Marcus Mean Deviation

MCS Stock  USD 17.97  -0.32  -1.75%   
The mean deviation of the equity instrument is the first measure of the distances between each value of security historical prices and the mean. It gives us an idea of how spread out from the center the distribution of returns. Below is Marcus's current Mean Deviation with peer comparisons and related risk metrics.

Current Mean Deviation Value

At 1.69, Marcus's Mean Deviation indicates moderate price variability. This places Marcus within the typical volatility range for Movies & Entertainment.

Mean Deviation

 = 

SUM(RET DEV)

N

 = 
1.69
SUM = Summation notation
RET DEV = Sum of return deviations of Marcus
N = Number of calculation points for selected time horizon

Mean Deviation Peers Comparison

The peer group averages 2.26 for Mean Deviation, with Marcus at 1.69 falling below that level. Readings span 0.9684 (WideOpenWest) to 3.6 (TechTarget Common Stock). Marcus has exhibited less price dispersion than the peer average over the measured period.

Mean Deviation Relative To Other Indicators

The chart below plots Mean Deviation against Maximum Drawdown for Marcus and its peers. Each point represents one equity — position along the horizontal axis shows Mean 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 Mean Deviation ( 1.69 ) to Maximum Drawdown ( 13.15 ) for Marcus yields a 7.77 multiple. This indicates Maximum Drawdown substantially exceeds Mean Deviation for Marcus.
Compare Marcus to Peers

Methodology, Assumptions & Data Sources

The current Mean Deviation for Marcus is 1.69. This Mean Deviation reading for Marcus results from applying the indicator's calculation rules to price and volume data over the selected window. Price data is sourced from standardized end-of-day feeds across supported exchanges, normalized for corporate actions. Marcus operates in the communication services sector, which may exhibit distinct volatility and momentum characteristics relative to the broader market. The output reflects the selected calculation window — changing the horizon will produce different readings. This stock metric is provided for analytical reference.

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