Invesco STIC (Ireland) Probability of Target Price Finishing Over Current Price

    IE0008042461 -- Ireland Fund  

    USD 1.00  0.00  0.00%

    Invesco STIC probability of target price tool provides mechanism to make assumptions about upside and downside potential of Invesco STIC US Dollar Liquidity Sel performance during a given time horizon utilizing its historical volatility. Please specify Invesco STIC time horizon, a valid symbol (red box) and a target price (blue box) you would like Invesco STIC odds to be computed. Please also check Risk vs Return Analysis.
    Horizon     30 Days    Login   to change
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    Invesco STIC Target Price Odds to finish over

    Current PriceHorizonTarget PriceOdds to move above current price in 30 days
     1.00 30 days 1.00  ABOUT 21.93%
    Based on normal probability distribution, the odds of Invesco STIC to move above current price in 30 days from now is about 21.93% (This Invesco STIC US Dollar Liquidity Sel probability density function shows the probability of Invesco STIC Fund to fall within a particular range of prices over 30 days) .
    Assuming 30 trading days horizon, Invesco STIC has beta of 0.0 . This indicates unless we do not have required data, the returns on DOW and Invesco STIC are completely uncorrelated. Additionally Invesco STIC US Dollar Liquidity SelIt does not look like Invesco STIC alpha can have any bearing on the equity current valuation.
     Invesco STIC Price Density 
     
          
    Current Price   Target Price   
    α
    Alpha over DOW
    =0.00
    β
    Beta against DOW=0.00
    σ
    Overall volatility
    =0.52
    Ir
    Information ratio =0.00

    Invesco STIC Alerts

    Invesco STIC Alerts and Suggestions

    Invesco STIC US is not yet fully synchronised with the market data
    Invesco STIC US has some characteristics of a very speculative penny stock
    The fund retains all of the assets under management (AUM) in different types of exotic instruments
    Please also check Risk vs Return Analysis. Please also try Portfolio Rebalancing module to analyze risk-adjusted returns against different time horizons to find asset-allocation targets.
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