Klarna Group plc

KLARNYSE · USD
13.68USD0.00 (-0.87%)
522

Klarna Group plc (KLAR) Straddle

KLAR straddle scan found 89 qualifying long straddle setups on the previous trading day. Probability of profit reaches up to 53.2%.

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Trading a KLAR straddle lets you take a pure volatility position on Klarna Group plc without committing to a direction. Klarna Group plc's straddle involves buying (or selling) a call and a put at the same strike and expiration, profiting when the stock moves more (or less) than the combined premium implies. Use our scanner to evaluate KLAR straddle pricing in real time and find the moments when expected moves are mispriced.

A long straddle on KLAR profits from large moves in either direction and is a classic play into binary events like earnings, product announcements, or macro releases. A short straddle profits when Klarna Group plc stays range-bound and implied volatility contracts. The breakeven points are simple: strike plus total premium on the upside, strike minus total premium on the downside. Comparing the KLAR straddle price to historical realized moves helps you judge whether the market is overpaying or underpaying for volatility.

Klarna Group plc operates as a technology-driven payments company in the United Kingdom, the United States, Germany, Sweden, and internationally. The company offers advertising and marketing solutions, consumer services, digital financial services, and personal shopping and money assistance services. In addition, it provides digital retail banking solutions, such as fixed-term deposits, savings, and bank accounts; digital loyalty cards; and customer and merchant support services, as well as manages personal finances. Klarna Group plc was formerly known as Klarna UK II plc and changed its name to Klarna Group plc in December 2023.

The company was founded in 2005 and is based in London, United Kingdom.

Earnings, product cycles, macro prints — any time volatility itself is the trade, the KLAR straddle is the cleanest expression of that view. Our scanner prices every KLAR straddle against historical realized moves, flags expirations where the market is overpaying or underpaying for vol, and ranks setups by breakeven width and IV rank. Whether you're long a KLAR straddle into a catalyst or short a KLAR straddle to harvest decay, the options straddle setups that matter are all in one place.

Dec 18, 202622.50$8.65911%53.2%$31.15$13.85243
Mar 19, 202725.00$11.251821%53.1%$36.25$13.753
Jan 15, 202725.00$11.251191%52.3%$36.25$13.75113
Jan 21, 202840.00$26.884901%51.8%$66.88$13.130
Mar 19, 202735.00$21.451821%51.1%$56.45$13.550
Jan 15, 202722.50$8.851191%51.1%$31.35$13.65821
Jan 21, 202845.00$32.104901%50.4%$77.10$12.900
Oct 2, 202614.50$1.00141%48.9%$15.50$13.50100
Dec 18, 202620.00$6.48911%48.9%$26.48$13.53561
Oct 30, 202617.50$3.85421%48.9%$21.35$13.650

As of September 18, 2026

Find the right straddle before volatility moves

Track KLAR straddle pricing across expirations, filter by IV rank and breakeven points, and build a setup that fits your view before the move happens.

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