Malaga Financial Mean Deviation

MLGF Pink Sheet  USD 21.64  0.16  0.74%   
Mean Deviation data for Malaga Financial is presented below, including the current value, historical progression, and peer context. Evaluating the reading against sector peers and recent history provides the strongest context. Review Malaga Financial Volatility and Malaga Financial Price History for a broader perspective on Malaga Financial.
  

Current Mean Deviation Value

With Mean Deviation at 0.3652, Malaga Financial shows low price variability. This places Malaga Financial at the lower end of the volatility range for Pink Sheet.

Mean Deviation

 = 

SUM(RET DEV)

N

 = 
0.3652
SUM = Summation notation
RET DEV = Sum of return deviations of Malaga Financial
N = Number of calculation points for selected time horizon

Mean Deviation Peers Comparison

Malaga Financial falls below the 0.55 peer average for Mean Deviation. Exchange Bank leads at 1.01 while TISCO Financial Group registers the lowest at 0.1912. Malaga Financial 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 Malaga Financial 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.
Malaga Financial records a Mean Deviation of 0.37 and a Maximum Drawdown of 3.01 , yielding roughly 8.25 units of Maximum Drawdown per Mean Deviation. This indicates Maximum Drawdown substantially exceeds Mean Deviation for Malaga Financial.
Compare Malaga Financial to Peers

Methodology, Assumptions & Data Sources

Malaga Financial's Mean Deviation currently stands at 0.3652. The Mean Deviation for Malaga Financial applies a standardized calculation to daily closing prices and, where applicable, volume data across the selected period. Price data is sourced from standardized end-of-day feeds across supported exchanges, normalized for corporate actions. 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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