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Earnings per share
On our site we made daily predictions for finance products based on statistical analysis. You can export / download forecasted data as CSV file, no login required. The information can be used for day trading.
Summerized Form 10-K with GPT-2
OverviewArbor is a Maryland corporation formed in 2003. Leverage the Experience of Executive Officers and Our Employees. Avg.Wtd. Interest Rate Risk Management Policy. We may in the future issue common stock in connection with acquisitions. ACM has approximately 11% of the voting interest in our stock as of December 31, 2020. Risk Factor SummaryRisks Related to Our Business. We conduct our operations to qualify as a REIT under the Internal Revenue Code. The first publication of SOFR was released in 2018. As a result, we may not recover some or all of our investment. Our obligation to repurchase the loan is independent of our risk-sharing obligations. We cannot assure that the performance tests will be satisfied. Our business is also subject to inspection by certain state regulatory authorities. The 2021 Caps apply to all multifamily business and has no exclusions. A change in any one of these factors could affect our ability to make distributions.
Candlestick patterns can be used as additional information for price prediction. Following list show which pattern applies on latest price information.
Meta analyst score 69.44/100
Not in ideal financial position.
Historical view, profit is not growing.
Company revenue is not growing faster compared with the
Stock price is under book price value.
Institutional ownership list is based on filling form information
Bollinger Bollinger Bands for ARBOR REALTY TRUST REIT INC can provide the information where the market is moving based on price information.
ARBOR REALTY TRUST REIT INC Short Volume Ratio is shown in the diagram. Short volume sales can be seen as an investor sentiment.
Converting prices to returns ARBOR REALTY TRUST REIT INC.
On-Balance Volume information for ARBOR REALTY TRUST REIT INC. On-Balance Volume information can be an indicator for bullish or bearish outcome.
Accumulation / Distribution (A/D) indicator information for ARBOR REALTY TRUST REIT INC. The indicator identify divergences between price and volume flow.
Aroon Oscillator information for ARBOR REALTY TRUST REIT INC. The trend-following indicator can show the strengh of a current trend and likelihood that trend can continue.
Average Directional Index (ADX) information for ARBOR REALTY TRUST REIT INC. The index can be used to identify the strengh of a trend.
Moving Average Convergence Divergence (MACD) for ARBOR REALTY TRUST REIT INC. The indicator helps to predict trend direction and the momentum of the trend.
Stochastic Oscillator as momentum indicator for ARBOR REALTY TRUST REIT INC. The indicator is useful for identifying overbought and oversold levels.
Relative Strength Index (RSI) for ARBOR REALTY TRUST REIT INC. RSI is a momentum oscillator that measures the speed and change of price development.
The momentum indicator was created by analyst Welles Wilder. The result compares recent gains and losses over restricted time period.
Primary usage of the indicator is to identify overbought or oversold signals.
When RSI indicator reaches a value of 70 it could mean that speculators should consider selling, suggests Wilder and Chong. Or vice versa when selling excess at which the RSI Indicators show a value of 30
Relative Strength Index for Developing Effective Trading Strategies in Constructing Optimal Portfolio
The forecast (dashed curve) of the share price performance is based on historical data.
Our forecast model is based on mathematical, statistical methods.
The website offers price forecasts and analysis tools for equities and other securities,
which are exclusively based on the prices of these securities in the past.
Information about these prices is provided to us by third parties. Although we believe,
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correct sequencing of this information.
We do not investigate the issuers of the securities to which our forecasts relate, nor do we consider
any financial data or other data of such issuers with the exception of the past prices of the securities.
Therefore, our forecasts do not constitute an analysis of other commercial or financial factors or
that may be relevant for future security price flows. Investments require additional considerations.
Our forecasts cannot reflect the specific situation. Experience and risk profile of an individual investor
or the tax implications an investment may have for the investor. Although we believe that
our mathematical models are a tool to try to explore the possibility for future price development
with the help of past performance, such developments are subject to a multitude of different influences.
and therefore not really predictable.
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accuracy, completeness and appropriateness - neither explicit nor implicit.