RMR Real Estate Income Fund Volatilidad
¿Qué es el Volatilidad de RMR Real Estate Income Fund?
El Volatilidad de RMR Real Estate Income Fund es 0.00%
¿Cuál es la definición de Volatilidad?
La volatilidad o el porcentaje promedio del rango verdadero (ATRP 14) es el ATR expresado como un porcentaje del precio de cierre.
Average true range percent (ATRP) measures volatility on a relative level. This is opposed to the ATR, which measures volatility on an absolute level. ATRP allows securities to be compared whereas ATR does not. That means lower-priced stocks won't necessarily have lower ATR values than higher-priced stocks.
The period used in the calculation is 14 days and the normalized indicator oscillates between 0 and 100 percent of recent price variation. Importantly, the indicator doesn't predict the direction of price but it describes the current volatility. The volatility is comparable across all securities and all markets.
Volatility expresses the degree of price movement. The use of ATRP as volatility compared to ATR is preferred in cases when different securities or different time periods are compared. Examples are stock screening, filtering strategies, and studying seasonality and volatility patterns over long periods of time and different markets
Volatilidad de compañías en Sector Finance en NYSEMKT en comparadas con RMR Real Estate Income Fund
¿Qué hace RMR Real Estate Income Fund?
RMR Real Estate Income Fund is a closed-end investment fund/investment trust. Its objective is to earn and pay to its common shareholders a high level of current income by investing in real estate companies. The company was founded in 2003 and is headquartered in Newton, MA.
Empresas con volatilidad similar a RMR Real Estate Income Fund
- RMR Real Estate Income Fund tiene Volatilidad de 0.00%
- Laboratoire les 3 Chenes tiene Volatilidad de 0.01%
- Kyckr tiene Volatilidad de 0.01%
- Rousselet Centrifugation S.A tiene Volatilidad de 0.01%
- U&I Learning NV tiene Volatilidad de 0.01%
- UBS ETF SICAV - MSCI United Kingdom 100% hedged to CHF UCITS ETF tiene Volatilidad de 0.01%
- Bagir tiene Volatilidad de 0.01%