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ARCH CAPITAL GROUP LTD. (ACGL) Implied Volatility & Options Data

IV Rank, IV percentile and options risk for ACGL — updated every 30 minutes. ← Full ACGL risk overview

48
Risk Score
73.1%
IV Rank
26.8%
IV %
MEDIUM
Risk Band
Fire, Marine & Casualty Insurance
Sector

Data last updated: 2026-06-08

What ACGL's IV Rank means for options traders

ACGL's IV Rank is high (≥70) — its options are expensive relative to the past year. This favors premium-selling strategies such as credit spreads, iron condors and covered calls, provided there's no binary catalyst working against you.

IV Rank measures where ACGL's current implied volatility sits within its own 1-year high/low range (0–100). IV % is the raw implied volatility level. High IV Rank = expensive options = favor selling premium; low IV Rank = cheap options = favor buying.

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