Klarna Group plc (KLAR) stock Historical Volatility

10-Day:

75.62%
November 21, 2025

1-Month:

63.40%
November 21, 2025

3-Month:

59.54%
November 21, 2025

1-Year:

59.54%
November 21, 2025

Summary

  • As of today, KLAR stock 10-day historical volatility is 75.62%, with the most recent change of -0.64% (-0.84%) on November 21, 2025.

Performance

KLAR Volatility Chart

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KLAR Volatility Trends

PeriodPeriod10-Day Volatility10-Day Volatility1-Month Volatility1-Month Volatility3-Month Volatility3-Month Volatility1-Year Volatility1-Year Volatility
1D1 Day-0.8%+3.1%+0.2%+0.2%
1M1 Month+34.9%---
6M6 Months----
1Y1 Year----
5Y5 Years----

KLAR Volatility Highs & Lows

PeriodPeriodHighHighCurrent vs Highvs HighLowLowCurrent vs Lowvs Low
1M1-Month76.26%-0.8%40.91%+84.8%
3M3-Month76.26%-0.8%32.72%+131.1%
6M6-Month76.26%-0.8%32.72%+131.1%
1Y1-Year76.26%-0.8%32.72%+131.1%
3Y3-Year76.26%-0.8%32.72%+131.1%
5Y5-Year76.26%-0.8%32.72%+131.1%
All-TimeAll-Time76.26%-0.8%32.72%+131.1%

KLAR Volatility History

DateValue
DateValue
2025
75.62%

FAQ

  • What is Klarna Group plc 10-day historical volatility?
  • What is the all-time high 10-day volatility for Klarna Group plc?

What is Klarna Group plc 10-day historical volatility?

The current 10-day volatility of KLAR is 75.62%

What is the all-time high 10-day volatility for Klarna Group plc?

Klarna Group plc all-time high 10-day historical volatility is 76.26%
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