BANK MANDIRI (Germany) Technical Analysis
PQ9 Stock | EUR 0.39 0.02 4.88% |
As of the 16th of November 2024, BANK MANDIRI shows the Coefficient Of Variation of 3383.48, semi deviation of 0.9411, and Mean Deviation of 0.6773. Concerning fundamental indicators, the technical analysis model gives you tools to check possible technical drivers of BANK MANDIRI, as well as the relationship between them.
BANK MANDIRI Momentum Analysis
Momentum indicators are widely used technical indicators which help to measure the pace at which the price of specific equity, such as BANK, fluctuates. Many momentum indicators also complement each other and can be helpful when the market is rising or falling as compared to BANKBANK |
BANK MANDIRI technical stock analysis exercises models and trading practices based on price and volume transformations, such as the moving averages, relative strength index, regressions, price and return correlations, business cycles, stock market cycles, or different charting patterns.
BANK MANDIRI Technical Analysis
Incorrect Input. Please change your parameters or increase the time horizon required for running this function. The output start index for this execution was zero with a total number of output elements of zero. The Average True Range was developed by J. Welles Wilder in 1970s. It is one of components of the Welles Wilder Directional Movement indicators. The ATR is a measure of BANK MANDIRI volatility. High ATR values indicate high volatility, and low values indicate low volatility.
BANK MANDIRI Trend Analysis
Use this graph to draw trend lines for BANK MANDIRI. You can use it to identify possible trend reversals for BANK MANDIRI as well as other signals and approximate when it will take place. Remember, you need at least two touches of the trend line with actual BANK MANDIRI price movement. To start drawing, click on the pencil icon on top-right. To remove the trend, use eraser icon.BANK MANDIRI Best Fit Change Line
The following chart estimates an ordinary least squares regression model for BANK MANDIRI applied against its price change over selected period. The best fit line has a slop of 0.0003 , which means BANK MANDIRI will continue generating value for investors. It has 122 observation points and a regression sum of squares at 0.0, which is the sum of squared deviations for the predicted BANK MANDIRI price change compared to its average price change.About BANK MANDIRI Technical Analysis
The technical analysis module can be used to analyzes prices, returns, volume, basic money flow, and other market information and help investors to determine the real value of BANK MANDIRI on a daily or weekly bases. We use both bottom-up as well as top-down valuation methodologies to arrive at the intrinsic value of BANK MANDIRI based on its technical analysis. In general, a bottom-up approach, as applied to this company, focuses on BANK MANDIRI price pattern first instead of the macroeconomic environment surrounding BANK MANDIRI. By analyzing BANK MANDIRI's financials, daily price indicators, and related drivers such as dividends, momentum ratios, and various types of growth rates, we attempt to find the most accurate representation of BANK MANDIRI's intrinsic value. As compared to a bottom-up approach, our top-down model examines the macroeconomic factors that affect the industry/economy before zooming in to BANK MANDIRI specific price patterns or momentum indicators. Please read more on our technical analysis page.
BANK MANDIRI November 16, 2024 Technical Indicators
Most technical analysis of BANK help investors determine whether a current trend will continue and, if not, when it will shift. We provide a combination of tools to recognize potential entry and exit points for BANK from various momentum indicators to cycle indicators. When you analyze BANK charts, please remember that the event formation may indicate an entry point for a short seller, and look at different other indicators across different periods to confirm that a breakdown or reversion is likely to occur.
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Overlap Studies | ||
Pattern Recognition | ||
Price Transform | ||
Statistic Functions | ||
Volatility Indicators | ||
Volume Indicators |
Risk Adjusted Performance | 0.0283 | |||
Market Risk Adjusted Performance | (0.86) | |||
Mean Deviation | 0.6773 | |||
Semi Deviation | 0.9411 | |||
Downside Deviation | 3.07 | |||
Coefficient Of Variation | 3383.48 | |||
Standard Deviation | 1.91 | |||
Variance | 3.67 | |||
Information Ratio | (0.03) | |||
Jensen Alpha | 0.0518 | |||
Total Risk Alpha | (0.20) | |||
Sortino Ratio | (0.02) | |||
Treynor Ratio | (0.87) | |||
Maximum Drawdown | 17.38 | |||
Value At Risk | (2.38) | |||
Potential Upside | 2.5 | |||
Downside Variance | 9.43 | |||
Semi Variance | 0.8857 | |||
Expected Short fall | (4.53) | |||
Skewness | 4.03 | |||
Kurtosis | 28.13 |
Additional Tools for BANK Stock Analysis
When running BANK MANDIRI's price analysis, check to measure BANK MANDIRI's market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy BANK MANDIRI is operating at the current time. Most of BANK MANDIRI's value examination focuses on studying past and present price action to predict the probability of BANK MANDIRI's future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move BANK MANDIRI's price. Additionally, you may evaluate how the addition of BANK MANDIRI to your portfolios can decrease your overall portfolio volatility.