Synchrony Financial Standard Deviation vs. Total Risk Alpha

0LC3 Stock   66.27  -2.05  -3.00%   
The this indicator lookup presents technical context for Synchrony Financial and related instruments. Coverage varies by data normalization and availability; see Equity Screeners for broader screening context. Trending Equities provides context for diversified portfolio design. Such insight adds context to allocation decisions within a diversified portfolio. The allocation includes a position in Synchrony Financial within the portfolio mix. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as signals in inflation.
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Synchrony Financial has current Standard Deviation of 2.41. The Standard Deviation is a measure of how spread out the prices or returns of an asset are on average. It is the most widely used risk indicator in the field of investing and finance. Standard Deviation is commonly used to measure confidence in statistical conclusions regarding certain equity instruments or portfolios of equities.

Standard Deviation

=

SQRT(V)

 = 
2.41
SQRT = Square root notation
V =   Variance of Synchrony Financial returns

Synchrony Financial Standard Deviation Peers Comparison

Synchrony Standard Deviation Relative To Other Indicators

Synchrony Financial is rated fifth among stocks in standard deviation category among its top compatitors. It is currently under evaluation. in total risk alpha category among its top compatitors .
Standard deviation is applied to the annual rate of return of an investment to measure the investment's volatility. Standard deviation is also known as historical volatility and is used by investors as a gauge for the amount of expected market volatility. A large standard deviation usually indicates that the data points are far from the mean and a small standard deviation indicates that they are clustered closely around the mean.
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