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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 MOR MORG STAN GLOB SER F S&P 7.48 511,242 8,629 4.08 0.51 9.01 0.28 -3.29 -44.1%
2 REPL RIDER EXPLORATIONS INC. COMMO 11.22 1,740,778 1,425 3.14 0.61 6.10 0.50 -5.33 -47.5%
3 EARN ELLINGTON RESIDENTIAL MORTGAGE 6.04 207,615 24 1.14 0.25 5.61 0.44 -0.40 -6.6%
4 SB SAFE BULKERS INC 3.41 1,103,428 427 1.53 0.34 5.48 0.11 +0.57 +16.9%
5 PRTA PROTHENA CORPORATION PLC ORDIN 35.32 766,287 3,816 2.46 0.59 5.19 2.07 -3.52 -10.0%
6 DYN DYNEGY INC A 10.35 881,735 26 2.93 0.73 5.00 1.65 +1.71 +16.5%
7 CRMD CORMEDIX 3.13 1,303,049 2,980 2.45 0.64 4.83 0.02 +1.21 +38.7%
8 EYPT EYEPOINT PHARMACEUTICALS INC. 6.47 474,587 3,639 3.94 1.13 4.49 0.07 +15.97 +246.8%
9 SAVE SPIRIT AIRLINES INC. COMMON S 9.95 7,060,941 33,262 1.45 0.42 4.46 1.04 +6.30 +63.3%
10 XENE XENON PHARMACEUTICALS INC. COM 29.75 647,531 3,279 1.21 0.35 4.42 0.05 +9.05 +30.4%
11 VIV VIVO PARTICIPACOES SA 10.41 1,081,149 39 0.81 0.26 4.12 0.13 +0.36 +3.4%
12 VMW VMWARE INC 148.60 282,806 13,341 0.78 0.26 4.04 -0.63 -6.13 -4.1%
13 GSM GLOBE SPECIALTY METALS 4.67 819,554 64 1.49 0.51 3.90 0.26 +1.56 +33.5%
14 KALV KALV 7.78 260,501 139 1.51 0.54 3.81 0.06 +1.35 +17.4%
15 ARCE ARCO PLATFORM LIMITED CLASS A 13.98 492,099 279 1.20 0.44 3.74 0.03 +0.04 +0.3%
16 CYTK CYTOKINETICS INC 34.29 1,614,368 14,054 1.25 0.46 3.72 2.28 -3.61 -10.5%
17 RILY B. RILEY FINANCIAL INC. COMMOO 24.20 2,162,546 41,520 1.93 0.72 3.70 2.19 -6.94 -28.7%
18 NMR NOMURA HOLDINGS INC ADS 4.14 8,333,593 6 0.64 0.25 3.60 0.11 -0.11 -2.7%
19 BCYC BICYCLE THERAPEUTICS LTD 14.69 222,495 9 1.39 0.54 3.59 0.98 -1.62 -11.0%
20 PSEC PROSPECT CAPITAL CORP. 5.81 1,751,579 5,416 0.66 0.25 3.58 0.25 -0.26 -4.4%
21 RPAY REPAY HOLDINGS CORP 7.25 676,674 5 1.25 0.49 3.56 0.60 +0.54 +7.4%
22 EBIX EBIX INC 3.59 2,669,637 7,146 2.42 0.95 3.54 0.20 +3.68 +102.5%
23 ARQT ARCUTIS BIOTHERAPEUTICS INC. 2.18 2,716,807 911 1.84 0.72 3.54 0.07 -0.42 -19.3%
24 EBS EMERGENT BIOSOLUTIONS INC. 2.15 1,953,099 2,303 1.90 0.75 3.52 0.33 +0.52 +24.0%
25 LADR LADDER CAPITAL CORP 11.25 1,308,224 163 0.68 0.27 3.52 0.85 -0.54 -4.8%
26 MAMA MAMAS CREATIONS INC. 3.51 262,297 33 1.62 0.64 3.52 0.01 +0.59 +16.7%
27 BTF BOULDER TOTAL RETURN FUND 13.27 207,957 550 1.06 0.43 3.45 -0.73 +2.64 +19.9%
28 AIV APARTMENT INV & MGMT 6.60 1,079,477 183 0.69 0.29 3.38 0.29 +0.73 +11.1%
29 GPCR STRUCTURE THERAPEUTICS INC. AD 53.59 494,801 357 1.91 0.82 3.34 -1.08 +12.79 +23.9%
30 GROW U.S. GLOBAL INVEST INC A 3.03 684,624 419 0.66 0.29 3.29 0.28 -0.33 -10.9%
31 BBDC BRANTLEY CAP CORP 8.95 518,352 563 0.48 0.21 3.29 0.21 -0.34 -3.8%
32 COGT COGENT INC 7.21 1,148,905 151 1.22 0.54 3.26 0.51 +1.49 +20.7%
33 SBRA SABRA HEALTHCARE REIT INC 14.55 3,235,981 68 0.59 0.26 3.25 0.37 -0.45 -3.1%
