Cigna Group (CI) Current Implied Volatility & IV Rank
IV Rank, IV percentile and options risk for CI — updated every 30 minutes. ← Full CI risk overview
Data last updated: 2026-07-23
What CI's IV Rank means for options traders
As of the latest scan, Cigna Group (CI) shows an IV Rank of 34 with implied volatility around 39%, alongside a TickerRisk options-risk score of 89/100. That's low — options are cheap relative to the past year, which favours premium-buying strategies such as long calls, long puts and debit spreads when you expect a move.
IV Rank measures where CI'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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