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Nokia Oyj Spline-GARCH Volatility Analysis
This asset is not actively trading
Analysis last updated: Wednesday, December 31, 2025 at 09:50 PM UTC
Date Range:

from

to

6M ·

1Y ·

2Y ·

5Y ·

10Y ·

All

graph of Nokia Oyj SGARCH
paramt-stat
ω1.42416.61
α0.06012.04
β0.50322.51
γ1-0.4431-1.84
γ20.61621.40
γ3-0.2556-0.53
γ40.10720.22
γ50.35401.17
γ6-0.9550-3.71
γ70.92092.92
γ8-0.4915-1.67
γ90.64141.47
Estimation Period:
Aug 4, 2000 to Dec 24, 2025
Impact of return on volatility tomorrow
Volatility Forecasts