34 CHMI CHERRY HILL MORTGAGE INVESTMEN 3.73 454,235 5 0.75 0.35 3.17 0.31 +0.30 +8.0%
35 FF FIRST OPPORTUNITY FUND 6.13 397,512 1,942 0.90 0.42 3.16 0.19 -0.26 -4.2%
36 ACT ACTAVIS INC 28.43 1,191,867 27 0.54 0.25 3.15 0.74 -1.10 -3.9%
37 MXCT MAXCYTE INC. COMMON STOCK 3.71 1,010,098 15 1.31 0.61 3.14 0.23 +1.57 +42.5%
38 ISPR ISPIRE TECHNOLOGY INC. 16.30 642,132 8,075 1.85 0.86 3.13 5.50 -7.24 -44.4%
39 FULT FULTON FINANCIAL CORP 14.23 1,355,724 28 0.73 0.35 3.10 0.74 +0.92 +6.5%
40 TTMI TTM TECHNOLOGIES INC 14.62 499,341 21 0.76 0.37 3.06 0.62 +0.51 +3.5%
41 NRIX NRIX 6.30 1,027,998 9 1.45 0.71 3.04 1.04 +1.46 +23.2%
42 ATMU ATMUS FILTRATION TECHNOLOGIES 20.85 513,892 2,789 0.69 0.34 3.02 1.15 +2.24 +10.7%
43 BURL BURLINGTON STORES INC 132.22 2,516,065 7,227 0.79 0.39 3.02 6.72 +46.60 +35.2%
44 BMEA BIOMEA FUSION INC. COMMON STOC 8.89 493,961 985 2.03 1.01 3.01 0.52 +13.85 +155.8%
45 AFYA AFYA LTD 18.02 797,707 45 0.86 0.43 3.01 0.42 -3.38 -18.8%
46 RSKD RISKIFIED LTD 4.20 567,009 89 0.91 0.46 2.99 0.22 -0.45 -10.7%
47 KRO KRONOS WORLDWIDE INC 8.80 303,316 74 0.81 0.41 2.97 0.63 -0.57 -6.5%
48 LSEA LANDSEA HOMES CORP 9.49 301,428 32 0.88 0.45 2.97 0.43 +1.77 +18.6%
49 MNMD MANDO MACHINERY CORPORATION 2.62 342,479 346 1.24 0.63 2.97 0.19 +1.22 +46.6%
50 CUE CUE BIOPHARMA INC. COMMON STOC 2.46 323,072 42 1.39 0.72 2.95 0.07 +0.46 +18.7%
51 AVXL ANAVEX LIFE SCIENCES CP 6.22 1,106,805 1,576 1.37 0.71 2.92 0.47 +2.10 +33.8%
52 LQDA LIQUIDIA TECHNOLOGIES INC. COM 6.38 380,659 254 1.05 0.55 2.91 0.06 +1.40 +21.9%
53 SANA SANA BIOTECHNOLOGY INC. 3.80 1,372,468 24 1.54 0.81 2.91 0.32 +0.70 +18.6%
54 IVT INVENTRUST PROPERTIES CORP 25.68 326,977 4 0.48 0.25 2.90 1.34 -1.87 -7.3%
55 ABR ARBOR REALTY TRUST 13.70 4,490,943 29,419 0.67 0.36 2.88 0.72 -1.93 -14.1%
56 CAPR CAPRICOR THERAPEUTICS INC. CO 3.01 372,703 269 1.51 0.80 2.87 0.17 +0.38 +12.6%
57 ALT ISHARES DIVERSIFIED ALTERNAT 2.41 2,066,595 866 2.00 1.07 2.86 -0.03 +3.46 +143.6%
58 TSVT 2SEVENTY BIO INC. COMMON STOCK 2.28 1,897,614 464 1.44 0.77 2.86 0.02 -0.74 -32.7%
59 LTRN LTRN 4.08 216,003 33 1.29 0.69 2.86 0.31 -0.57 -14.0%
60 ERAS ERASCA INC. 2.16 622,934 5 1.28 0.69 2.86 0.22 -0.65 -30.1%
61 AMSWA AMERICAN SOFTWARE INC A 11.16 215,448 41 0.73 0.40 2.85 0.40 -1.78 -15.9%
62 TWKS THOUGHTWORKS HOLDING INC. COMM 3.85 1,053,376 9 1.19 0.65 2.84 0.20 +0.48 +12.5%
63 SWTX SOUTHWALL TECHNOLOGIES 22.27 901,897 96 0.99 0.54 2.84 2.15 +11.24 +50.5%
64 CSWC CAPITAL SOUTHWEST CORP. 22.17 409,886 2,016 0.39 0.22 2.81 0.39 +0.74 +3.3%
65 LL LUMBER LIQUIDATORS INC 2.97 494,709 541 1.05 0.58 2.81 0.15 +0.77 +25.9%
66 NDLS NOODLES & CO CLASS A 3.22 784,713 578 0.96 0.53 2.80 0.36 -0.31 -9.6%
67 ZM ZOOM VIDEO COMMUNICATIONS INC. 62.77 4,438,010 79,101 0.69 0.38 2.80 1.23 +7.69 +12.3%
