Volatility of Stock Price Index for Bosnia and Herzegovina

DDSM01BAA066NWDB • Economic Data from Federal Reserve Economic Data (FRED)

Latest Value

13.12

Year-over-Year Change

-18.04%

Date Range

1/1/2005 - 1/1/2021

Summary

The Volatility of Stock Price Index for Bosnia and Herzegovina measures the degree of variability in the country's stock market prices over time. This metric is important for economists and investors to assess market risk and stability.

Analysis & Context

This economic indicator provides valuable insights into current market conditions and economic trends. The data is updated regularly by the Federal Reserve and represents one of the most reliable sources for economic analysis.

Understanding this metric helps economists, policymakers, and investors make informed decisions about economic conditions and future trends. The interactive chart above allows you to explore historical patterns and identify key trends over time.

About This Dataset

The Volatility of Stock Price Index for Bosnia and Herzegovina quantifies the fluctuations in the country's stock market, providing insights into the overall risk and uncertainty faced by investors. It is a key indicator used to evaluate the health and performance of the Bosnian financial markets.

Methodology

The data is calculated based on the standard deviation of daily stock price changes.

Historical Context

This volatility index is widely referenced by policymakers, financial analysts, and investors to inform economic forecasting and investment decisions.

Key Facts

  • Bosnia and Herzegovina's stock market is one of the smallest in Europe.
  • High volatility can indicate increased investor risk and uncertainty.
  • Volatility trends are closely watched by policymakers and financial institutions.

FAQs

Q: What does this economic trend measure?

A: The Volatility of Stock Price Index for Bosnia and Herzegovina measures the degree of fluctuation in the country's stock market prices over time.

Q: Why is this trend relevant for users or analysts?

A: This volatility index is an important indicator of market risk and stability, providing insights that inform investment decisions and economic forecasting.

Q: How is this data collected or calculated?

A: The data is calculated based on the standard deviation of daily stock price changes.

Q: How is this trend used in economic policy?

A: Policymakers, financial analysts, and investors closely monitor this volatility index to assess the health and performance of the Bosnian financial markets.

Q: Are there update delays or limitations?

A: The data is subject to the timeliness and availability of stock price information in Bosnia and Herzegovina.

Related Trends

Citation

U.S. Federal Reserve, Volatility of Stock Price Index for Bosnia and Herzegovina (DDSM01BAA066NWDB), retrieved from FRED.