PINK:TAVHY

Tav Havalimanlari Holding As Stock Forecast

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$25.00
-0.0600 (-0.239%)
At Close: Jun 23, 2026
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  • Lower volatility than the market (beta -0.09)
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  • Solid financial health (Piotroski 6/9)
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Tav Havalimanlari Holding AS stock downgraded from Buy Candidate to Hold/Accumulate after Tuesday trading session
(Updated on Jun 23, 2026)

Buy or Hold candidate since Jun 12, 2026 Gain 3.82%

The Tav Havalimanlari Holding AS stock price fell by -0.239% on the last day (Tuesday, 23rd Jun 2026) from $25.06 to $25.00. It has now fallen 3 days in a row. During the last trading day the stock fluctuated 3.69% from a day low at $24.13 to a day high of $25.02. The price has risen in 7 of the last 10 days and is up by 12.87% over the past 2 weeks. Volume has increased on the last day by 920 shares but on falling prices. This may be an early warning and the risk will be increased slightly over the next couple of days. In total, 1 thousand shares were bought and sold for approximately $32.35 thousand.

The stock lies the upper part of a very wide and falling trend in the short term, and this may normally pose a very good selling opportunity for the short-term trader as reaction back towards the lower part of the trend can be expected. A break up at the top trend line at $26.28 will firstly indicate a slower falling rate, but may be the first sign of a trend shift. Given the current short-term trend, the stock is expected to fall -18.93% during the next 3 months and, with a 90% probability hold a price between $15.93 and $21.31 at the end of this 3-month period. Do note, that if the stock price manages to stay at current levels or higher, our prediction target will start to change positively over the next few days as the conditions for the current predictions will be broken.

TAVHY Signals & Forecast

The Tav Havalimanlari Holding AS stock holds a sell signal from the short-term Moving Average; at the same time, however, there is a buy signal from the long-term average. Since the short-term average is above the long-term average there is a general buy signal in the stock giving a positive forecast for the stock. On further gains, the stock will meet resistance from the short-term Moving Average at approximately $25.54. On a fall, the stock will find some support from the long-term average at approximately $23.74. A break-up through the short-term average will send a buy signal, whereas a breakdown through the long-term average will send a sell signal. Furthermore, there is a buy signal from the 3 month Moving Average Convergence Divergence (MACD). Some negative signals were issued as well, and these may have some influence on the near short-term development. A sell signal was issued from a pivot top point on Wednesday, June 17, 2026, and so far it has fallen -5.94%. Further fall is indicated until a new bottom pivot has been found. Tav Havalimanlari Holding AS gained volume on the last day, but on falling prices. In technical terms, this is called divergence and may be an early warning. In some cases, increasing volume on falling prices may be considered positive, but that is mainly in typical "sell-offs". The very low volume increases the risk and reduces the other technical signals issued.

Support, Risk & Stop-loss for Tav Havalimanlari Holding AS stock

On the downside, the stock finds support just below today's level from accumulated volume at $23.30 and $22.57. There is a natural risk involved when a stock is testing a support level, since if this is broken, the stock then may fall to the next support level. In this case, Tav Havalimanlari Holding AS finds support just below today's level at $23.30. If this is broken, then the next support from accumulated volume will be at $22.57 and $21.73.

This stock has average movements during the day and with good trading volume, the risk is considered to be medium. During the last day, the stock moved $0.89 between high and low, or 3.69%. For the last week, the stock has had daily average volatility of 2.49%.

Our recommended stop-loss: $23.80 (-4.80%) (This stock has medium daily movements and this gives medium risk. There is a sell signal from a pivot top found 3 days ago.)

Trading Expectations (TAVHY) For The Upcoming Trading Day Of Wednesday 24th

For the upcoming trading day on Wednesday, 24th we expect Tav Havalimanlari Holding AS to open at $24.72, and during the day (based on 14 day Average True Range), to move between $24.61 and $25.39, which gives a possible trading interval of +/-$0.787 (+/-3.20%) up or down from last closing price. If Tav Havalimanlari Holding AS takes out the full calculated possible swing range there will be an estimated 3.20% move between the lowest and the highest trading price during the day.

