AXA Stock Report (cs.pa)
Contents
- Intuitive and Independent Stock Research
- Return and volatility forecasts, Value at Risk (VaR), Volume
- Stock price, return, high and low
- Technical Analysis: RSI and MACD
- Technical Analysis: Accumulation/Distribution oscillator and Momentum
- Technical Analysis: Chaikin oscillator and Chaikin volatility
- Technical Analysis: Williams %R and On-Balance volume
- Stock performance compared to Dow Jones Index
- Stock performance compared to GOLD ETF (gld)
- Stock performance compared to Physical Silver (slv)
Intuitive and Independent Stock Research
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Return and volatility forecasts, Value at Risk (VaR), Volume
Return on AXA (cs.pa) stock follows ARMA(0,5)-GARCH(1,1) model (Student-t errors)
Given current AXA stock close price of 9.66 the forecast for the next:
'1 week' '2 weeks' '3 weeks' '4 weeks'
'9.73' '9.61' '9.53' '9.51'
Probability of AXA stock close price to increase in the next:
'1 week' '2 weeks' '3 weeks' '4 weeks'
'53.10%' '45.97%' '47.99%' '49.53%'
Value at Risk (VaR) for $1,000 worth of AXA stock at 5 percent probability:
Lose at most $57.31 in 1 day, $313.92 in 30 days and $543.72 in 90 days
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% invest in AXA stock, cs.pa stock report,
Stock price, return, high and low
Price fundamentals for AXA (cs.pa) stock
AXA stock price change in percent over the last:
'30 days' '6 months' '1 year' '3 years'
'-22.5962%' '-11.7002%' '-35.8140%' '-23.1504%'
Average daily return (continuously compounded) for AXA stock over the last:
'30 days' '6 months' '1 year' '3 years'
'-1.1460%' '-0.0581%' '-0.1721%' '-0.0306%'
OVER THE LAST YEAR:
The minimum AXA stock close price of 8.16 was observed on 22-Sep-2011
The maximum AXA stock close price of 15.85 was observed on 01-Jul-2011
Current close price of AXA (9.66) as a percent of range is equal to 19.51%
The lowest one-day return (i.e. largest price drop for AXA stock)
of -13.34% was observed on 01-Nov-2011
The highest one-day return (i.e. largest price increase for AXA stock)
of 13.72% was observed on 27-Oct-2011
Technical Analysis: RSI and MACD
RSI readings of AXA share greater than 70 are in overbought territory, while RSI below 30 is oversold region. RSI 30 to 70 is neutral. Buy AXA stocks when the MACD line crosses up through the signal line. Sell AXA shares when MACD line crosses down through the signal line.
Technical Analysis: Accumulation/Distribution oscillator and Momentum
The Accumulation/Distribution oscillator is a common tool based on the high, low, opening, and closing prices of AXA share for each tradind day. Momentum calculates the difference between two prices separated by 12 days.
Technical Analysis: Chaikin oscillator and Chaikin volatility
This Chaikin oscillator is computed by subtracting exponential, moving average of the A/D line of AXA stock from the three-period exponential moving average of the A/D line. Chaikin volatility is computed from a 10-period exponential moving average and 10-day difference of AXA stock.
Technical Analysis: Williams %R and On-Balance volume
AXA equity is considered oversold if Williams R is below -80. AXA share is overbought if Williams R is above -20. On-Balance Volume for AXA stock adds or subtracts volume to a total depending on whether AXA price moves up or down.
Stock performance compared to Dow Jones Index
Does AXA (cs.pa) stock go together with Dow Jones Index?
Correlation between return on AXA stock and Dow Jones Index over the last:
'30 days' '6 months' '1 year' '3 years'
'5.14%' '29.26%' '36.52%' '20.15%'
Percent of time when return on AXA stock was higher than on Dow Jones Index
over the last:
'30 days' '6 months' '1 year' '3 years'
'36.36%' '48.82%' '47.43%' '48.35%'
Stock performance compared to GOLD ETF (gld)
Does AXA (cs.pa) stock go together with GOLD ETF?
Correlation between return on AXA stock and GOLD ETF over the last:
'30 days' '6 months' '1 year' '3 years'
'-4.41%' '20.83%' '-1.19%' '-2.00%'
Percent of time when return on AXA stock was higher than on GOLD ETF
over the last:
'30 days' '6 months' '1 year' '3 years'
'31.82%' '48.03%' '45.85%' '49.27%'
Stock performance compared to Physical Silver (slv)
Does AXA (cs.pa) stock go together with Physical Silver?
Correlation between return on AXA stock and Physical Silver over the last:
'30 days' '6 months' '1 year' '3 years'
'-17.78%' '15.35%' '1.61%' '0.53%'
Percent of time when return on AXA stock was higher than on Physical Silver
over the last:
'30 days' '6 months' '1 year' '3 years'
'31.82%' '48.03%' '45.85%' '46.24%'
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% invest in AXA stock, cs.pa stock report,