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To: TechTrader42 who wrote (9086)3/21/1999 6:56:00 PM
From: CatLady  Read Replies (1) | Respond to of 11149
 
TC2000 provides a volatility measure, this is how it's described:

Volatility
(Relative Volatility) This is a measure of the propensity of a stock's share price to fluctuate widely. The stock's past changes in share price whether up or down, are compared with price changes in all stocks. This indicator is calculated as follows: The stock's weekly percentage rise over the last 13 weeks is summed and averaged. The stock's finial volatility is found by dividing its average of 13-week movements by the median value for all stocks.