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MTF- Standard Deviation Channel

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What Is Standard Deviation?
Standard deviation is a statistical measurement that looks at how far individual points in a dataset are dispersed from the mean of that set. If data points are further from the mean, there is a higher deviation within the data set. It is calculated as the square root of the variance.

Key Takeaways:
Standard deviation measures the dispersion of a dataset relative to its mean.
It is calculated as the square root of the variance.
Standard deviation, in finance, is often used as a measure of the relative riskiness of an asset.
A volatile stock has a high standard deviation, while the deviation of a stable blue-chip stock is usually rather low.
Standard deviation is also used by businesses to assess risk, manage business operations, and plan cash flows based on seasonal changes and volatility.

Source: Investopedia

--------------- UPDATE ---------------
The deviation is calculated automatically. (via stdev function).
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The targeted timeframe is available in the options (recalculation cycle).
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If the selected security is a contract the number of days before expiration is automatically managed, otherwise it will use the 'default' options.
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版本注释
--------------- UPDATE ---------------
The deviation is calculated automatically. (via stdev function).
--
The targeted timeframe is available in the options (recalculation cycle).
--
If the selected security is a contract the number of days before expiration is automatically managed, otherwise it will use the 'default' options.
---------------------------------------
版本注释
Added cycles label
Changed default values and styles
版本注释
...

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