Technical Analysis for LUXU - Amundi ES&P Global Luxury UCITS ETF
ADX | Long Term | Intermediate Term | Short Term |
---|---|---|---|
Strong | Up | Down | Up |
Date | Alert Name | Type | % Chg |
---|---|---|---|
Cup with Handle | Other | 1.09% | |
Gapped Down | Weakness | 1.09% | |
Cup with Handle | Other | -0.21% | |
Narrow Range Bar | Range Contraction | -0.21% | |
Gapped Up | Strength | -0.21% | |
Oversold Stochastic | Weakness | -0.21% | |
Crossed Above 200 DMA | Bullish | -0.18% | |
Cup with Handle | Other | -0.18% | |
Volume Surge | Other | -0.18% | |
Gapped Up | Strength | -0.18% |
Alert | Time |
---|---|
Possible Pocket Pivot | about 1 hour ago |
Rose Above Previous Day's High | about 1 hour ago |
Gapped Up (Partial) | about 1 hour ago |
Rose Above 10 DMA | about 1 hour ago |
Up 1% | about 1 hour ago |
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The Fund’s investment objective is to track the performance of the S&P Global Luxury Index (see the “Benchmark index” section), as closely as possible, whether the Index rises or falls.
The Fund is managed so as to achieve a gap between changes in its NAV and changes in the value of the S&P Global Luxury Index (referred to below as the “S&P Global Luxury Index”) as small as possible. Accordingly, the target for maximum tracking error between changes in the Fund’s NAV and those in the S&P Global Luxury Index is 2%. If the “tracking error” exceeds 2%, the aim would nevertheless be to remain below 15% of the volatility shown by the S&P Global Luxury Index.
Keywords: Index Fund S&P Volatility Financial Risk Management S&P Global Luxury S&P Global Luxury Index Net Tr
Classification
Keywords: Index Fund S&P Volatility Financial Risk Management S&P Global Luxury S&P Global Luxury Index Net Tr
Indicator | Bull Case | Neutral / Hold | Bear Case |
---|---|---|---|
50 DMA | |||
200 DMA | |||
ADX Trend | |||
Oversold / Overbought | |||
Relative Strength |
Indicator | Value |
---|---|
52 Week High | 244.6 |
52 Week Low | 191.48 |
Average Volume | 220 |
200-Day Moving Average | 219.57 |
50-Day Moving Average | 231.10 |
20-Day Moving Average | 225.48 |
10-Day Moving Average | 220.38 |
Average True Range | 2.51 |
RSI (14) | 37.89 |
ADX | 31.56 |
+DI | 23.29 |
-DI | 42.31 |
Chandelier Exit (Long, 3 ATRs) | 228.11 |
Chandelier Exit (Short, 3 ATRs) | 224.59 |
Upper Bollinger Bands | 237.00 |
Lower Bollinger Band | 213.96 |
Percent B (%b) | 0.25 |
BandWidth | 10.22 |
MACD Line | -3.35 |
MACD Signal Line | -3.06 |
MACD Histogram | -0.2943 |
Pivot Point Level | Traditional / Classic | Fibonacci | Demark | Woodie | Camarilla |
---|---|---|---|---|---|
Resistance 4 (R4) | 222.48 | ||||
Resistance 3 (R3) | 222.78 | 222.17 | 222.01 | ||
Resistance 2 (R2) | 222.17 | 221.46 | 222.01 | 221.86 | |
Resistance 1 (R1) | 220.93 | 221.02 | 220.63 | 220.63 | 221.70 |
Pivot Point | 220.32 | 220.32 | 220.16 | 220.16 | 220.32 |
Support 1 (S1) | 219.08 | 219.61 | 218.78 | 218.78 | 217.70 |
Support 2 (S2) | 218.47 | 219.17 | 218.31 | 217.54 | |
Support 3 (S3) | 217.23 | 218.47 | 217.39 | ||
Support 4 (S4) | 216.93 |