To assess an issuer's standing in the credit markets, we may look at factors such as equity, debt, and credit default swaps (CDS) trading levels, where available, relative to peers and market averages. For example, lower-than-average debt trading levels or widening rating-adjusted spreads relative to market averages may indicate decreasing market confidence about a company's prospects and ability to meet its debt maturities. As a result, the company could have increased difficulty accessing the capital markets.
We estimate ABBV AbbVie Inc. stock forecast parameters by: Commodity Channel Index with Pearson Correlation
ABBV AbbVie Inc. Stock Forecast (Buy or Sell) as of 18 May 2022 for (n+15)
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 Commodity Channel Index and Pearson Correlation. Machine Learning based stock forecast (n+15) for ABBV AbbVie Inc. as below:Time series to forecast n: 18 May 2022 for (n+15)
y axis:Potential Impact %
z axis:Color (yellow to green) Technical Analysis %
