOR SYSTEMS INC 8.86 829,476 1,015 1.63 1.08 2.51 0.22 +5.45 +61.5%
71 CNI CANADIAN NATL RAILWAY 109.15 1,086,578 1,292 0.33 0.22 2.50 0.75 +19.26 +17.6%
72 DYAI DYADIC INTERNATIONAL 6.30 2,008,003 1,861 1.24 0.83 2.50 0.30 -1.19 -18.9%
73 TLYS TILLY'S INC 16.26 264,904 12 0.71 0.47 2.50 -0.08 -2.17 -13.3%
74 NSSC NAPCO SECURITY TECH INC 36.81 250,883 9 0.58 0.39 2.50 1.41 +8.67 +23.6%
75 CHRS CHARMING SHOPPES INC 15.82 769,254 136 0.65 0.43 2.50 0.37 +1.96 +12.4%
76 RYAN RYAN SPECIALTY GROUP HOLDINGS 31.85 248,855 43 0.42 0.28 2.50 0.16 +3.57 +11.2%
77 CPG CRESCENT POINT ENERGY CORP 3.41 2,168,422 244 0.98 0.66 2.49 -0.06 +0.86 +25.2%
78 PWP POWERSHARES DYN MC VALUE 14.06 209,560 11 0.44 0.30 2.48 -0.31 +0.69 +4.9%
79 HOOK CRAFT BREWERS ALLIANCE 6.55 224,919 33 1.00 0.67 2.48 -0.16 +0.54 +8.2%
80 VHC VIRNETX HOLDING CORP 4.35 284,247 566 0.76 0.52 2.47 -0.09 -0.42 -9.7%
81 FST FOREST OIL CORP 11.98 240,762 468 0.48 0.33 2.47 0.32 +1.19 +9.9%
82 QUMU QUMU CORPORATION COMMON STOCK 2.73 522,466 53 1.04 0.71 2.46 -0.09 +0.28 +10.4%
83 CMO CAPSTEAD MORTGAGE CORP 6.83 517,199 56 0.41 0.28 2.46 -0.03 +0.17 +2.5%
84 APDN APPLIED DNA SCIENCES INC 5.92 205,742 89 1.64 1.13 2.45 0.07 -0.89 -15.0%
85 ASND ASCENDIS PHARMA A/S AMERICAN D 149.70 2,227,475 2,192 0.58 0.40 2.45 26.03 +29.01 +19.4%
86 CTMX CYTOMX THERAPEUTICS INC. COMMO 5.05 581,582 67 0.86 0.60 2.45 0.02 +0.31 +6.1%
87 SIG SIGNET JEWELERS LTD. 75.72 689,423 900 0.91 0.63 2.44 0.42 +12.78 +16.9%
88 BBL BHP BILLITON PLC ADS 61.37 2,473,282 539 0.48 0.33 2.44 -0.94 -9.94 -16.2%
89 OCX ONCOCYTE CORP 4.01 483,687 32 1.32 0.91 2.44 -0.09 -0.51 -12.7%
90 AEO AMERICAN EAGLE OUTFITTER 31.10 10,568,464 42,430 0.66 0.46 2.44 -0.65 -5.37 -17.3%
91 CSV CARRIAGE SERVICES INC 44.78 261,461 15 0.41 0.28 2.44 1.24 +3.83 +8.6%
92 BHVN BIOHAVEN PHARMACEUTICAL HOLDIN 125.43 398,476 512 0.72 0.50 2.44 -2.74 +14.23 +11.3%
93 NXGN NEXTGEN HEALTHCARE INC 14.65 276,608 20 0.54 0.37 2.44 -0.11 +1.28 +8.7%
94 GPS GAP INC THE 26.35 13,587,622 143,557 0.77 0.54 2.44 -1.13 -2.71 -10.3%
95 RGNX REGENXBIO INC. COMMON STOCK 31.20 338,289 14 0.70 0.49 2.43 -0.37 +15.26 +48.9%
96 PWSC POWERSCHOOL HOLDINGS INC 33.60 860,282 86 0.82 0.57 2.43 2.52 -3.20 -9.5%
97 GSS GOLDEN STAR RESOURCES 2.48 537,946 249 0.87 0.61 2.43 0.06 -0.22 -8.9%
98 ENIA ENERSIS AMERICAS SA 6.78 742,185 2 0.42 0.29 2.43 0.05 -0.68 -10.0%
99 ALNY ALNYLAM PHARMACEUTICALS 202.39 335,069 478 0.57 0.40 2.43 -2.53 -19.39 -9.6%
100 VSTM VERASTEM INC. COMMON STOCK 2.61 1,119,575 366 0.95 0.67 2.42 -0.09 +0.18 +6.9%

Data Provided by HistoricalOptionData.com
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