Our take on Volatility: When You Are More Likely to Realize Good Investment Outcomes

This article was originally published on ETFTrends.com.

By Denis Rezendes, CFA What is volatility? From a purely technical standpoint, volatility, otherwise known as standard deviation, is a statistical measure of data’s dispersion around its mean. In more simple terms, volatility is a way to measure swings in the price of securities or market indices. But what does that tell us as investors? [...]

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