Dominant Strategy : Buy
Time series to forecast n: 09 Jun 2023 for 8 Weeks
Methodology : Modular Neural Network (CNN Layer)
Abstract
SPECTUR LIMITED prediction model is evaluated with Modular Neural Network (CNN Layer) and Sign Test1,2,3,4 and it is concluded that the SP3 stock is predictable in the short/long term. CNN layers are a powerful tool for extracting features from images. They are able to learn to detect patterns in images that are not easily detected by humans. This makes them well-suited for a variety of MNN applications. According to price forecasts for 8 Weeks period, the dominant strategy among neural network is: BuyKey Points
- What is prediction in deep learning?
- Short/Long Term Stocks
- Short/Long Term Stocks
SP3 Target Price Prediction Modeling Methodology
We consider SPECTUR LIMITED Decision Process with Modular Neural Network (CNN Layer) where A is the set of discrete actions of SP3 stock holders, F is the set of discrete states, P : S × F × S → R is the transition probability distribution, R : S × F → R is the reaction function, and γ ∈ [0, 1] is a move factor for expectation.1,2,3,4
F(Sign Test)5,6,7= X R(Modular Neural Network (CNN Layer)) X S(n):→ 8 Weeks
n:Time series to forecast
p:Price signals of SP3 stock
j:Nash equilibria (Neural Network)
k:Dominated move
a:Best response for target price
CNN layers are a powerful tool for extracting features from images. They are able to learn to detect patterns in images that are not easily detected by humans. This makes them well-suited for a variety of MNN applications.
The sign test is a non-parametric hypothesis test that is used to compare two paired samples. In a paired sample, each data point in one sample is paired with a data point in the other sample. The pairs are typically related in some way, such as before and after measurements, or measurements from the same subject under different conditions. The sign test is a non-parametric test, which means that it does not assume that the data is normally distributed. The sign test is also a dependent samples test, which means that the data points in each pair are correlated.
For further technical information as per how our model work we invite you to visit the article below:
How do AC Investment Research machine learning (predictive) algorithms actually work?
SP3 Stock Forecast (Buy or Sell) for 8 Weeks
Sample Set: Neural NetworkStock/Index: SP3 SPECTUR LIMITED
Time series to forecast n: 09 Jun 2023 for 8 Weeks
According to price forecasts for 8 Weeks period, the dominant strategy among neural network is: Buy
X axis: *Likelihood% (The higher the percentage value, the more likely the event will occur.)
Y axis: *Potential Impact% (The higher the percentage value, the more likely the price will deviate.)
Z axis (Grey to Black): *Technical Analysis%
IFRS Reconciliation Adjustments for SPECTUR LIMITED
- Adjusting the hedge ratio by increasing the volume of the hedging instrument does not affect how the changes in the value of the hedged item are measured. The measurement of the changes in the fair value of the hedging instrument related to the previously designated volume also remains unaffected. However, from the date of rebalancing, the changes in the fair value of the hedging instrument also include the changes in the value of the additional volume of the hedging instrument. The changes are measured starting from, and by reference to, the date of rebalancing instead of the date on which the hedging relationship was designated. For example, if an entity originally hedged the price risk of a commodity using a derivative volume of 100 tonnes as the hedging instrument and added a volume of 10 tonnes on rebalancing, the hedging instrument after rebalancing would comprise a total derivative volume of 110 tonnes. The change in the fair value of the hedging instrument is the total change in the fair value of the derivatives that make up the total volume of 110 tonnes. These derivatives could (and probably would) have different critical terms, such as their forward rates, because they were entered into at different points in time (including the possibility of designating derivatives into hedging relationships after their initial recognition).
- When measuring the fair values of the part that continues to be recognised and the part that is derecognised for the purposes of applying paragraph 3.2.13, an entity applies the fair value measurement requirements in IFRS 13 Fair Value Measurement in addition to paragraph 3.2.14.
- However, in some cases, the time value of money element may be modified (ie imperfect). That would be the case, for example, if a financial asset's interest rate is periodically reset but the frequency of that reset does not match the tenor of the interest rate (for example, the interest rate resets every month to a one-year rate) or if a financial asset's interest rate is periodically reset to an average of particular short- and long-term interest rates. In such cases, an entity must assess the modification to determine whether the contractual cash flows represent solely payments of principal and interest on the principal amount outstanding. In some circumstances, the entity may be able to make that determination by performing a qualitative assessment of the time value of money element whereas, in other circumstances, it may be necessary to perform a quantitative assessment.
- Subject to the conditions in paragraphs 4.1.5 and 4.2.2, this Standard allows an entity to designate a financial asset, a financial liability, or a group of financial instruments (financial assets, financial liabilities or both) as at fair value through profit or loss provided that doing so results in more relevant information.
*International Financial Reporting Standards (IFRS) adjustment process involves reviewing the company's financial statements and identifying any differences between the company's current accounting practices and the requirements of the IFRS. If there are any such differences, neural network makes adjustments to financial statements to bring them into compliance with the IFRS.
Conclusions
SPECTUR LIMITED is assigned short-term Ba1 & long-term Ba1 estimated rating. SPECTUR LIMITED prediction model is evaluated with Modular Neural Network (CNN Layer) and Sign Test1,2,3,4 and it is concluded that the SP3 stock is predictable in the short/long term. According to price forecasts for 8 Weeks period, the dominant strategy among neural network is: Buy
SP3 SPECTUR LIMITED Financial Analysis*
Rating | Short-Term | Long-Term Senior |
---|---|---|
Outlook* | Ba1 | Ba1 |
Income Statement | Baa2 | Baa2 |
Balance Sheet | Baa2 | Baa2 |
Leverage Ratios | B2 | Caa2 |
Cash Flow | Baa2 | Caa2 |
Rates of Return and Profitability | Ba2 | B1 |
*Financial analysis is the process of evaluating a company's financial performance and position by neural network. It involves reviewing the company's financial statements, including the balance sheet, income statement, and cash flow statement, as well as other financial reports and documents.
How does neural network examine financial reports and understand financial state of the company?
Prediction Confidence Score
References
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- Bickel P, Klaassen C, Ritov Y, Wellner J. 1998. Efficient and Adaptive Estimation for Semiparametric Models. Berlin: Springer
Frequently Asked Questions
Q: What is the prediction methodology for SP3 stock?A: SP3 stock prediction methodology: We evaluate the prediction models Modular Neural Network (CNN Layer) and Sign Test
Q: Is SP3 stock a buy or sell?
A: The dominant strategy among neural network is to Buy SP3 Stock.
Q: Is SPECTUR LIMITED stock a good investment?
A: The consensus rating for SPECTUR LIMITED is Buy and is assigned short-term Ba1 & long-term Ba1 estimated rating.
Q: What is the consensus rating of SP3 stock?
A: The consensus rating for SP3 is Buy.
Q: What is the prediction period for SP3 stock?
A: The prediction period for SP3 is 8 Weeks