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Trading Price Standard Deviation (1 year)

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Price
Fair Value
Upside
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52-week range

Analysis

Fiscal Years
Trailing Twelve Months
Fiscal Halfs
Fiscal Quarters
Daily
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The following section summarizes insights on 's Trading Price Standard Deviation (1 year):

MPCNRG.USTRGPKMIWMBDKDINO0102030

Performance Summary
  • Marathon Petroleum's price standard deviation (1 year) is 17.60

Benchmarks

Metric Usage: Price Standard Deviation (1 year)

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asset_price_stddev_1y
Slug
number
Datatype
text
Format
current
Default Period
Free
Plan

To view the full list of supported financial metrics please see Complete Metrics Listing.

Similar Metrics

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Metrics similar to Trading Price Standard Deviation (1 year) in the risk category include:

  • Beta (2 Year) - A ratio that measures the risk or volatility of a company's share price in comparison to the market as a whole. Beta (2 Year) is calculated using two years of weekly returns.
  • Equity / Total Assets - A ratio that measures a company's book value of total equity as a percentage of total assets.
  • Cash And ST Investments / Total Assets - A ratio that measures a company's cash and short-term investments as a percentage of total assets.
  • Financial Leverage - A ratio that measures the dollars in total assets for each dollar of common equity.
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Trading Price Standard Deviation (1 year)

Definition of Trading Price Standard Deviation (1 year)

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Standard deviation of closing price over the last one year.

Sector Benchmark Analysis

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