Under times of stress, such actions could include dividend cuts, suspension of share repurchases, or maintenance of minimum cash balances. This is particularly relevant for exceptional and strong assessments, where issuers are required to carry higher levels of excess liquidity even during times of stress. For example, when assessing liquidity, we would generally expect companies to be able to cover the full amount of dividends and share repurchases included in our base-case forecast, while still maintaining excess liquidity and achieving the required A/B and A-B measures under a stress case.
We estimate NAVNETEDUL Navneet Education Limited stock forecast parameters by: On Balance Volume (OBV) with ANOVA
NAVNETEDUL Navneet Education Limited Stock Forecast (Buy or Sell) as of 27 Apr 2022 for (n+6m)
Machine Learning utilizes multiple learning algorithms to obtain better predictive powers. In our research, we utilize machine learning to combine the results from the Neural Network with On Balance Volume (OBV) and ANOVA. Machine Learning based stock forecast (n+6m) for NAVNETEDUL Navneet Education Limited as below:Time series to forecast n: 27 Apr 2022 for (n+6m)
y axis:Potential Impact %
z axis:Color (yellow to green) Technical Analysis %
