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Hosken Consolidated Investments Ltd ILLIQ-MFMEM Liquidity Analysis

Illiquidity prediction for Tuesday, September 29th, 2026

1 Day

2,773.45

decreased by 45.03

1 Week

2,506.07

decreased by 312.41

1 Month

1,851.04

decreased by 967.44

Analysis last updated: Tuesday, September 29, 2026 at 08:23 PM UTC

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graph of Hosken Consolidated Investments Ltd ILLIQ-MFMEM

News Impact Curve

How returns affect tomorrow's illiquidity

Illiquidity Forecast

How illiquidity evolves over time

Parameter Estimates

Jan 10, 1990 to Sep 25, 2026

Model Insight

With persistence 0.999, illiquidity shocks have a half-life of 574 trading days (~2.3 years), close to a unit root, so long-run forecasts are highly sensitive to this estimate. This multi-frequency model splits illiquidity into a fast short-run component and a slow-moving long-run level that drifts over the sample rather than a constant baseline.

μ

ILLIQ-MFMEM Model

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High persistence: persistence 0.999, shock half-life ~574 days
ParamValuet-stat
mwindow126
αARCH0.0900
5.63***
βGARCH0.9149
91.65***
γleverage-0.0123
-0.61
λ₁tau intercept0.0000
0.00
λ₂forecast adj.0.0472
1.13
λ₃tau persistence0.9528
25.21***

0.999

Persistence

574d

Half-life
μ

ILLIQ-MFMEM Model

Tap to view equation

ParameterValuet-statistic
m

window

Rolling window length

126
α

ARCH

Response to squared shocks

0.0900
5.63***
β

GARCH

Volatility persistence

0.9149
91.65***
γ

leverage

Additional response to negative shocks

-0.0123
-0.61
λ₁

tau intercept

Baseline long-term coefficient

0.0000
0.00
λ₂

forecast adj.

Forecast performance sensitivity

0.0472
1.13
λ₃

tau persistence

Long-term factor persistence

0.9528
25.21***

Persistence:

0.999

Half-life:

574 days