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H
BestScopePeriodSample%ChangeS&P500
1
+IndustryYearTop 25
87.18%
20.64%
-IndustryYearLast 5
-62.93%
20.64%
5
+IndustryYearTop 25
86.85%
20.2%
-GlobalWeekLast 10
-9.51%
0.36%
A
+IndustryMonthTop 5
467.97%
0.69%
-GlobalWeekLast 5
0.58%
0.15%

Standard Deviation Volatility

The standard deviation measures how much variation there is in the closing price compared to its mean value. We are using a standard deviation period of 20 days.

Part of: Volatility


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