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Live options signals provide daily premium selling alerts across all tracked tickers. Each signal identifies a specific market condition relevant to premium sellers — updated after market close.
TL;DR:VolRadar tracks 6 daily options signals across 526+ S&P 500 stocks, including Strong Signal, High IV Rank, Pre-Earnings, Positive VRP, Volatility Calming, and Volatility Spike. Each signal page lists the tickers currently matching its criteria, refreshed daily after market close.
As of April 24, 2026, VolRadar shows 324 Positive VRP, down by 14 vs Apr 23 close. Pre-Earnings moved from 176 to 189 in the same comparison.
Related: Positive VRP stocks · Pre-earnings stocks
Tickers showing strong premium selling conditions today — low RV ratio, positive VRP, no red flags. The highest-ranked candidates for selling premium.
Tickers with IV Rank above 70% — implied volatility is elevated relative to the past year. Higher premiums but also higher risk.
Tickers with earnings reports within the next 14 days. Earnings events are the largest source of overnight gap risk for option sellers.
Positive VRP stocks today — tickers where implied volatility exceeds realized volatility by more than 2 percentage points. Options are overpriced relative to actual stock movement, which is the statistical edge premium sellers look for.
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Volatility contraction stocks today — tickers where realized volatility is calming below implied volatility (RV Ratio under 0.85). Classic sweet spot for premium sellers when options pricing lags the actual volatility decline.
Volatility spike stocks today — tickers experiencing a realized volatility surge (RV Ratio above 1.2). Caution advised for premium sellers; elevated risk of continued large moves.
Each signal filters the universe of tracked tickers against a specific market condition. A ticker appears under a signal when its current data meets the defined threshold — for example, IV Rank above 70% for "High IV Rank", or RV Ratio below 0.85 for "Vol Calming". Signals are recalculated daily after market close using end-of-day ORATS data.
Signals work best as a starting filter, not a standalone trade decision. A ticker showing "Strong Signal" has multiple conditions aligning — but always check the full analysis page for earnings proximity, liquidity, and position sizing context. Combining signals with sector analysis gives a more complete view of opportunities.
Signals are quantitative screens, not trade recommendations. They measure market conditions — whether options are relatively expensive, volatility is calming, or earnings risk is approaching. The interpretation depends on your strategy, risk tolerance, and portfolio context.
All signals use ORATS institutional-grade options data. IV Rank measures where current implied volatility sits within the past year. VRP compares implied to realized movement. RV Ratio compares realized volatility to implied volatility (HV 20d ÷ IV 30d). Full methodology details →
Weather Score tells you if today favors selling premium — before you pick a ticker.
Sort and filter 500+ tickers by signal, IV Rank, VRP, and earnings risk.
Use the free Strategy Builder to see P&L, breakeven, and max loss before entering.
Quantitative Options Analytics
VolRadar Research is the quantitative analytics team behind every signal, sector page, and screener on the platform. Methodology and data sourcing are documented publicly and reviewed by the editorial team.
Powered by ORATS institutional data · Reviewed against documented methodology
Data sourced from ORATS, updated daily after market close. VolRadar provides educational analytics — not financial advice. Options involve significant risk of loss. Read our investment disclaimer.
Conflict of interest: VolRadar does not hold positions in covered tickers and earns no commission on trades. Analysis uses proprietary tools operated by VolRadar. Editorial policy.