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VICI PROPERTIES INC. (VICI) Options Risk Score

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

17
LOW Risk
53.4
IV Rank
42.2%
IV %
2026-10-29
Next Earnings
Real Estate Investment Trusts
Sector

Data last updated: 2026-09-06

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Is it risky to sell options on VICI PROPERTIES INC. (VICI) right now?

Over a 4-week expiry window, VICI PROPERTIES INC. (VICI) scores 17 out of 100 for options catalyst risk (LOW). That score is driven by an upcoming earnings report, 3 recent news items and 5 active legal filings falling inside the 4-week window. Below 45 is LOW: VICI's calendar looks clear across this window. Unscheduled news can still move any stock, so a low score is the absence of a known event, not the absence of risk.

VICI shows an IV Rank of 53, putting implied volatility in the middle of its one-year range — options are moderately priced, with a current implied volatility of about 42%. Read IV Rank alongside the catalyst score: it says how expensive VICI options are, while the score says whether that price is justified by a scheduled event.

VICI is scheduled to report earnings on 2026-10-29, which falls inside a typical monthly options expiry — expect elevated implied volatility into the event and an IV crush afterward.

VICI PROPERTIES INC. (VICI) current implied volatility and IV Rank

The most recent read on VICI PROPERTIES INC. (VICI) puts its IV Rank at 53 with implied volatility around 42%, alongside a TickerRisk options-risk score of 17/100. 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 is an index, not a percentage — it says where VICI's implied volatility sits inside its own 1-year range. How to read IV Rank →

VICI PROPERTIES INC. (VICI) next earnings date — 2026-10-29

The next VICI report lands on 2026-10-29 — about 53 days away — inside the window a typical monthly option would span. VICI's IV Rank is currently 53. That matters more than any other single date on the calendar: the stock can gap overnight on the print, and any premium you collect now is partly payment for carrying that gap. Sellers who want the volatility crush without the gap generally choose an expiry that ends before the report.

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