Czechia: Stock price volatility
* indicates monthly or quarterly data series
Czechia |
Stock price volatility, percent |
---|---|
Latest value | 19.46 |
Year | 2021 |
Measure | percent |
Data availability | 1995 - 2021 |
Average | 19.51 |
Min - Max | 8.86 - 45.21 |
Source | Global Financial Development Database |
The latest value from 2021 is 19.46 percent, an increase from 18.93 percent in 2020. In comparison, the world average is 20.14 percent, based on data from 87 countries. Historically, the average for the Czechia from 1995 to 2021 is 19.51 percent. The minimum value, 8.86 percent, was reached in 2018 while the maximum of 45.21 percent was recorded in 2009.
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* indicates monthly or quarterly data series
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Definition: The stock price volatility index is the 360-day standard deviation of the return on the national stock market index.
Selected articles from our guide:
What factors determine the exchange rates
International lending and sovereign debt
All articles
Related indicators | Latest | Reference | Measure |
---|---|---|---|
Stock market capitalization, percent of GDP | 9.91 | 2022 | percent |
Stock market capitalization, in dollars | 28.81 | 2022 | billion U.S. dollars |
Stock market turnover ratio | 19.63 | 2022 | percent |
Listed companies | 24 | 2022 | companies |
Stock market value traded | 1.95 | 2022 | percent |
Stock market return | 29.28 | 2021 | percent |
Stock price volatility | 19.46 | 2021 | percent |
Mutual fund assets | 7.35 | 2020 | percent |
Life insurance volume | 0.90 | 2020 | percent |
Non-life insurance premium volume | 1.66 | 2020 | percent |
Pension fund assets to GDP | 9.52 | 2020 | percent |
Insurance company assets | 8.66 | 2020 | percent |
Stock market index | 157.30 | 8/2024 | points |