Standard Deviation

Modified on Thu, 28 Aug at 3:26 AM

The Standard Deviation indicator (or Standard Deviation) measures the volatility of an asset's price relative to its average over a given period. It indicates how far price values deviate from the average itself on average: high values of standard deviation signal higher volatility (prices moving away from the average), while low values indicate lower volatility (prices staying closer to the average).


INDEX

  • Settings-of-Use

    Use Settings

    Clicking on the indicator settings icon will open its configuration window, within which you can make several choices regarding the indicator's functionality. 

    Parameters

    In the parameters section you can set the indicator periods.


    Series

    In the Series section you can change the colors and style of the indicator.

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