**Outlook:**360 CAPITAL GROUP is assigned short-term Ba1 & long-term Ba1 estimated rating.

**Dominant Strategy :**Sell

**Time series to forecast n: 27 May 2023**for (n+3 month)

**Methodology :**Modular Neural Network (Market Volatility Analysis)

## Abstract

360 CAPITAL GROUP prediction model is evaluated with Modular Neural Network (Market Volatility Analysis) and Paired T-Test^{1,2,3,4}and it is concluded that the TGP stock is predictable in the short/long term.

**According to price forecasts for (n+3 month) period, the dominant strategy among neural network is: Sell**

## Key Points

- Market Signals
- Technical Analysis with Algorithmic Trading
- How accurate is machine learning in stock market?

## TGP Target Price Prediction Modeling Methodology

We consider 360 CAPITAL GROUP Decision Process with Modular Neural Network (Market Volatility Analysis) where A is the set of discrete actions of TGP 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(Paired T-Test)

^{5,6,7}= $\begin{array}{cccc}{p}_{\mathrm{a}1}& {p}_{\mathrm{a}2}& \dots & {p}_{1n}\\ & \vdots \\ {p}_{j1}& {p}_{j2}& \dots & {p}_{jn}\\ & \vdots \\ {p}_{k1}& {p}_{k2}& \dots & {p}_{kn}\\ & \vdots \\ {p}_{n1}& {p}_{n2}& \dots & {p}_{nn}\end{array}$ X R(Modular Neural Network (Market Volatility Analysis)) X S(n):→ (n+3 month) $\sum _{i=1}^{n}\left({r}_{i}\right)$

n:Time series to forecast

p:Price signals of TGP stock

j:Nash equilibria (Neural Network)

k:Dominated move

a:Best response for target price

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?

## TGP Stock Forecast (Buy or Sell) for (n+3 month)

**Sample Set:**Neural Network

**Stock/Index:**TGP 360 CAPITAL GROUP

**Time series to forecast n: 27 May 2023**for (n+3 month)

**According to price forecasts for (n+3 month) period, the dominant strategy among neural network is: Sell**

**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 360 CAPITAL GROUP

- In cases such as those described in the preceding paragraph, to designate, at initial recognition, the financial assets and financial liabilities not otherwise so measured as at fair value through profit or loss may eliminate or significantly reduce the measurement or recognition inconsistency and produce more relevant information. For practical purposes, the entity need not enter into all of the assets and liabilities giving rise to the measurement or recognition inconsistency at exactly the same time. A reasonable delay is permitted provided that each transaction is designated as at fair value through profit or loss at its initial recognition and, at that time, any remaining transactions are expected to occur.
- The requirements in paragraphs 6.8.4–6.8.8 may cease to apply at different times. Therefore, in applying paragraph 6.9.1, an entity may be required to amend the formal designation of its hedging relationships at different times, or may be required to amend the formal designation of a hedging relationship more than once. When, and only when, such a change is made to the hedge designation, an entity shall apply paragraphs 6.9.7–6.9.12 as applicable. An entity also shall apply paragraph 6.5.8 (for a fair value hedge) or paragraph 6.5.11 (for a cash flow hedge) to account for any changes in the fair value of the hedged item or the hedging instrument.
- If an entity previously accounted at cost (in accordance with IAS 39), for an investment in an equity instrument that does not have a quoted price in an active market for an identical instrument (ie a Level 1 input) (or for a derivative asset that is linked to and must be settled by delivery of such an equity instrument) it shall measure that instrument at fair value at the date of initial application. Any difference between the previous carrying amount and the fair value shall be recognised in the opening retained earnings (or other component of equity, as appropriate) of the reporting period that includes the date of initial application.
- In some cases, the qualitative and non-statistical quantitative information available may be sufficient to determine that a financial instrument has met the criterion for the recognition of a loss allowance at an amount equal to lifetime expected credit losses. That is, the information does not need to flow through a statistical model or credit ratings process in order to determine whether there has been a significant increase in the credit risk of the financial instrument. In other cases, an entity may need to consider other information, including information from its statistical models or credit ratings processes.

*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

360 CAPITAL GROUP is assigned short-term Ba1 & long-term Ba1 estimated rating. 360 CAPITAL GROUP prediction model is evaluated with Modular Neural Network (Market Volatility Analysis) and Paired T-Test^{1,2,3,4} and it is concluded that the TGP stock is predictable in the short/long term. ** According to price forecasts for (n+3 month) period, the dominant strategy among neural network is: Sell**

### TGP 360 CAPITAL GROUP Financial Analysis*

Rating | Short-Term | Long-Term Senior |
---|---|---|

Outlook* | Ba1 | Ba1 |

Income Statement | Ba3 | Baa2 |

Balance Sheet | B2 | C |

Leverage Ratios | B3 | B3 |

Cash Flow | Baa2 | Caa2 |

Rates of Return and Profitability | B2 | Baa2 |

*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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- J. N. Foerster, Y. M. Assael, N. de Freitas, and S. Whiteson. Learning to communicate with deep multi-agent reinforcement learning. In Advances in Neural Information Processing Systems 29: Annual Conference on Neural Information Processing Systems 2016, December 5-10, 2016, Barcelona, Spain, pages 2137–2145, 2016.
- Canova, F. B. E. Hansen (1995), "Are seasonal patterns constant over time? A test for seasonal stability," Journal of Business and Economic Statistics, 13, 237–252.
- A. Tamar and S. Mannor. Variance adjusted actor critic algorithms. arXiv preprint arXiv:1310.3697, 2013.
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- Breusch, T. S. A. R. Pagan (1979), "A simple test for heteroskedasticity and random coefficient variation," Econometrica, 47, 1287–1294.

## Frequently Asked Questions

Q: What is the prediction methodology for TGP stock?A: TGP stock prediction methodology: We evaluate the prediction models Modular Neural Network (Market Volatility Analysis) and Paired T-Test

Q: Is TGP stock a buy or sell?

A: The dominant strategy among neural network is to Sell TGP Stock.

Q: Is 360 CAPITAL GROUP stock a good investment?

A: The consensus rating for 360 CAPITAL GROUP is Sell and is assigned short-term Ba1 & long-term Ba1 estimated rating.

Q: What is the consensus rating of TGP stock?

A: The consensus rating for TGP is Sell.

Q: What is the prediction period for TGP stock?

A: The prediction period for TGP is (n+3 month)

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