DSS Standard Deviation
| DSS Stock | | | USD 0.55 -0.04 -6.78% |
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. Below is DSS's current Standard Deviation with peer comparisons and related risk metrics.
Current Standard Deviation Value
A Standard Deviation of 7.16 for DSS signals elevated price variability. This places DSS toward the higher end of the volatility range for Commercial Services & Supplies.
Standard Deviation | = | SQRT(V) |
| = | 7.16 | |
Standard Deviation Peers Comparison
DSS falls below the 34.24 peer average for Standard Deviation. Sonder Holdings leads at 248.63 while Medirom Healthcare Technologies registers the lowest at 3.12. DSS has exhibited less price dispersion than the peer average over the measured period.
Standard Deviation Relative To Other Indicators
The chart below plots Standard Deviation against Maximum Drawdown for DSS and its peers. Each point represents one equity — position along the horizontal axis shows Standard Deviation while the vertical axis shows Maximum Drawdown. Equities that cluster in different quadrants carry distinct risk-return profiles. Use the dropdowns to swap in other indicators for either axis.
Comparing Standard Deviation (
7.16 ) to Maximum Drawdown (
50.17 ) for DSS yields a
7.00 multiple. This indicates Maximum Drawdown substantially exceeds Standard Deviation for DSS.
Compare DSS to PeersMethodology, Assumptions & Data Sources
DSS has a current Standard Deviation reading of 7.16. Standard Deviation for DSS is derived by applying a defined formula to historical price observations, producing a time-series of comparable readings. Inputs are drawn from end-of-day closing prices reported by supported exchanges, adjusted for splits and dividends where applicable. DSS operates in the consumer cyclical sector, which may exhibit distinct volatility and momentum characteristics relative to the broader market. Values are specific to the selected time horizon and may differ across measurement periods. This indicator does not constitute investment advice.
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