Another error that people make is to look at measures of the volatility of house prices, but house price indices are very poor from that point of view. (mebfaber.com)
Standard deviation is a statistical measure of volatility around an expected return and a lower standard deviation is representative of lower portfolio risk. (theindexhouse.com)
Standard deviation is a statistical measure of volatility around an expected return and a lower standard deviation is representative of lower portfolio risk. (theindexhouse.com)