Oil Implied volatility OVX

Oil Implied volatility (OVX) closed up by 12.33% to 42.91 on 23 January 2021 and +25.18% on a weekly basis. Oil Implied volatility (OVX) momentum was last calculated at -100.0/100 indicating negative momentum. Oil Implied volatility (OVX) trend is -75.0/100 indicating a negative trend. Oil Implied volatility (OVX) momentum exhaustion is -0.60306 indicating Oil Implied volatility (OVX) is oversold.Oil Implied volatility (OVX) RSI is 39.9517 .

Oil Implied volatility OVX Chart

Oil Implied volatility OVX

Oil Implied volatility OVX Statistics

Security Symbol Last Momentum Trend Oscillator RSI 1D% 1W% 1M% 1Y%
Oil Implied volatility (OVX) OVX 42.91 -1 -0.75 -0.60306 39.9517 12.33 25.18 4.07 0.31583

Oil Implied volatility (OVX) closed at 42.91 on 23 January 2021. Oil Implied volatility (OVX) trend was last calculated at -75.0/100 (range: -100 to +100) indicating a negative trend based on MacroVar models. Oil Implied volatility (OVX) momentum was last calculated at -100.0/100 (range: -100 to +100) indicating negative momentum. Oil Implied volatility (OVX) momentum exhaustion is -0.60306 (normal range: -2.5 to +2.5, overbought values: greater than 2.5, oversold values: less than 2.5) indicating Oil Implied volatility (OVX) is oversold and a possible reversal is imminent. Oil Implied volatility (OVX) RSI was last calculated at 39.9517. Oil Implied volatility (OVX) moving averages were last recorded as follows: 1-month moving average: 39.123 in a downtrend , 1-quarter moving average: 45.7492 in a downtrend and 1-year moving average: 65.0343 in an uptrend. Oil Implied volatility (OVX) annual return was last recorded at None%, daily return was last recorded at 12.33%, and weekly return was last recorded at 25.18%. Oil Implied volatility (OVX) histrorical 20-day volatility was last recorded at 70.0511%, Oil Implied volatility (OVX) alpha None, Oil Implied volatility (OVX) beta None and Oil Implied volatility (OVX) maximum drawdown was recorded at None%. MacroVar models monitor Oil Implied volatility (OVX) statistics based on historical data since 1970.

MacroVar Risk Monitor

Last -1 Week -1 Month -3 Months -6 Months Strength
MacroVar Risk Index 0.38 0.35 0.2 0.27 -0.15
Stock risk 0.12 0.13 0.21 0.43 0.28
Credit risk -0.88 -0.78 -0.72 -0.86 -0.86
Currency risk -0.39 -0.33 -0.13 -0.06 0.06
Emerging Markets risk -0.49 -0.43 -0.41 -0.18 -0.49
Liquidity risk -0.52 -0.52 -0.48 -0.48 -0.39
Bond risk -0.19 -0.35 -0.16 0.33 -0.57
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