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CalcWolf Math Calculadora de Desvio Padrão e Variância
Math

Standard Deviation Calculator

Calculate standard deviation, variance, and mean from a data set. Population and sample. Free calculator.

📅 Updated April 2026 Formula verified 📖 4 min read 🆓 Free · No sign-up

Medida de Dispersão

O desvio padrão mede quanto os dados variam em torno da média. DP baixo = dados agrupados. DP alto = dispersos. Em investimentos, DP = risco. O Ibovespa tem DP histórico de ~20-25% ao ano.

Regra 68-95-99,7

68% dos dados dentro de ±1 DP. 95% dentro de ±2. 99,7% dentro de ±3.

⚡ CalcWolf Insight

In investing, standard deviation IS risk. The S&P 500 has a historical SD of 15-16%, meaning a 30% swing in either direction is a once-per-generation event — but it does happen.

Frequently asked questions
O que é desvio padrão?
Quanto os dados variam da média. DP 5 na média 100: maioria entre 95-105.
Populacional ou amostral?
Populacional: todos os dados. Amostral: subconjunto (divide por n-1).
✓ Math logic verified against primary sources → See our verification process
Kevin Glover
Founder, CalcWolf · GLVTS · Blickr
All formulas sourced from primary references — IRS publications, peer-reviewed research, and official standards. Results are tested against independent reference calculators before publishing. Rates and brackets updated when official sources change. Editorial policy →
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