BETR Stock Historical Volatility

BETR 10-day Volatility

N/A

22 January 2025

BETR 1-month Volatility

N/A

22 January 2025

BETR 3-month Volatility

N/A

22 January 2025

BETR 1-year Volatility

N/A

22 January 2025

BETR Volatility Chart

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BETR Volatility Performance

PeriodPeriod10-day volatility10-day volatility1-month volatility1-month volatility3-month volatility3-month volatility1-year volatility1-year volatility
6 m6 months----
1 y1 year----
5 y5 years----

BETR Volatility High & Low

PeriodPeriodHighHighCurrent vs highvs highLowLowCurrent vs lowvs low
1 m1-month135.69%64.47%
3 m3-month135.69%35.08%
6 m6-month135.69%35.08%
1 y1-year139.06%27.02%
3 y3-year1282%0.50%
5 y5-year1282%0.50%
alltimeall time1282%0.50%

Better Home & Finance Holding Stock Volatility History

DateValue
2025
133.85%(+100.3%)
2024
66.81%(-57.1%)
DateValue
2023
155.69%(+3851.5%)
2022
3.94%(+149.4%)
2021
1.58%

FAQ

  • What is the all time high 10-day volatility for Better Home & Finance Holding?

What is the all time high 10-day volatility for Better Home & Finance Holding?

Better Home & Finance Holding all-time high 10-day historical volatility is 1281.58%