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Realized Volatility (90d Annualized)

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52-week range

Analysis

Fiscal Years
Trailing Twelve Months
Fiscal Halfs
Fiscal Quarters
Daily
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Benchmarks

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Metric Usage

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Similar Metrics

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Metrics similar to Realized Volatility (90d Annualized) in the risk category include:

  • Unlevered Return on Assets - A ratio that measures the dollars in EBIT a business generates per dollar of assets it owns.
  • Net Income to Stockholders Margin CAGR (7y) - Seven-year compound annual growth rate in net income to stockholders margin.
  • Cash Conversion Cycle - A metric that compares the amount of days it takes a company to sell inventory and collect receivables relative to the amount of days afforded to pay bills.
  • Piotroski Score - A score developed by Stanford accounting professor Joseph Piotroski to find companies with healthy Liquid Balance Sheets, Profitability, and Operating Efficiency.
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Definition of Realized Volatility (90d Annualized)

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Sector Benchmark Analysis

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