{"id":6235,"date":"2021-12-09T21:16:32","date_gmt":"2021-12-09T20:16:32","guid":{"rendered":"https:\/\/www.simtrade.fr\/blog_simtrade\/?p=6235"},"modified":"2025-12-11T13:21:46","modified_gmt":"2025-12-11T13:21:46","slug":"standard-deviation","status":"publish","type":"post","link":"https:\/\/www.simtrade.fr\/blog_simtrade\/standard-deviation\/","title":{"rendered":"Standard deviation"},"content":{"rendered":"<h1><\/h1>\n<p><a href=\"https:\/\/www.linkedin.com\/in\/jayati-walia\/\" target=\"_blank\" rel=\"noopener\"><img decoding=\"async\" style=\"padding: 5px;\" title=\"\" src=\"https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/04\/img_SimTrade_Photo1_Jayati_Walia.png\" alt=\"Jayati WALIA\" width=\"133\" align=\"right\" \/><\/a><\/p>\n<p>In this article, <a href=\"https:\/\/www.linkedin.com\/in\/jayati-walia\/\" target=\"_blank\" rel=\"noopener\">Jayati WALIA<\/a> (ESSEC Business School, <i>Grande Ecole<\/i> Program &#8211; Master in Management, 2019-2022) presents an overview of standard deviation and its use in financial markets.<\/p>\n<h2>Definition<\/h2>\n<p>The standard deviation is a measure that indicates how much data scatter around the mean. The idea is to measure how an observation deviates from the mean <i>on average<\/i>.\/p&gt;<\/p>\n<h2>Mathematical formulae<\/h2>\n<p>The first step to compute the standard deviation is to compute the mean. Considering a variable X, the arithmetic mean of a data set with N observations, X<sub>1<\/sub>, X<sub>2<\/sub> \u2026 X<sub>N<\/sub>, is computed as:<\/p>\n<p><img loading=\"lazy\" decoding=\"async\" class=\"aligncenter size-full wp-image-6259\" src=\"https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/11\/img_arithmetic_mean-e1637315321690.png\" alt=\"img_arithmetic_mean\" width=\"170\" height=\"95\" \/><\/p>\n<p>In the data set analysis, we also consider the dispersion or variability of data values around the central tendency or the mean. The variance of a data set is a measure of dispersion of data set values from the (estimated) mean and can be expressed as:<\/p>\n<p><img loading=\"lazy\" decoding=\"async\" class=\"aligncenter size-medium wp-image-6260\" src=\"https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/11\/img_variance-300x125.png\" alt=\"variance\" width=\"200\" height=\"110\" \/><\/p>\n<p>Note that in the above formula we divide by N-1 because the mean is not known but estimated (usual case in finance). If the mean is known with certainty (when dealing the whole population not a sample), then we divide by N.<\/p>\n<p>A problem with variance, however, is the difficulty of interpreting it due to its squared unit of measurement. This issue is resolved by using the standard deviation, which has the same measurement unit as the observations of the data set (such as percentage, dollar, etc.). The standard deviation is computed as the square root of variance:<\/p>\n<p><img loading=\"lazy\" decoding=\"async\" class=\"aligncenter size-medium wp-image-6256\" src=\"https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/11\/img_standard_deviation-300x129.png\" alt=\"standard deviation\" width=\"200\" height=\"110\" \/><\/p>\n<p>A low value standard deviation indicates that the data set values tend to be closer to the mean of the set and thus lower dispersion, while a high standard deviation indicates that the values are spread out over a wider range indication higher dispersion.<\/p>\n<h2>Measure of volatility<\/h2>\n<p>For financial investments, the X variable in the above formulas would correspond to the return on the investment computed on a given period of time. We usually consider the trade-off between risk and reward. In this context, the reward corresponds to the expected return measured by the mean, and the risk corresponds to the standard deviation of returns.<\/p>\n<p>In financial markets, the standard deviation of asset returns is used as a statistical measure of the risk associated with price fluctuations of any particular security or asset (such as stocks, bonds, etc.) or the risk of a portfolio of assets (such as mutual funds, index mutual funds or ETFs, etc.).<\/p>\n<p>Investors always consider a mathematical basis to make investment decisions known as mean-variance optimization which enables them to make a meaningful comparison between the expected return and risk associated with any security. In other words, investors expect higher future returns on an investment on average if that investment holds a relatively higher level of risk or uncertainty. Standard deviation thus provides a quantified estimate of the risk or volatility of future returns.<\/p>\n<p>In the context of financial securities, the higher the standard deviation, the greater is the dispersion between each return and the mean, which indicates a wider price range and hence greater volatility. Similarly, the lower the standard deviation, the lesser is the dispersion between each return and the mean, which indicates a narrower price range and hence lower volatility for the security.