Capital One (COF) volatility low into could return 20% in a year, Barron's says

September 26, 2016 6:27 AM EDT

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Capital One Financial (NYSE: COF) could return 20% in a year, Barron's say's. "Skillful" underwriting and growing commitment to rewards cards have put it in a "strong" competitive position to grow earnings at a double-digit rate in the next several years, Barron's say’s. Option implied volatility index mean is at 24, compared to its 52-week range of 19 to 45, according to Livevol.

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