S&P 200 (AXJO.NDX)
Close: 8 393.80 (+70.80), Nov 22, 2024
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Liquidity risk: | Volatility risk: |
Short term
S&P 200 is in a rising trend channel in the short term. This signals increasing optimism among investors and indicates continued rise. The index has broken up through resistance at points 8360. This predicts a further rise. In case of negative reactions, there will now be support at points 8360. Negative volume balance weakens the index in the short term. The index is overall assessed as technically positive for the short term. Recommendation one to six weeks:
Medium term
S&P 200 is in a rising trend channel in the medium long term. This signals increasing optimism among investors and indicates continued rise. There is no resistance in the price chart and further rise is indicated. In case of a negative reaction, the index has support at approximately 8110 points. Negative volume balance shows that volume is higher on days with falling prices than days with rising prices. This indicates decreasing optimism among investors. The RSI curve shows a rising trend, which supports the positive trend. The index is overall assessed as technically positive for the medium long term. Recommendation one to six months:
Long term
S&P 200 is in a rising trend channel in the long term. This shows that investors over time have bought the index at higher prices and indicates good development for the market. The price has risen strongly since the positive signal from the rectangle formation at the break through resistance at 7372. The objective at 8050 is now met, but the formation still gives a signal in the same direction. There is no resistance in the price chart and further rise is indicated. In case of a negative reaction, the index has support at approximately 7560 points. Negative volume balance indicates that sellers are aggressive while buyers are passive, and weakens the index. Trading volume has increased substantially lately, which may be because of fundamental news. The index is overall assessed as technically positive for the long term. Recommendation one to six quarters:
Period |
Vol.bal. |
Volatility |
Liquidity |
+/- % |
1 day | - | 0.54% | 0.00 | +0.85% |
5 days | -16.68 | 1.79% | 0.43 | +1.31% |
22 days | -46.71 | 4.20% | 0.50 | +2.16% |
66 days | -0.33 | 7.72% | 0.50 | +4.79% |
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