Annualized Volatility

Terms

A measure of an asset’s price fluctuations on an annual basis.

Description

Annualized volatility quantifies an asset’s price variability over a year, used by family offices to assess risk in equities, bonds, or derivatives. It informs portfolio construction, with higher volatility signaling greater risk and potential reward. Wealth managers use it to balance risk tolerances and optimize allocations. Accurate calculation enhances risk management.

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