MOTOROLA Variance

620076BT5   82.48  3.88  4.49%   
MOTOROLA variance technical analysis lookup allows you to check this and other technical indicators for MOTOROLA SOLUTIONS INC or any other equities. You can select from a set of available technical indicators by clicking on the link to the right. Please note, not all equities are covered by this module due to inconsistencies in global equity categorizations and data normalization technicques. Please check also Equity Screeners to view more equity screening tools
  
MOTOROLA SOLUTIONS INC has current Variance of 0.6457. Variance is another measure of security risk that shows the amount of dispersion of equity returns around their mean value. Variance is calculated as the average squared deviations from the mean. Evaluating a set of investment alternatives one can use variance to help determine the volatility when purchasing a specific security. Similar to Standard Deviation, the variance is a measure of how far a set of numbers is spread out around its mean.

Variance

 = 

SUM(RET DEV)2

N

 = 
0.6457
SUM = Summation notation
RET DEV = Actual returns deviation over selected period
N = Number of points for the period

MOTOROLA Variance Peers Comparison

MOTOROLA Variance Relative To Other Indicators

MOTOROLA SOLUTIONS INC cannot be rated in Variance category at this point. It cannot be rated in Maximum Drawdown category at this point. reporting about  5.75  of Maximum Drawdown per Variance. The ratio of Maximum Drawdown to Variance for MOTOROLA SOLUTIONS INC is roughly  5.75 
Variance is also a measure of stock volatility and can help determine the risk an investor might take on when purchasing a specific security. A relatively big variance indicates that the daily prices or returns are far from the mean and a small variance indicates that they are located around the mean.
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