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Stock Market Time Span Price Change Report
Analyze (ticker symbol):  Time Span:  Days Weeks Months 
GENERAL INFORMATION FOR S&P 500 ANALYSIS
ANALYSIS PERIODDaily(type of prices used in forecast)
SPAN TIME15 Days(time span used to calculate change)
START DATE5-Jan-10(first date of prices used in analysis)
END DATE10-Mar-10(last date of prices used in analysis)
DATA COUNT30(number of changes used for analysis)
UP COUNT16(number of up price changes)
ZERO COUNT0(number of no price changes)
DOWN COUNT14(number of down price changes)
 
PRICE CHANGE STATISTICAL ANALYSIS FOR 15 DAY TIME SPAN
LAST CHANGE$46.1 (the most recent change which occurred)
MINIMUM CHANGE$-82.57 (the lowest change which occurred)
MAXIMUM CHANGE$62.99 (the highest change which occurred)
CHANGE RANGE$145.56(highest minus lowest change)
MEAN CHANGE$-6.3(the average or expected change)
MEDIAN CHANGE$3.67(the middle change value)
VARIANCE$2471(the statistical dispersion of changes)
1 STANDARD DEVIATION$49.71(68% confidence interval of all changes)
2 STANDARD DEVIATIONS$99.42(95% confidence interval of all changes)
3 STANDARD DEVIATIONS$149.13(99% confidence interval of all changes)
 
PERCENT CHANGE STATISTICAL ANALYSIS FOR 15 DAY TIME SPAN
LAST CHANGE4.19% (the most recent change which occurred)
MINIMUM CHANGE-7.21% (the lowest change which occurred)
MAXIMUM CHANGE5.86% (the highest change which occurred)
CHANGE RANGE13.06%(highest minus lowest change)
MEAN CHANGE-0.45%(the average or expected change)
MEDIAN CHANGE0.34%(the middle change value)
VARIANCE19.95%(the statistical dispersion of changes)
1 STANDARD DEVIATION4.47%(68% confidence interval of all changes)
2 STANDARD DEVIATIONS8.93%(95% confidence interval of all changes)
3 STANDARD DEVIATIONS13.4%(99% confidence interval of all changes)

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