Strategy Insights: Measuring A Model (Part 3)

James Kimball | May 2, 2021

The ETF Complete model closed the week up 0.4% compared to the SPY which closed up +0.1%. Stay tuned for the daily updates and log into the website to see holdings and additional performance data.   This Week's Strategy Lesson: Measuring A Model (Part 3) We continue this series looking at different common measures of risk. This week we will look at Standard Deviation and how it measures volatility in a stock or trading model. Standard

This content is for Premium subscribers only. Please register or click here to login.

About the author

+ posts