SHAZ (SharonAI Holdings, Inc. Class A Common Stock)

Historical IV Rank & Volatility Regime

IV Rank measures where SHAZ's current 30-day implied volatility sits in its trailing 90-day distribution (0% = lowest in 90 days, 100% = highest). It's the most reliable signal for whether options on SHAZ are priced rich or cheap relative to its own recent regime.

Market data may be delayed, incomplete, or inaccurate. Not a recommendation to buy, sell, or hold any security. Verify quotes with your broker before trading. See Terms §17.

SHAZ IV Rank Summary
Current
60%
Moderate — neutral regime
30-Day Avg
60-Day Avg
90-Day Avg
44%
90-Day Low
0%
90-Day High
100%
IV Rank is bounded 0%–100% by construction. Sustained levels above 75% historically precede mean reversion in SHAZ's implied vol; sustained sub-25% readings often coincide with low-realized regimes ahead of catalyst events. See the Vol Arb Screener for symbols where current IV rank diverges most from realized volatility.
SHAZ IV Rank — Last 90 Trading Days
DateIV RankAvg IV
20260901 60% 1.6%
20260831 42% 1.4%
20260828 33% 1.4%
20260827 23% 1.3%
20260826 26% 1.3%
20260825 10% 1.2%
20260824 8% 1.2%
20260821 24% 1.3%
20260820 8% 1.2%
20260819 12% 1.2%
20260818 8% 1.2%
20260817 6% 1.1%
20260814 0% 1.1%
20260813 0% 1.2%
20260812 0% 1.2%
20260811 0% 1.2%
20260810 13% 1.3%
20260806 13% 1.3%
20260805 64% 1.7%
20260804 100% 1.9%
20260803 100% 1.9%
20260731 98% 1.9%
20260730 93% 1.9%
20260729 100% 1.9%
20260728 100% 1.7%
20260727 100% 1.4%
20260724 100% 1.3%
20260723 100% 1.3%
20260722 50% 1.2%