[{"data":1,"prerenderedAt":-1},["ShallowReactive",2],{"market-strip-rates":3,"glossary-term:volatility":35,"glossary-all":51},[4,12,19,27],{"code":5,"label":6,"bid":7,"ask":8,"day_low":9,"day_high":10,"precision":11},"EURUSD","EUR\u002FUSD",1.08421,1.08434,1.0812,1.0921,5,{"code":13,"label":14,"bid":15,"ask":16,"day_low":17,"day_high":18,"precision":11},"GBPUSD","GBP\u002FUSD",1.27142,1.27158,1.2668,1.2784,{"code":20,"label":21,"bid":22,"ask":23,"day_low":24,"day_high":25,"precision":26},"USDJPY","USD\u002FJPY",155.182,155.201,154.61,155.74,3,{"code":28,"label":29,"bid":30,"ask":31,"day_low":32,"day_high":33,"precision":34},"XAUUSD","XAU\u002FUSD",2380.42,2380.88,2361.1,2394.6,2,{"slug":36,"category":37,"title":38,"body":39,"meta_desc":40,"related":41},"volatility","fundamentals","Volatility","Volatility measures how much and how quickly a currency pair's price fluctuates over a given period — higher volatility means larger, faster price swings in either direction. It tends to spike around major economic data releases, central-bank decisions, and geopolitical events, and it varies naturally by pair (major pairs like EUR\u002FUSD are typically less volatile than emerging-market or exotic pairs).\n\nVolatility isn't inherently good or bad: it creates larger profit potential but also larger risk, which is why position sizing and stop-losses matter more when volatility is high.","How much and how fast a currency pair's price moves — higher volatility means bigger swings and higher risk in both directions.",[42,45,48],{"slug":43,"title":44},"slippage","Slippage",{"slug":46,"title":47},"drawdown","Drawdown",{"slug":49,"title":50},"leverage","Leverage",[52,55,58,59,62,65,68,70,74,77,78,81,84,87,90,94,97,100,103],{"slug":53,"category":37,"title":54},"pip","Pip",{"slug":56,"category":37,"title":57},"spread","Spread",{"slug":49,"category":37,"title":50},{"slug":60,"category":37,"title":61},"margin","Margin",{"slug":63,"category":37,"title":64},"lot","Lot",{"slug":66,"category":37,"title":67},"bid-ask","Bid\u002FAsk",{"slug":43,"category":69,"title":44},"trade-mechanics",{"slug":71,"category":72,"title":73},"stop-loss","risk-management","Stop-Loss",{"slug":75,"category":72,"title":76},"take-profit","Take-Profit",{"slug":46,"category":72,"title":47},{"slug":79,"category":72,"title":80},"margin-call","Margin Call",{"slug":82,"category":69,"title":83},"swap-rollover","Swap \u002F Rollover",{"slug":85,"category":69,"title":86},"going-long-short","Going Long \u002F Short",{"slug":88,"category":69,"title":89},"cfd","CFD (Contract for Difference)",{"slug":91,"category":92,"title":93},"ecn-vs-market-maker","brokers-regulation","ECN vs Market Maker",{"slug":95,"category":92,"title":96},"regulation","Regulation (FCA, CySEC, ASIC)",{"slug":98,"category":72,"title":99},"negative-balance-protection","Negative Balance Protection",{"slug":101,"category":72,"title":102},"position-sizing","Position Sizing",{"slug":36,"category":37,"title":38}]