Incyte Corporation (INCY) IV/HV History

Comparing implied volatility to historical (realized) volatility reveals whether options are priced rich or cheap relative to actual price movement. Persistent gaps can signal trading opportunities.

Incyte Corporation (INCY) operates in the Healthcare sector, specifically the Biotechnology industry, with a market capitalization near $19.74B, listed on NASDAQ, employing roughly 2,617 people, carrying a beta of 0.80 to the broader market. Incyte Corporation, a biopharmaceutical company, focuses on the discovery, development, and commercialization of proprietary therapeutics in the United States and internationally. Led by William J. Meury, public since 1993-11-04.

Snapshot as of May 15, 2026.

Spot Price
$95.93
ATM IV
40.1%
HV 20-Day
24.7%
HV 60-Day
24.9%
IV Rank
45.6%
IV Percentile
73.0%

As of May 15, 2026, Incyte Corporation (INCY) ATM implied volatility is 40.1%. 20-day realized volatility is 24.7%, producing an IV-HV spread of +15.4 vol points. Options are pricing in more volatility than the stock has recently delivered, the volatility risk premium. IV rank is 45.6%.

How INCY iv/hv history Data Feeds Strategy Selection

Strategy selection on Incyte Corporation options does not derive from any single metric in isolation. The iv/hv history view above sits inside a broader read: ATM IV currently sits at 40.1% and dealer gamma exposure is negative, so dealer hedging amplifies directional moves. Combine the iv/hv history data here with the volatility-skew surface, dealer-gamma exposure, max-pain level, and upcoming-events calendar to build a positioning thesis. Risk-defined structures (credit spreads, debit spreads, iron condors) are usually safer than naked positions while the regime is uncertain; the data on this page anchors the inputs but does not by itself constitute a trade thesis.

Learn how implied vs realized volatility is reported and how to read the data →

Frequently asked INCY iv/hv history questions

Is INCY options pricing rich or cheap right now?
As of May 15, 2026, Incyte Corporation (INCY) ATM IV is 40.1% against 20-day realized volatility of 24.7%. IV rank is 45.6%. INCY options are pricing in more volatility than the stock has recently realized: a positive variance risk premium worth 15.4 vol points.
What is the INCY variance risk premium?
The variance risk premium is the persistent gap between implied and subsequently realized volatility. In equity markets it averages positive because option sellers demand compensation for bearing variance shocks. INCY is currently priced consistently with this premium, which is one input to whether short-vol or long-vol structures carry their typical edge.
What does INCY IV rank mean for strategy selection?
IV rank normalizes the current ATM IV to its 1-year range: 0% is the low, 100% is the high. INCY's current rank of 45.6% signals where current pricing sits in its own 1-year history. High-rank regimes typically favor premium-selling structures (credit spreads, condors, covered calls); low-rank regimes typically favor premium-buying or long-volatility structures.