Learn what beta is, how to interpret it, and why it's a crucial metric for measuring market sensitivity and portfolio risk management.
Learn what covariance is, how to interpret it, and why it's crucial for portfolio management and risk assessment in financial markets.
Learn how fractal dimension can help identify market trends, measure price complexity, and improve your trading decisions through mathematical pattern analysis.
Learn what momentum trading is, how to implement momentum strategies, and why it's an effective trading approach in financial markets.
Learn what standard deviation is, how to use it, and why it matters in statistical analysis and financial markets.
A comprehensive guide to understanding volatility in financial markets, including different calculation methods and practical applications.