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REPORTING FOR 2019-08-16 | AMARKETREPORTSJOURNAL.COM: We have conducted a deep analysis of how Nippon Sheet Glass Company (5202) has been trading over the last 2 weeks and the past day especially. On its latest session, Nippon Sheet Glass Company (5202) opened at 592.0, reaching a high of 602.0 and a low of 589.0 before closing at a price of 598.0. There was a total volume of 327900.0.
VOLUME INDICATORS: We saw an accumulation-distribution index of 3344.8, an on-balance volume of -597.0, chaikin money flow of 1.6 and a force index of 304.0. There was an ease of movement rating of 0.0067, a volume-price trend of -137.84685 and a negative volume index of 1000.0. Is this bullish or bearish for 5202? Click here for a short explanation of volume indicators.
VOLATILITY: We noted an average true range of 14.88889, bolinger bands of 589.91421, an upper bollinger band of 587.08579, lower bollinger band of 589.0, a bollinger high band indicator of 1.0, bollinger low band indicator of 1.0, a central keltner channel of 594.33333, high band keltner channel of 584.33333, low band keltner channel of 604.33333, a high band keltner channel indicator of 1.0 and a low band keltner channel indicator of 1.0. There was a donchian channel high band of 589.0, a donchian channel low band of 589.0, a donchian channel high band indicator of 1.0, and a donchian channel low band indicator of 1.0. Is this bullish or bearish for 5202? Click here for a short explanation of volatility indicators.
TREND: We calculated a Moving Average Convergence Divergence (MACD) of -0.02244, a MACD signal of -0.01246, a MACD difference of -0.00997, a fast Exponential Moving Average (EMA) indicator of 589.0, a slow Exponential Moving Average (EMA) indicator of 589.0, an Average Directional Movement Index (ADX) of unknown, an ADX positive of 20.0, an ADX negative of 20.0, a positive Vortex Indicator (VI) of 1.0, a negative VI of 1.0, a trend vortex difference of 0.14867, a trix of -16.94264, a Mass Index (MI) of 1.0, a Commodity Channel Index (CCI) of -66.66667, a Detrended Price Oscillator (DPO) of 179.83, a KST Oscillator (KST) of -233.90086 and a KST Oscillator (KST Signal) of -233.90086 (leaving a KST difference of -0.32517). We also found an Ichimoku rating of 597.0, an Ichimoku B rating of 597.0, a Ichimoku visual trend A of 756.37, an Ichimoku visual trend B of 720.295, an Aroon Indicator (AI) up of 4.0 and an AI indicator down of 4.0. That left a difference of -4.0. Is this bullish or bearish for 5202? Click here for a short explanation of trend indicators.
MOMENTUM: We found a Relative Strength Index (RSI) of 50.0, a Money Flow Index (MFI) of 34.75558, a True Strength Index (TSI) of -100.0, an ultimate oscillator of -7.79236, a stochastic oscillator of 130.0, a stochastic oscillator signal of 130.0, a Williams %R rating of 30.0 and an awesome oscillator of 3.78333. Is this bullish or bearish for 5202? Click here for a short explanation of momentum indicators.
RETURNS: There was a daily return of -23.39009, a daily log return of -0.16992 and a cumulative return of -0.16978.
What the heck does all of this mean? If you are new to technical analysis, the above may be gibberish to you, and that’s OK (though we do advise learning these things). The bottom line is that AS OF 2019-08-16 (if you are reading this later, the analysis will be out of date), here is what our deep analysis of technical indicators are telling us for Nippon Sheet Glass Company (5202)…
For a more complete analysis, run all of this through the BTMA software. Also, to stay up to date with what is happening on Nippon Sheet Glass Company, we strongly advise Nippon Sheet Glass Company investors to subscribe to MarketBeat.com’s daily email newsletter for updates, news and analyst ratings on stocks like Nippon Sheet Glass Company – without this you are trading blind:
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DISCLAIMER: We are not registered investment advisers and the above analysis should be taken at face value only. We strongly advise against buying or selling Nippon Sheet Glass Company (5202) based solely on our analysis above, and are not responsible for any losses that you may incur if you choose make any investment decisions based on the above.
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