68 EU WISDOMTREE DREY EURO FD 3.75 1,864,923 226 0.92 0.51 2.79 0.17 +0.37 +9.9%
69 SNDX SYNDAX PHARMACEUTICALS INC 14.70 1,399,237 3,692 0.85 0.47 2.79 0.84 +2.32 +15.8%
70 HLN HALEON PLC 8.16 3,338,069 82 0.43 0.24 2.79 0.15 +0.52 +6.3%
71 NSA NATIONAL STORAGE AFFILIATES TR 33.13 1,283,368 78 0.49 0.28 2.78 3.01 +2.87 +8.7%
72 SNN SMITH & NEPHEW PLC ADS 25.75 1,614,658 42 0.38 0.21 2.78 0.83 +0.64 +2.5%
73 BLUE BLUEBIRD BIO INC. COMMON STOC 3.27 4,678,857 2,019 1.42 0.80 2.77 0.25 +1.34 +41.0%
74 LXP LEXINGTON REALTY TRUST 8.54 1,718,699 5 0.43 0.24 2.76 0.45 +0.64 +7.5%
75 ANF ABERCROMBIE & FITCH CO 68.68 1,634,334 4,250 0.95 0.55 2.73 2.29 +10.15 +14.8%
76 SIRI SIRIUS XM RADIO INC 4.89 10,681,142 146,033 1.03 0.60 2.73 0.22 +0.73 +14.9%
77 ALHC ALIGNMENT HEALTHCARE INC. COMM 6.57 543,044 3 1.09 0.63 2.72 0.50 +1.30 +19.8%
78 KSS KOHL'S CORP 22.67 4,389,464 21,140 0.85 0.49 2.72 1.81 +3.03 +13.4%
79 MTA MAGYAR TELEKOM TELECOM 2.82 289,695 258 0.74 0.44 2.71 0.22 +0.55 +19.5%
80 NICE NICE-SYSTEMS LTD ADR 178.90 645,367 655 0.52 0.31 2.70 6.89 +21.46 +12.0%
81 XPER XPER 9.34 552,305 31 0.78 0.46 2.69 0.76 +1.73 +18.5%
82 JBLU JETBLUE AIRWAYS CORP 4.38 18,727,258 68,302 0.76 0.45 2.69 0.41 +0.58 +13.4%
83 OMAB GRUPO AERO CENTRO NORTE 60.96 292,476 16 0.79 0.47 2.68 1.62 +12.65 +20.8%
84 GLDD GREAT LAKES DREDGE& DOCK 6.57 596,925 49 0.74 0.44 2.68 0.32 +0.69 +10.5%
85 MPW MEDICAL PROPERTIES TRUST 4.68 27,886,758 54,032 0.90 0.54 2.68 0.60 +0.73 +15.7%
86 AUTL AUTOLUS THERAPEUTICS PLC AMERI 3.95 1,175,457 190 1.48 0.89 2.67 0.29 -0.89 -22.5%
87 COLD AMERICOLD REALTY TRUST 26.01 2,545,735 54 0.40 0.24 2.67 1.62 +3.06 +11.8%
88 NTGR NETGEAR INC 13.05 234,268 1,048 0.65 0.40 2.65 0.76 +1.13 +8.7%
89 CDMO AVID BIOSERVICES INC. COMMON S 5.47 1,367,251 477 0.87 0.53 2.64 0.45 -0.90 -16.5%
90 AUPH AURINIA PHARMACEUTICALS INC OR 8.17 1,093,756 2,026 0.90 0.55 2.64 0.35 +1.88 +23.0%
91 VREX VREX 19.41 639,603 365 0.53 0.32 2.64 0.73 -1.73 -8.9%
92 M MACY'S INC 11.73 19,916,437 51,023 0.76 0.46 2.64 0.99 +5.96 +50.8%
93 BPT BP PRUDHOE BAY ROYAL TR 3.64 275,548 296 1.13 0.69 2.62 0.44 -0.59 -16.2%
94 NAPA DUCKHORN PORTFOLIO INC 10.92 498,385 49 0.46 0.28 2.62 0.21 -1.59 -14.6%
95 TPVG TRIPLEPOINT VENTURE GROWTH BDC 10.53 210,723 213 0.55 0.34 2.62 0.26 -0.20 -1.9%
96 TGT TARGET CORP 110.79 7,416,184 145,010 0.48 0.30 2.62 3.49 +25.45 +23.0%
97 MKTW MARKETWISE INC 2.86 483,392 1,236 1.35 0.84 2.61 0.14 +0.76 +26.6%
98 URBN URBAN OUTFITTERS INC 35.60 1,518,982 335 0.59 0.37 2.60 1.35 -4.23 -11.9%
99 AMBC AMBAC FINANCIAL GROUP INC. CO 14.98 701,691 5,698 0.42 0.26 2.60 0.36 -0.58 -3.9%
100 LBTYK LIBERTY GLOBAL INC CL C 17.09 2,049,963 35 0.46 0.29 2.60 0.64 -0.71 -4.2%

Data Provided by HistoricalOptionData.com
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