Vakif Finansal (Turkey) Market Value

VAKFN Stock  TRY 1.94  0.10  4.90%   
Vakif Finansal's market value is the price at which a share of Vakif Finansal trades on a public exchange. It measures the collective expectations of Vakif Finansal Kiralama investors about its performance. Vakif Finansal is trading at 1.94 as of the 22nd of December 2024. This is a 4.9 percent down since the beginning of the trading day. The stock's open price was 2.04.
With this module, you can estimate the performance of a buy and hold strategy of Vakif Finansal Kiralama and determine expected loss or profit from investing in Vakif Finansal over a given investment horizon. Check out Vakif Finansal Correlation, Vakif Finansal Volatility and Vakif Finansal Alpha and Beta module to complement your research on Vakif Finansal.
Symbol

Please note, there is a significant difference between Vakif Finansal's value and its price as these two are different measures arrived at by different means. Investors typically determine if Vakif Finansal is a good investment by looking at such factors as earnings, sales, fundamental and technical indicators, competition as well as analyst projections. However, Vakif Finansal's price is the amount at which it trades on the open market and represents the number that a seller and buyer find agreeable to each party.

Vakif Finansal 'What if' Analysis

In the world of financial modeling, what-if analysis is part of sensitivity analysis performed to test how changes in assumptions impact individual outputs in a model. When applied to Vakif Finansal's stock what-if analysis refers to the analyzing how the change in your past investing horizon will affect the profitability against the current market value of Vakif Finansal.
0.00
11/22/2024
No Change 0.00  0.0 
In 30 days
12/22/2024
0.00
If you would invest  0.00  in Vakif Finansal on November 22, 2024 and sell it all today you would earn a total of 0.00 from holding Vakif Finansal Kiralama or generate 0.0% return on investment in Vakif Finansal over 30 days. Vakif Finansal is related to or competes with Creditwest Faktoring, Koza Anadolu, Bms Birlesik, Cuhadaroglu Metal, and ICBC Turkey. Vakif Finansal Kiralama A.S., together with its subsidiary, Varkif Sigorta Aracilik Hizmetleri Limited Sirketi, provides... More

Vakif Finansal Upside/Downside Indicators

Understanding different market momentum indicators often help investors to time their next move. Potential upside and downside technical ratios enable traders to measure Vakif Finansal's stock current market value against overall market sentiment and can be a good tool during both bulling and bearish trends. Here we outline some of the essential indicators to assess Vakif Finansal Kiralama upside and downside potential and time the market with a certain degree of confidence.

Vakif Finansal Market Risk Indicators

Today, many novice investors tend to focus exclusively on investment returns with little concern for Vakif Finansal's investment risk. Other traders do consider volatility but use just one or two very conventional indicators such as Vakif Finansal's standard deviation. In reality, there are many statistical measures that can use Vakif Finansal historical prices to predict the future Vakif Finansal's volatility.
Hype
Prediction
LowEstimatedHigh
0.101.945.08
Details
Intrinsic
Valuation
LowRealHigh
0.091.834.97
Details
Naive
Forecast
LowNextHigh
0.042.055.19
Details
Bollinger
Band Projection (param)
LowerMiddle BandUpper
1.551.842.13
Details

Vakif Finansal Kiralama Backtested Returns

Vakif Finansal is very risky at the moment. Vakif Finansal Kiralama owns Efficiency Ratio (i.e., Sharpe Ratio) of 0.0547, which indicates the firm had a 0.0547% return per unit of risk over the last 3 months. We have found thirty technical indicators for Vakif Finansal Kiralama, which you can use to evaluate the volatility of the company. Please validate Vakif Finansal's Coefficient Of Variation of 1018.11, semi deviation of 2.56, and Risk Adjusted Performance of 0.0854 to confirm if the risk estimate we provide is consistent with the expected return of 0.17%. Vakif Finansal has a performance score of 4 on a scale of 0 to 100. The entity has a beta of 0.4, which indicates possible diversification benefits within a given portfolio. As returns on the market increase, Vakif Finansal's returns are expected to increase less than the market. However, during the bear market, the loss of holding Vakif Finansal is expected to be smaller as well. Vakif Finansal Kiralama right now has a risk of 3.14%. Please validate Vakif Finansal expected short fall, and the relationship between the maximum drawdown and rate of daily change , to decide if Vakif Finansal will be following its existing price patterns.

Auto-correlation

    
  -0.38  

Poor reverse predictability

Vakif Finansal Kiralama has poor reverse predictability. Overlapping area represents the amount of predictability between Vakif Finansal time series from 22nd of November 2024 to 7th of December 2024 and 7th of December 2024 to 22nd of December 2024. The more autocorrelation exist between current time interval and its lagged values, the more accurately you can make projection about the future pattern of Vakif Finansal Kiralama price movement. The serial correlation of -0.38 indicates that just about 38.0% of current Vakif Finansal price fluctuation can be explain by its past prices.
Correlation Coefficient-0.38
Spearman Rank Test0.12
Residual Average0.0
Price Variance0.0

Vakif Finansal Kiralama lagged returns against current returns

Autocorrelation, which is Vakif Finansal stock's lagged correlation, explains the relationship between observations of its time series of returns over different periods of time. The observations are said to be independent if autocorrelation is zero. Autocorrelation is calculated as a function of mean and variance and can have practical application in predicting Vakif Finansal's stock expected returns. We can calculate the autocorrelation of Vakif Finansal returns to help us make a trade decision. For example, suppose you find that Vakif Finansal has exhibited high autocorrelation historically, and you observe that the stock is moving up for the past few days. In that case, you can expect the price movement to match the lagging time series.
   Current and Lagged Values   
       Timeline  

Vakif Finansal regressed lagged prices vs. current prices

Serial correlation can be approximated by using the Durbin-Watson (DW) test. The correlation can be either positive or negative. If Vakif Finansal stock is displaying a positive serial correlation, investors will expect a positive pattern to continue. However, if Vakif Finansal stock is observed to have a negative serial correlation, investors will generally project negative sentiment on having a locked-in long position in Vakif Finansal stock over time.
   Current vs Lagged Prices   
       Timeline  

Vakif Finansal Lagged Returns

When evaluating Vakif Finansal's market value, investors can use the concept of autocorrelation to see how much of an impact past prices of Vakif Finansal stock have on its future price. Vakif Finansal autocorrelation represents the degree of similarity between a given time horizon and a lagged version of the same horizon over the previous time interval. In other words, Vakif Finansal autocorrelation shows the relationship between Vakif Finansal stock current value and its past values and can show if there is a momentum factor associated with investing in Vakif Finansal Kiralama.
   Regressed Prices   
       Timeline  

Thematic Opportunities

Explore Investment Opportunities

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Other Information on Investing in Vakif Stock

Vakif Finansal financial ratios help investors to determine whether Vakif Stock is cheap or expensive when compared to a particular measure, such as profits or enterprise value. In other words, they help investors to determine the cost of investment in Vakif with respect to the benefits of owning Vakif Finansal security.