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S&P Composite 1500 Other Diversified Financial Sub Industry Index MF2-GARCH Volatility Analysis
Volatility Prediction for Friday, February 13th, 2026:39.35% (-1.04%)
Analysis last updated: Friday, February 13, 2026 at 12:01 AM UTC
Date Range:

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graph of S&P Composite 1500 Other Diversified Financial Sub Industry Index MF2-GARCH
paramt-stat
m56
α0.00000.00
β0.8460107.65
γ0.135819.35
λ11.10570.37
λ20.73240.38
λ30.00000.00
Estimation Period:
Dec 29, 1994 to Feb 6, 2026
Impact of return on volatility tomorrow
Volatility Forecasts