Historical Volatility

RECENT NEWS
FX Street  37 min ago  Comment 
Dollar and Yen gains from late last week that were due to the possibility of Dubai defaulting on up to 80 billion in loans were chopped down today as traders felt more confident that the issue was under control. The first minutes of the week were...
FX Street  3 hrs ago  Comment 
This week saw a sudden turn back towards Dollar strength and a brief flight to safety amid the news out of the middle east regarding Dubai's financial debacle. It demonstrates how fragile the overall picture is of the world economy. Knowing...
The Economic Times  4 hrs ago  Comment 
Stocks are headed for an upmove Monday after a highly volatile session in reaction to the Dubai debt crisis. However, Asian markets are witnessing strength in early trade which sets the mood for a higher opening back home.
CNBC  9 hrs ago  Comment 
Be cautious getting new money into gold, says Tony Chidiac from Ord Minnett. He tells CNBC's Karen Tso and Michael McCormick from Belvedere Share Managers that it is a volatile investment.
Condor Options  9 hrs ago  Comment 
Volatility Tracker for the week of November 30, 2009 Volatility indexes popped across the board on the Dubai news last week. [2] If traders are concerned about the effects of this particular event, their reaction is overblown - as is already...
Business Standard  Nov 29  Comment 
Dalal Street is likely to witness volatile trade this week with a downward bias, taking cues from global markets as concerns about debt repayment problems in Dubai loom large over markets worldwide, analysts said.
Business Standard  Nov 29  Comment 
The November settlement ended with heavy FII selling and a weak trend. Carryover which had been strong, petered off. Volumes remained good and volatility was high.
Fund my Mutual Fund  Nov 29  Comment 
Cash: 82.9% (v 80.5% last week) Long: 12.5% (v 18.9%) Short: 4.6% (v 0.6%)  [includes a dollar option position and volatility ETF] This  data  is updated weekly and can be found on ' Performance/Portfolio ' menu tab on the  website ....
Barel Karsan  Nov 29  Comment 
Though not exactly a book related to value investing, this oft-cited work of Princeton economist Burton Malkiel discusses many important features of stock market investing. An understanding of its prime contentions is useful for beginners and...
New York Times  Nov 29  Comment 
Across the country, Russians prayed and held moments of silence for the victims of a homemade bomb planted on train tracks.
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Volatility refers to the tendency of prices to change unexpectedly, usually as a response to new information or changes in demand for the investment. Volatility can be defined an investment's tendency to move up and down in price over the latest n periods.

A security with high volatility has a bigger fluctuations in price compared to a security with low volatility. The more quickly a price changes up and down, the more volatile it is. As such, volatility is often used as a measure of risk.

For example: A stock whose price went up 10% yesterday and went down 25% today is more volatile than a stock which increased 2% in both days.

Historical volatility is calculated by looking at past changes in stock price. The standard deviation of percentage changes in price is used to calculate observed volatility within the considered timeframe.

Historical Volatility, which looks at the past, is distinct from Implied volatility, which represents expectations about future fluctuations in price and is calculated by looking at the prices of options on the underlying investment.

Volatility is also different from Beta, which is a measure of how the stock price reacts to changes in a broad market index, such as the S&P 500.


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