Vodafone Group (ADR) has an Implied Volatility (IV) of 29.7% p.a. for a constant maturity of 30 days. The Implied Volatility Rank (IVR) for VOD is 5 and the Implied Volatility Percentile (IVP) is 34. The current Implied Volatility Index for VOD is -0.42 standard deviations away from its 1 year mean.
|Dividend Yield||6.18% ($0.96)|
|Implied Volatility (IV) 30d|
|Implied Volatility Rank (IVR) 1y|
|Implied Volatility Percentile (IVP) 1y|
|Historical Volatility (HV) 30d|
|IV / HV|
|Put/Call Ratio (Volume)|
Data was calculated after the 6/24/2022 closing.