Back to list of Stocks See Also: Fourier Analysis of JAMN, Genetic Algorithms Stock Portfolio Generator

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Seasonal Analysis of Security

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Notes: "Adjusted Close" means closing price was adjusted for splits
and dividends; Weekly (not daily) Adjusted close price was used for calculations;
Average Weekly Volume was used in Volume calculations.

Right click on the graph above to see the menu of operations (download, full screen, etc.)

See Also: Fourier Analysis of JAMN
The average ("mean") and median are measures of central tendency.

Standard Deviation and Coefficient Of Variation are measures of dispersion. These can be used to measure the volatility (risk) of a security, and also to estimate the expected ranges of the price and volume.

Assuming a normal distribution, we expect to see 68% of values within one Standard Deviation of the mean (average), 95% of the values within two standard deviations of the mean, and 99% of the values within three standard deviations of the mean.

Standard Deviation and Coefficient Of Variation are measures of dispersion. These can be used to measure the volatility (risk) of a security, and also to estimate the expected ranges of the price and volume.

Assuming a normal distribution, we expect to see 68% of values within one Standard Deviation of the mean (average), 95% of the values within two standard deviations of the mean, and 99% of the values within three standard deviations of the mean.

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