Klarna Group plc (KLAR)Stock

Financial Services · Credit Services · NYQ

$12.39
-15.7% (30d)
7-day model forecast -2.3%

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Klarna Group plc (KLAR) is a Financial Services stock listed on NYQ. It is currently trading at $12.39, down 15.7% over the past 30 days and down 66.2% over the past year. Cryptobi's forecasting model estimates a 2.3% decline over the next 7 days based on recent trend (model estimate, not financial advice).

1D +0.2%
1W -4.3%
1M -15.7%
6M -7.2%
1Y -66.2%

Klarna Group plc (KLAR) · Last 90 days

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Forecast

1 Day $12.51 +1.2%
3 Days $12.33 -0.2%
7 Days $12.08 -2.3%
14 Days $11.82 -4.4%
30 Days $11.63 -5.9%
60 Days $11.58 -6.3%
90 Days $11.58 -6.3%

Forecast model: Damped-trend exponential smoothing · model estimate, not financial advice · updated 16 hours ago

How KLAR ranks

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Risk Profile

Max Drawdown -73.0%
Volatility (ann.) 69.0%
Sharpe Ratio -1.36

Based on available price history · Sharpe ratio assumes 0% risk-free rate · updated 16 hours ago

Technical Analysis

Momentum Bearish

Price is running well below its recent average - strong downward momentum.

Price z-score -2.33 (below rolling mean, window=20, threshold=2.0).

Sep 28, 2026
Price + Volume Spike Bearish

A strong downward price move, confirmed by unusually high volume.

Price z=-2.45 and volume z=2.52 (price_window=20, volume_window=20). Volume confirms spike.

Sep 24, 2026
Volume Anomaly Elevated / unusual

Volume spiked without a matching price move - often a precursor, not yet a clear direction.

Volume z=2.31 (spike) with price z=0.25 (normal). Unusual volume without matching price move.

Aug 17, 2026
Trend Change Bearish

The short-term trend just turned downward, crossing below the longer-term trend.

Short MA crossed below long MA (window=20); price 15.0600. Volatility filter passed.

Aug 18, 2026
Trend Break Bearish

Price broke down below its recent trading range - a bearish breakdown.

Price broke below rolling low (13.8800 < 14.0000, window=20).

Sep 9, 2026
Volatility Expansion Elevated / unusual

Price swings just got bigger - more risk (and opportunity) either way, not a directional call.

Volatility expanded 2.2x from recent low (window=20, ratio>=2.0).

Aug 18, 2026
Relative Strength

No significant event detected recently.

Market Cap$7.07B
Volume4,021,557
ExchangeNYQ
TypeStock
52-Week Range$12.06 – $47.48
1.1yr Range$12.27 – $45.48
50-Day Avg$18.01
200-Day Avg$22.50
Analyst Target$24.40 (Buy)
Analyst Upside+96.9%

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