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ROPER TECHNOLOGIES INC (ROP) Options Risk Score

Real-time risk analysis for ROP options traders — updated every 30 minutes.

45
MEDIUM Risk
61.2
IV Rank
39.4%
IV %
2026-10-22
Next Earnings
Industrial Instruments For Measurement, Display, and Control
Sector

Data last updated: 2026-09-06

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Is it risky to sell options on ROPER TECHNOLOGIES INC (ROP) right now?

For a 4-week expiry, ROPER TECHNOLOGIES INC (ROP) carries an options catalyst-risk score of 45 out of 100 (MEDIUM). What pushes it there: an upcoming earnings report, 2 recent news items and 10 active legal filings, all landing inside the 4-week window. MEDIUM covers 45 to 69: there is something on ROP's calendar worth reading before you pick an expiry, without it dominating the trade. Direction is not part of what the score measures.

ROP shows an IV Rank of 61, putting implied volatility in the middle of its one-year range — options are moderately priced, with a current implied volatility of about 39%. IV Rank is the most useful figure for deciding whether to sell or buy premium on ROP.

ROP reports on 2026-10-22. Any expiry beyond that date carries the gap, and the implied volatility priced in beforehand typically collapses the morning after; the stock has moved down 3.6% recently.

ROPER TECHNOLOGIES INC (ROP) current implied volatility and IV Rank

The most recent read on ROPER TECHNOLOGIES INC (ROP) puts its IV Rank at 61 with implied volatility around 39%, alongside a TickerRisk options-risk score of 45/100. ROP's options are priced near the middle of their own yearly range — unremarkable volatility, so the trade has to stand on its own thesis rather than on rich or cheap premium.

For what this number does and does not tell you about ROP's options, see IV Rank explained.

ROPER TECHNOLOGIES INC (ROP) next earnings date — 2026-10-22

ROPER TECHNOLOGIES INC (ROP) reports earnings on 2026-10-22 — about 46 days away, which falls inside a typical options expiry window. ROP's IV Rank is currently 61. Earnings are the single biggest scheduled catalyst for an overnight gap: implied volatility usually runs up into the report and collapses immediately after (the IV crush). Selling premium into the event captures that crush but exposes you to the gap; buying premium needs a move large enough to beat the elevated IV you paid.

TickerRisk provides risk scoring for informational purposes only. This is not financial advice. Options trading involves substantial risk of loss. Full disclaimer