Volatility Analysis

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Volatility: 
Days Factor: 
89.18 -0.06(-0.07%)01/16/2026
Coca-Cola Europacific Partners PLC (CCEP)
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  • For the given dates, CCEP current volatility is at 28.51%.
  • The 1-Month historical standard deviation is at 1.94.



  • Historical Standard Deviation
    PeriodValue
    1 Week0.92
    20 Days2.00
    1 Month1.94
    3 Months 1.65
    100 Days 3.44
    6 Months 3.15
    Year-to-date5.69
    1 Year6.40
    3 Years13.36
    5 Years15.65
    Historical Volatility




    Historical Volatility Returns (%) By Years/Months
    YearJanFebMarAprMayJunJulAugSepOctNovDecMinMaxAvg
    2026256.47           256.47256.47256.47
    2025  -29.6969.67-46.681.9659.90-13.802.0521.94-25.60-48.62-48.6269.67-0.89
    Summary
    Avg Returns (%)256.47nan-29.6969.67-46.681.9659.90-13.802.0521.94-25.60-48.62-48.62256.47nan
    Max Pos Return (%)256.470.00-29.6969.67-46.681.9659.90-13.802.0521.94-25.60-48.620.00256.4720.63
    Max Neg Return (%)256.470.00-29.6969.67-46.681.9659.90-13.802.0521.94-25.60-48.620.00256.4720.63
    Pos Occurences (%)100nan010001001000100100000100nan
    Neg Occurences (%)0nan100010000100001001000100nan

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