KB Financial Group (ADR) has an Implied Volatility (IV) of 61.3% p.a. for a constant maturity of 30 days. The Implied Volatility Rank (IVR) for KB is 49 and the Implied Volatility Percentile (IVP) is 79. The current Implied Volatility Index for KB is 0.87 standard deviations away from its 1 year mean.
|Dividend Yield||3.10% ($1.13)|
|Next Earnings Date||4/21/2023 (23d)|
|Next Dividend Date||3/29/2023 (0d) !|
|Implied Volatility (IV) 30d|
|Implied Volatility Rank (IVR) 1y|
|Implied Volatility Percentile (IVP) 1y|
|Historical Volatility (HV) 30d|
|IV / HV|
Data was calculated after the 3/28/2023 closing.