Innova Captab Coefficient Of Variation

INNOVACAP   1,056  80.80  8.28%   
Innova Captab coefficient-of-variation technical analysis lookup allows you to check this and other technical indicators for Innova Captab Limited 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
  
Innova Captab Limited has current Coefficient Of Variation of 896.02. Coefficient of Variation (or CV) is a normalized measure of dispersion of a probability distribution. It is also known as the variation coefficient or simply unitized risk. The absolute value of the Coefficient of Variation is sometimes called Relative Standard Deviation (or RSD), which is expressed as a percentage.

Coefficient Of Variation

 = 

STD

ER

 = 
896.02
ER = Expected return on investing in Innova Captab
STD =   Standard Deviation of returns on Innova Captab

Innova Captab Coefficient Of Variation Peers Comparison

Innova Coefficient Of Variation Relative To Other Indicators

Innova Captab Limited is rated second overall in coefficient of variation category among its peers. It is currently under evaluation in maximum drawdown category among its peers reporting about  0.02  of Maximum Drawdown per Coefficient Of Variation. The ratio of Coefficient Of Variation to Maximum Drawdown for Innova Captab Limited is roughly  53.91 
CV is the measure of price and return dispersion, sometimes known as unitized risk or the variation coefficient. The CV is derived from the ratio of the standard deviation to the non-zero mean and the absolute value is taken for the mean to ensure it always positive. It is sometimes expressed as a percentage, in which case the CV is multiplied by 100. Coefficient of Variation for a single equity instrument describes the dispersion of price movement or daily returns. The higher the Coefficient of Variation, the greater the dispersion of prices, and the more riskier is the asset.
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