Data
Stock Volatility One Year
LiveVolatility 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.
How calculated | It is calculated using the closing prices and represents the daily volatility of the stock |
Example usage | =StockVolatilityOneYear("MSFT") |
Notes | Returns the stock volatility for the specified period.Higher volatility indicates higher risk. |
Assets | Stocks ETFs Mutual Funds Cryptos |
Stock | Stock Volatility One Year |
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Atlantic Capital Bancshares Inc.
ACBI
NGS

Sector: Financial Services
Industry: Banks - Regional - US
32.34
USD
0.00
(0.00%)
Optionable: No Market Cap: 647 M 90-day average vol: 0
Previous close: 32.37 Open: 31.23 Bid: Ask:
52 week range
22.14 33.68
Last updated: Wednesday 6th July 2022
Chart
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