Title: Volatility of Stock Price Index for Czech Republic Series ID: DDSM01CZA066NWDB Source: World Bank Release: Global Financial Development (Not a Press Release) Seasonal Adjustment: Not Seasonally Adjusted Frequency: Annual Units: Index Date Range: 1995-01-01 to 2020-01-01 Last Updated: 2022-03-23 4:24 PM CDT Notes: Volatility of stock price index is the 360-day standard deviation of the return on the national stock market index. (Bloomberg) Source Code: GFDD.SM.01 DATE VALUE 1995-01-01 20.210470000000000 1996-01-01 12.138890000000000 1997-01-01 12.753680000000001 1998-01-01 17.803810000000002 1999-01-01 25.014720000000000 2000-01-01 22.834130000000000 2001-01-01 24.062770000000000 2002-01-01 23.078650000000000 2003-01-01 20.284550000000000 2004-01-01 16.073430000000000 2005-01-01 16.868140000000000 2006-01-01 18.349840000000000 2007-01-01 19.173870000000000 2008-01-01 23.636540000000000 2009-01-01 45.010630000000000 2010-01-01 32.819640000000000 2011-01-01 20.615579999999998 2012-01-01 21.598050000000000 2013-01-01 16.983640000000000 2014-01-01 14.469129999999998 2015-01-01 14.450079999999998 2016-01-01 16.877550000000000 2017-01-01 14.012460000000000 2018-01-01 8.845178000000000 2019-01-01 9.980948000000000 2020-01-01 18.774330000000000