Stock Volatility Six MonthsLive
Volatility is defined as the rate at which the price of a security increases or decreases for a given set of returns. It indicates the risk associated with the changing price of the security and is measured by calculating the standard deviation of the returns over a given period of time.
It is calculated using the closing prices and represents the daily volatility of the stock
Returns the stock volatility for the specified period.Higher volatility indicates higher risk.
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|Stock||Stock Volatility Six Months|
Agilent Technologies Inc.
Industry: Diagnostics & Research
Optionable: Yes Market Cap: 36,001 M 90-day average vol: 1,421,766
Previous close: 126.38 Open: 128.79 Bid: 132.2 Ask: 132.2
52 week range
Last updated: Wednesday 5th October 2022
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