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BOKF - BOK Financial
Implied Volatility Analysis

Implied Volatility:
70.0%

BOK Financial has an Implied Volatility (IV) of 70.0% p.a. for a constant maturity of 30 days. The Implied Volatility Rank (IVR) for BOKF is 76 and the Implied Volatility Percentile (IVP) is 97. The current Implied Volatility Index for BOKF is 2.56 standard deviations away from its 1 year mean.

Market Cap$5.69B
Dividend Yield2.49% ($2.12)
Next Earnings Date5/3/2023 (35d)
Implied Volatility (IV) 30d
70.01
Implied Volatility Rank (IVR) 1y
75.55
Implied Volatility Percentile (IVP) 1y
97.22
Historical Volatility (HV) 30d
50.27
IV / HV
1.39
Open Interest
717.00
Option Volume
1.00

Data was calculated after the 3/28/2023 closing.

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