Standard Deviation
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Standard Deviation
Section titled “Standard Deviation”Value of the market volatility measurement. This indicator describes the range of price fluctuations relative to Moving Average. If the value is high, the market is volatile, and prices are spread relative to the moving average. If the value is low, the market has low volatility, and prices are close to the moving average.
Using Standard Deviation
Section titled “Using Standard Deviation”The indicator is commonly used as a component of other indicators. For example, when calculating Bollinger Bands®, the symbol standard deviation value is added to its moving average.
Interpreting the Indicator
Section titled “Interpreting the Indicator”The indicator helps in understanding the market behavior, which alternates between high trading activity and a slow market. It provides an easy interpretation of market conditions.