<\/p>\n<h2>Example: Apple Stock<\/h2>\n<p>To illustrate the concept of volatility in financial markets, we use a data set of Apple stock prices. At each date, we compute the volatility as the standard deviation of daily stock returns over a rolling window corresponding to the past calendar month (about 22 trading days). This daily volatility is then annualized and expressed as a percentage.<\/p>\n<p>Figure 1. Stock price and volatility of Apple stock.<\/p>\n<p><img loading=\"lazy\" decoding=\"async\" class=\"aligncenter size-full wp-image-6266\" src=\"https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/11\/img_price_and_volatility_Apple_stock.png\" alt=\"price and volatility for Apple stock\" width=\"1527\" height=\"997\" srcset=\"https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/11\/img_price_and_volatility_Apple_stock.png 1527w, https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/11\/img_price_and_volatility_Apple_stock-300x196.png 300w, https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/11\/img_price_and_volatility_Apple_stock-1024x669.png 1024w, https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/11\/img_price_and_volatility_Apple_stock-768x501.png 768w\" sizes=\"auto, (max-width: 1527px) 100vw, 1527px\" \/><br \/>\nSource: computation by the author (data source: Bloomberg).<\/p>\n<p>You can download below the Excel file for the calculation of the volatility of stock returns. The data used are for Apple for the period 2020-2021.<\/p>\n<p><a href=\"https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2022\/01\/doc_SimTrade_Volatility.xlsx\" target=\"_blank\" rel=\"noopener\"><img decoding=\"async\" class=\"aligncenter\" style=\"padding: 3px;\" title=\"Download the Excel file to compute the volatility of stock returns\" src=\"https:\/\/www.simtrade.fr\/blog_simtrade\/wp-content\/uploads\/2021\/05\/img_SimTrade_Btn_Download_Excel_file_US.png\" alt=\"ownload the Excel file to compute the volatility of stock returns\" width=\"200\" align=\"center\" \/><\/a><\/p>\n<h2>Related posts on the SimTrade blog<\/h2>\n<p>\u25b6 Jayati WALIA <a href=\"https:\/\/www.simtrade.fr\/blog_simtrade\/quantitative-risk-management\/\" target=\"_parent\" rel=\"noopener\">Quantitative Risk Management<\/a><\/p>\n<p>\u25b6 Jayati WALIA <a href=\"https:\/\/www.simtrade.fr\/blog_simtrade\/value-at-risk\/\" target=\"_parent\" rel=\"noopener\">Value at Risk<\/a><\/p>\n<p>\u25b6 Jayati WALIA <a href=\"https:\/\/www.simtrade.fr\/blog_simtrade\/brownian-motion-finance\/\" target=\"_parent\" rel=\"noopener\">Brownian Motion in Finance<\/a><\/p>\n<h2>Useful resources<\/h2>\n<p>Wikipedia <a href=\"\/\/en.wikipedia.org\/wiki\/Standard_deviation#Finance\u201d\" target=\"_blank\" rel=\"noopener\">Standard Deviation<\/a><\/p>\n<h2>About the author<\/h2>\n<p>The article was written in November 2021 by <a href=\"https:\/\/www.linkedin.com\/in\/jayati-walia\/\" target=\"_blank\" rel=\"noopener\">Jayati WALIA<\/a> (ESSEC Business School, <i>Grande Ecole<\/i> Program &#8211; Master in Management, 2019-2022).<\/p>\n","protected":false},"excerpt":{"rendered":"<p>In this article, Jayati WALIA (ESSEC Business School, Grande Ecole Program &#8211; Master in Management, 2019-2022) presents an overview of standard deviation and its use in financial markets. Definition The standard deviation is a measure that indicates how much data scatter around the mean. The idea is to measure how an observation deviates from the &#8230; <a title=\"Standard deviation\" class=\"read-more\" href=\"https:\/\/www.simtrade.fr\/blog_simtrade\/standard-deviation\/\" aria-label=\"Read more about Standard deviation\">Read more<\/a><\/p>\n","protected":false},"author":33,"featured_media":0,"comment_status":"closed","ping_status":"open","sticky":false,"template":"","format":"standard","meta":{"_jetpack_memberships_contains_paid_content":false,"footnotes":""},"categories":[5,10],"tags":[505,551,554,612,621],"class_list":["post-6235","post","type-post","status-publish","format-standard","hentry","category-contributors","category-financial-techniques","tag-risk","tag-standard-deviation","tag-statistics","tag-variance","tag-volatility"],"yoast_head":"<!-- This site is optimized with the Yoast SEO Premium plugin v26.3 (Yoast SEO v27.2) - https:\/\/yoast.com\/product\/yoast-seo-premium-wordpress\/ -->\n<title>Standard deviation - SimTrade blog<\/title>\n<meta name=\"robots\" content=\"index, follow, max-snippet:-1, max-image-preview:large, max-video-preview:-1\" \/>\n<link rel=\"canonical\" href=\"https:\/\/www.simtrade.fr\/blog_simtrade\/standard-deviation\/\" \/>\n<meta property=\"og:locale\" content=\"en_US\" \/>\n<meta property=\"og:type\" content=\"article\" \/>\n<meta property=\"og:title\" content=\"Standard deviation\" \/>\n<meta property=\"og:description\" content=\"In this article, Jayati WALIA (ESSEC Business School, Grande Ecole Program &#8211; Master in Management, 2019-2022) presents an overview of standard deviation and its use in financial markets. 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