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Andry Nufeksi
Andry Nufeksi

Greetings to all forum participants! Today we want to talk about volatility in financial markets. Volatility is a measure of price volatility in the market. The higher the volatility, the greater the price fluctuations and the higher the risk of loss (or gain) for investors. I usually estimate volatility using statistical measures such as standard deviation or coefficient of variation. To cope with high volatility, I diversify my portfolio by investing in different assets such as stocks, bonds, gold and others. By the way, the volatility images will help you clearly understand what it is.


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