A measure of a stock's volatility relative to the overall market. Beta of 1 means the stock moves with the market; above 1 means more volatile; below 1 means less volatile.
Beta
Related terms
The highest and lowest prices at which a stock has traded during the past 52 weeks (one year). Stocks near 52-week highs may indicate strength; near 52-week lows may indicate weakness or value.
The weighted average cost at which you purchased shares of a stock, calculated by dividing total cost by total quantity. Used for P&L calculations in UseMoney.
A market condition where prices are falling or expected to fall, typically defined as a decline of 20% or more from recent highs.
A market condition where prices are rising or expected to rise, characterized by investor optimism and sustained upward trends.
Compound Annual Growth Rate. The annualized rate of return that smooths out volatility, showing how an investment would have grown if it grew at a steady rate.
A period where a stock's price moves sideways within a narrow range, indicating indecision between buyers and sellers before a breakout or breakdown.