MTF- Standard Deviation Channel

Standard deviation is a statistical measurement that looks at how far individual points in a dataset are dispersed from the mean of that set. If data points are further from the mean, there is a higher deviation within the data set. It is calculated as the square root of the variance.
Key Takeaways:
Standard deviation measures the dispersion of a dataset relative to its mean.
It is calculated as the square root of the variance.
Standard deviation, in finance, is often used as a measure of the relative riskiness of an asset.
A volatile stock has a high standard deviation, while the deviation of a stable blue-chip stock is usually rather low.
Standard deviation is also used by businesses to assess risk, manage business operations, and plan cash flows based on seasonal changes and volatility.
Source: Investopedia
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The deviation is calculated automatically. (via stdev function).
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The targeted timeframe is available in the options (recalculation cycle).
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If the selected security is a contract the number of days before expiration is automatically managed, otherwise it will use the 'default' options.
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The deviation is calculated automatically. (via stdev function).
--
The targeted timeframe is available in the options (recalculation cycle).
--
If the selected security is a contract the number of days before expiration is automatically managed, otherwise it will use the 'default' options.
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Changed default values and styles
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Penafian
Skrip sumber terbuka
Dalam semangat sebenar TradingView, pencipta skrip ini telah menjadikannya sumber terbuka supaya pedagang dapat menilai dan mengesahkan kefungsiannya. Terima kasih kepada penulis! Walaupun anda boleh menggunakannya secara percuma, ingat bahawa menerbitkan semula kod ini adalah tertakluk kepada Peraturan Dalaman kami.
Untuk akses pantas pada carta, tambah skrip ini kepada kegemaran anda — ketahui lebih lanjut di sini.