Since the stock is closer to the resistance from accumulated volume at $25.50 (2.00%) than the support at $23.30 (6.80%), our systems don't find the trading risk/reward intra-day attractive and any bets should be held until the stock is closer to the support level.

Dividend Warning For TAVHY

Dividend coming up for TAVHY: Ex-dividend date (Wednesday 22nd July, 2026) is 28 days away. The dividend is $0.160.

Is Tav Havalimanlari Holding AS stock A Buy?

Tav Havalimanlari Holding AS holds several positive signals, but we still don't find these to be enough for a buy candidate. At the current level, it should be considered as a hold candidate (hold or accumulate) in this position whilst awaiting further development. Due to some small weaknesses in the technical picture we have downgraded our analysis conclusion for this stock since the last evaluation from a Buy to a Hold candidate.

Current score: 0.488 Hold/Accumulate Downgraded

Predicted Fair Opening Price

Predicted fair opening price on June 24, 2026 - $24.72 ( 1.13%).

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TAVHY Performance

Trading levels for TAVHY

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Fibonacci Support & Resistance Levels

Level Price
R3 25.61 2.43%
R2 25.27 1.07%
R1 25.06 0.227%
Price 25.00
S1 24.38 -2.49%
S2 24.17 -3.33%
S3 23.83 -4.69%

Accumulated Volume Support & Resistance Levels

Level Price
R3 30.70 22.80%
R2 26.58 6.32%
R1 25.50 2.00%
Price 25.00
S1 23.30 -6.80%
S2 22.57 -9.72%
S3 21.73 -13.08%

TAVHY Dividend Payout History


# Declaration Date Ex-Date Pay Date Amount Yield
1 Sep 23, 2026 Sep 23, 2026 Oct 08, 2026 $0.107 0.374%
2 Feb 24, 2026 Jul 22, 2026 Aug 06, 2026 $0.165 0.612%
3 Mar 25, 2020 Mar 25, 2020 Apr 10, 2020 $0.714 7.34%
4 Mar 20, 2019 Mar 20, 2019 Apr 05, 2019 $1.46 7.83%
5 Mar 28, 2018 Mar 28, 2018 Mar 28, 2018 $1.18 5.25%

FAQ

What is the symbol for Tav Havalimanlari Holding AS Stock and on which exchange is it traded?
The symbol for Tav Havalimanlari Holding AS is TAVHY and it is traded on the PINK (Pink Sheets).

Should I buy or sell Tav Havalimanlari Holding AS Stock?
Tav Havalimanlari Holding AS holds several positive signals, but we still don't find these to be enough for a buy candidate. At the current level, it should be considered as a hold candidate (hold or accumulate) in this position whilst awaiting further development. Due to some small weaknesses in the technical picture we have downgraded our analysis conclusion for this stock since the last evaluation from a Buy to a Hold candidate.

How to buy Tav Havalimanlari Holding AS Stock?
Tav Havalimanlari Holding AS Stock can be purchased through just about any brokerage firm, including online brokerage services.
Click here for our free guide on how to buy Tav Havalimanlari Holding AS Stock.

What's the current price of Tav Havalimanlari Holding AS Stock?
As of the end of day on the Jun 23, 2026, the price of an Tav Havalimanlari Holding AS (TAVHY) share was $25.00.

What is the 52-week high and low for Tav Havalimanlari Holding AS Stock?
The 52-week high for Tav Havalimanlari Holding AS Stock is $33.34 and the 52-week low is $21.12.

What is the market capitalization of Tav Havalimanlari Holding AS Stock?
As of the Jun 23, 2026, the market capitalization of Tav Havalimanlari Holding AS is 2.271B.
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