Eastman Kodak Stock Forward View - 8 Period Moving Average

KODK Stock  USD 10.25  -1.16  -10.17%   
Eastman Kodak Co's 8 Period Moving Average forecast is generated from the selected price series and evaluated against observed values. Forecast accuracy depends on how stable the recent price trend has been — trending markets suit some models better than others. The forecast is recalculated with each session so it does not rely on stale inputs. A small Bias confirms the model is not systematically over- or under-predicting. The 8 Period Moving Average model projects Eastman Kodak at 12.87 for the next trading day, above the most recent closing price. All values shown are model-generated projections and should be evaluated alongside other analytical inputs.
The eight-period moving average forecast for Eastman Kodak replaces each daily closing price with the mean of that value and the eight preceding observations. This wider window produces a smoother series that filters out short-term volatility.

8 Period Moving Average Price Forecast For the 13th of May 2026

Over a 90-day horizon, the 8 Period Moving Average model forecasts Eastman Kodak at 12.87 for the next trading day, with a mean absolute deviation of 0.87 , mean absolute percentage error of 0.08 , and sum of absolute errors of 46.28 .
This indicates moderate forecast accuracy — the model captures the general trend but not all short-term variation in Eastman Kodak's price. This output is intended for short-term analytical reference.

Stock Forecast Pattern

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Forecasted Value

This forecast for Eastman Kodak frames the expected trading range using downside and upside bounds rather than a single point target. The forecast band spans 8.12 to 17.62. The wide range indicates elevated uncertainty in short-term projections.
Market Value
10.25
12.87
Expected Value
17.62

Model Predictive Factors

The table below summarizes the 8 Period Moving Average model's error metrics for Eastman Kodak stock. Lower MAD and MAPE values indicate tighter forecast accuracy. AIC measures relative model quality — lower values indicate less information loss and a better-fitting model. A large Bias suggests systematic over- or under-prediction.
AICAkaike Information Criteria103.6773
BiasArithmetic mean of the errors -0.3807
MADMean absolute deviation0.8732
MAPEMean absolute percentage error0.0837
SAESum of the absolute errors46.2788
The eight-period window effectively dampens daily peaks and troughs in Eastman Kodak Co price data, making the underlying trend more visible. However, the model can only be used reliably for one or two periods ahead. A flat forecast line in a trending market indicates the smoothing window is too wide for the current price dynamics.

Other Forecasting Options for Eastman Kodak

Bollinger Bands applied to Eastman Kodak Stock price data measure how far Eastman Kodak has deviated from its recent average relative to its own volatility. This distinction drives the choice of forecasting model applied to Eastman Kodak's price data. On-balance volume for Eastman Kodak Stock creates a running indicator of buying versus selling pressure in Eastman Kodak. Price departures from the channel boundary often mean-revert, offering tactical signals for Eastman Kodak's.

Eastman Kodak Related Equities

Sizing up Eastman Kodak against these stocks within the Information Technology space shows how it compares on key financial measures. Checking cash flow across this peer set helps gauge Eastman Kodak's relative financial strength. Firms that trade at big discounts to peers on core metrics may be worth more research.
 Risk & Return  Correlation

Eastman Kodak Market Strength Events

Market strength indicators for Eastman Kodak quantify how the stock responds to shifts in volume and sentiment. These indicators capture shifts in momentum that may precede significant price moves in Eastman Kodak. The Market Facilitation Index measures how efficiently price moves relative to volume — rising MFI with rising volume signals strong trend participation. Monitoring these indicators for Eastman Kodak through complete market cycles reveals recurring patterns.

Eastman Kodak Risk Indicators

Analyzing Eastman Kodak's risk indicators separates symmetric price swings from asymmetric downside exposure. Understanding and quantifying the risks present in Eastman Kodak helps place recent price behavior in context. These metrics are most informative when compared against similar equities with comparable growth profiles and market capitalization. When semi-deviation is high relative to standard deviation, Eastman Kodak's losses have been disproportionately large compared to gains.
Please note, the risk measures we provide can be used independently or collectively to perform a risk assessment. When comparing two potential investments, we recommend comparing similar equities with homogenous growth potential and valuation from related markets to determine which investment holds the most risk.

Eastman Kodak Short Properties

Short-interest data for Eastman Kodak reveals whether bearish conviction in the market is gaining traction. The practical goal is to identify when the balance between long and short participation may be changing the quality of the setup.
Common Stock Shares Outstanding89.8 million
Cash And Short Term Investments337 million