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Markov Analyzer

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Move the slider to see probabilities within 1–8 weeks.

STRAP CPH

MetricValue
Current State Neutral
Prob. Up Next Week0.045
Prob. Up ≤ 20.081
Expected Run (Current)9.78
Expected Run (Up)6.4
P20 / P80 Bands-0.497 / 0.345

Quick Read

Prob. Up Next Week
0.045
Prob. Up ≤ k
0.081
Expected Run (Current)
9.780
Expected Run (Up)
6.400
Avg Return in Up (wk)
0.028
Avg Return in Neutral
0.010
Avg Return in Down
-0.031

Plain-English Interpretation

Current regime: Neutral.

Short-term odds do not favour an Up move yet. Current regime is usually short-lived. If/when it flips Up, rallies often carry for several weeks. Average weekly return while Up is positive - constructive when the regime turns. Down regime carries negative drift - avoid knife-catching. Typical weekly range sits between -0.497 and 0.345 (20th–80th pct).

Reward Stats (avg % return)

StateAvg ReturnSamples
0-0.03129
10.01085
20.02829
TransitionAvg ReturnSamples
0->0-0.03025
0->1-0.0384
1->0-0.0264
1->10.01378
1->2-0.0313
2->1-0.0083
2->20.03226

How to Read These Results

This screener uses a Markov chain model built from past price movements between “Down”, “Neutral”, and “Up” states.


Prob. Up Next Week
Chance that the next weekly move is Up. >0.6 is strong; <0.4 is weak.
Prob. Up ≤ k
Chance of seeing at least one Up week within the next k weeks.
Expected Run (Current / Up)
How many weeks a regime tends to last. Longer Up runs are constructive.
P20 / P80
Typical weekly range (20th–80th percentile). Position size accordingly.
Reward Stats
Average weekly returns by state/transition. Positives are favourable; negatives suggest caution.