A guided view of price action, financial statements, ratios, and AI-style research notes.
Overview
Equity · General · US
Current price
0.6%USD
Market cap
US
Revenue
2.0%2024
Net income
3.4%2024
Price graph
AI analysis
Business overview: XLF Corporation (XLF) operates in Public Company with an estimated market cap of $10.0B.
Revenue trend: Revenue was broadly stable year over year, moving from $383.3B to $391.0B.
Profitability trend: Net income was broadly stable; latest net margin is 24.0% and operating margin is 31.5%.
Balance sheet strength: Assets are $365.0B against liabilities of $308.0B. Debt-to-equity is 1.87 and current ratio is 0.87.
Valuation: P/E is 0.1, P/S is 0.0, and P/B is 0.2 using available market cap and filing data.
Risks: Provider coverage, filing timing, accounting classifications, rates, margins, competition, and macro conditions can materially change this view.
Educational summary: This is a fundamentals-oriented breakdown for research only and is not financial advice or a buy/sell recommendation.
Earnings calendar
SEC filing viewer
No SEC filing selected.
Insider transactions
Institutional ownership
Largest reported institutional positions from the current provider feed.
Thesis tracker
Write the reason you care about XLF, then test whether the latest financials, filings, catalysts, insider data, and price action support or weaken it.
Catalysts
0
Positive / caution
0 / 0
Filings tracked
0
Integrity score
No thesis score yet. Save a thesis and run the integrity check to generate the monitor.
Provider: not generated. Educational research only.
Educational thesis tracking only. This is not investment advice and does not recommend buying, selling, or holding any security.
Quant lab
Technical indicators, tail-risk statistics, and a validation-gated log-return model for XLF. Educational only.
Quant score
Trend 74 / Risk 61
ML next close
0.2%2026-06-01
EWMA volatility
Downside vol 13.3%
Tail risk
CVaR 2.77% / Max DD -26.9%
Close, 20-day average, 50-day EMA, Bollinger range, and next-session model point.
Expected move
-0.2%
Confidence
23%
Edge
-10.6%
Val samples
297
Chronological ridge autoregression on standardized lag, momentum, volatility, drawdown-tail, and slope features.
Momentum oscillator
Line / signal
0% lower band, 100% upper band
Latest close vs prior close
Chronological validation log-return error
Lower of zero-return and mean-return baselines
Predicted sign vs actual sign
Moving averages, MACD, RSI
Volatility and drawdown control
Sequence forecast and fit quality
Annualized return
6.2%Compounded from mean daily log return
Downside volatility
13.3%Annualized negative-return deviation
95% VaR
1.93%Historical one-day loss threshold
95% CVaR
2.77%Average loss inside the 5% tail
Sortino
0.45Return per unit downside volatility
Calmar
0.23Return divided by max drawdown
Hurst
0.64Trend persistence estimate
Regime
Balanced consolidation1254 daily return observations
Price is trading above its 20-day average, which supports short-term momentum.
RSI is in a balanced range, so the signal is not dominated by overbought or oversold pressure.
EWMA realized volatility is moderate, so the model signal is less likely to be overwhelmed by daily noise.
Tail risk check: historical 95% one-day VaR is 1.93% and CVaR is 2.77%.
The return model has not beaten its simple baseline on the chronological validation split, so the forecast is heavily shrunk.
The forecast is an educational log-return model with validation-gated shrinkage, not a price target or investment advice.
Custom model
A custom neural network trains locally on next-session log returns and stores the latest fitted run in this browser. Scaling is fit on the training window only, with a chronological validation split and baseline gates.
Window
10
Layers
12
Features
Lags
Epochs
360
Predicted close
N/A
Awaiting training
Confidence
N/A
Awaiting training
Direction accuracy
N/A
Chronological validation
Model vs baseline
N/A
Log-return RMSE vs zero return
Forecast shrink
N/A
Validation gated
Planned architecture shown before training.
Each new training run logs a next-session forecast for XLF. Completed rows score the model once the target close appears in price history.
Scored / pending
0 / 0
Forecasts tracked
Direction hit rate
N/A
Predicted sign vs actual
Return RMSE
N/A
Needs scored rows
Edge vs zero
N/A
Needs scored rows
Price MAE
N/A
Average absolute miss
Range capture
N/A
Actual inside predicted range
| Target | Preset | Prediction | Actual | Return error | Hit | Range |
|---|---|---|---|---|---|---|
| Train a model to begin tracking live prediction performance. | ||||||
Validation split compared against simple return baselines.
Model RMSE
N/A
Zero baseline
N/A
Mean baseline
N/A
Momentum baseline
N/A
Edge vs zero
N/A
Edge vs momentum
N/A
Best epoch
N/A
Early stop
N/A
| Validation window | Model RMSE | Zero baseline | Hit rate | Samples |
|---|---|---|---|---|
| Train a model to generate walk-forward diagnostics. | ||||
No fitted weights yet.
Financial dashboard
| Period | Revenue | Net Income | Free Cash Flow | Assets | Debt |
|---|---|---|---|---|---|
| 2021 | $365.8B | $94.7B | $93.0B | $351.0B | $124.7B |
| 2022 | $394.3B | $99.8B | $111.4B | $352.8B | $120.1B |
| 2023 | $383.3B | $97.0B | $99.6B | $352.6B | $111.1B |
| 2024 | $391.0B | $93.7B | $108.8B | $365.0B | $106.6B |
Ratio analysis