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Synchrony Financial (SYF) Current Implied Volatility & IV Rank

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

60
Risk Score
46.1
IV Rank
37.0%
IV %
MEDIUM
Risk Band
Finance Services
Sector

Data last updated: 2026-07-23

What SYF's IV Rank means for options traders

As of the latest scan, Synchrony Financial (SYF) shows an IV Rank of 46 with implied volatility around 37%, alongside a TickerRisk options-risk score of 60/100. That's moderate — options are fairly priced versus the past year, so there's no strong volatility edge in either direction right now; trade the direction, not the vol.

IV Rank measures where SYF'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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