iShares Global Infrastructure ETF

IGFNASDAQ · USD
63.17USD-0.22 (-0.36%)

iShares Global Infrastructure ETF (IGF) Implied Volatility Current

IGF implied volatility is 17%. IV Rank is 40%, placing current premiums in the middle of their 52-week range.

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Tracking IGF implied volatility helps you identify when options premiums on iShares Global Infrastructure ETF are historically cheap or expensive, and where the best trades are hiding. iShares Global Infrastructure ETF implied volatility reflects the market's expectation of future price movement: when IGF IV rises, option premiums increase, creating opportunities for sellers, and when it drops, buyers can find cheaper contracts. Use our scanner to monitor iShares Global Infrastructure ETF's implied volatility current levels in real time and filter for high-probability trades.

Implied volatility is derived from option prices using models like Black-Scholes and represents the annualized expected move of an underlying stock. For IGF, tracking metrics like IGF IV rank helps traders understand whether current implied volatility is historically high or low. IV rank compares today's reading against the past year's range — a high rank on IGF signals rich premiums and potential mean-reversion, while a low rank may favor long options strategies.

The iShares Global Infrastructure ETF seeks to track the investment results of an index composed of developed market equities in the infrastructure industry.

Premium sellers, directional traders, and spread builders all need the same starting point: a clear read on where IGF implied volatility sits today versus where it has been. Our scanner ranks iShares Global Infrastructure ETF implied volatility against its historical range, surfaces extremes in IGF IV rank, and pairs every reading with the trades that exploit it. Stop guessing whether iShares Global Infrastructure ETF IV is rich or cheap — measure it, then act on it.

Implied Volatility

IV Rank
39.68%IV Rank
Moderate

IV is below its typical range - premiums look reasonable for buyers.

Implied Volatility (30d)16.88%

IV Rank39.68%

Historical Volatility (30d)7.74%

IV - HV+9.14%

As of September 14, 2026

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Track IGF IV rank across every expiration, spot where volatility is elevated, and identify high-probability setups before the window closes.

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