During the past three months the stock gain -50.06%, however six months performance of the stock remained at -46.09%.
The stock is trading -68.09% away from its 52 week high of $13.60 and 0% far from the stock's low point over the past 52 weeks, which was $4.34. The stock is now moving below its 20-Day Simple Moving Average of -31.67% with a 50-Day Simple Moving Average of -45.03 percent. For intra-day data the current price is used in place of the closing price. Used as a coincident indicator, the CCI reading above +100 would reflect strong price action which may signal an uptrend. The effect of the moving average is to smooth the price movement so that the longer-term trend becomes less volatile and therefore more obvious. On the other side it is not a negative indicator for Investor portfolio value - when the price of a stock Investor owns moves down in value. Chart analysts may also use the indicator to project possible price reversals and to define trends.
The Average Directional Index or ADX is technical analysis indicator used to discern if a market is trending or not trending. When a short-term moving average crosses above a longer term moving average, this indicates an upswing in the market.
The time frame or length you choose for a moving average, also called the "look back period", can play a big role in how effective it is. Using the ADX with the Plus Directional Indicator (+DI) and Minus Directional Indicator (-DI) may help determine the direction of the trend as well as the overall momentum.
Moving toward the technical facts, its current distance from 20-Day Simple Moving Average is -32.98% and standing -45.18% away from 50-Day Simple Moving Average while traded -52.26% away from 200-Day Simple Moving Average.
For this year, Ultra Petroleum Corp. (UPL) stock was most active stock of Wall Street Market on Friday. About 1.32 million shares traded.
Trading stocks at an all time low is not easy. (NASDAQ:UPL) has Relative Strength Index (RSI 14) of 16.45 along with Average True Range (ATR 14) of 0.4. When prices rise or fall and there is a decrease in volume, then this might be interpreted as being a weak price move, because the price move had very little strength and interest from traders. As traders, we are more interested to take part in strong moves and don't join moves that show weakness - or we may even watch for an entry in the opposite direction of a weak move. The current 14-day RSI is presently sitting at 17.27, the 7-day is 12.48, and the 3-day is 10.57. As you can see RSI calculation is fairly simple. Traders may use these levels to help identify stock price reversals.
When the RSI reading is between 30 and 0, the security is supposed to be oversold and ready for an upward correction. (NASDAQ:UPL)'s shares owned by insiders are 1.92%, whereas shares owned by institutional owners are 99.22%.
Analysts have a mean rating score of 1.8 on this stock.
Analysts often look at short interest, or the number of shares now being shorted by investors, to aid in their outlook for a particular stock. Also, the Hold rating count is 0 as of 02/20/18. One may say buy while other recommend sell. This research report and rating ought to be used to complement individual research and plans.
Stock Analysis: What Is a Price Target? The stock weekly performance stands at 7.78% and monthly performance is at -20.58%. Investors can maximize their rates of return by buying and selling stocks when they are trading below and above their price targets, respectively. A composite of 13 technical indicators that includes measures such as moving averages and momentum oscillators suggests that UPL is a Strong sell, which implies that UPL is expected to underperform the market based on prior trading patterns.
Neonode Inc. (NEON) stock price recorded a distance from twenty day simple moving average slumped at -5.58% while its distance from fifty day simple moving average declined -25.10% along with -48.39% below distance comparing to two hundred simple moving averages.
Investors could set buy and sell price points around target prices to maximize returns. Stock at an all time low usually experience even more downside due to very negative fundament. The company has market cap of $852.16 million. The stock traded within a range of $4.28 and $4.51. The average true range (ATR) is a measure of volatility introduced by Welles Wilder.
The company's stock is now moving with a -ve distance from the 200 day SMA of approximately -52.52%, and has a solid year to date (YTD) performance of -52.1% which means that the stock is constantly adding to its value from the previous fiscal year end price. The stock's short float is around of 11.20% and short ratio is 4.79.