Technical Analysis for MNP - Martin Currie Global Portfolio Trust Plc
Grade | Last Price | % Change | Price Change |
---|---|---|---|
B | 387.00 | -0.26% | -1.00 |
Earnings due: Apr 4
*** please verify all earnings dates ***ADX | Long Term | Intermediate Term | Short Term |
---|---|---|---|
Strong | Up | Up | Flat |
Date | Alert Name | Type | % Chg |
---|---|---|---|
NR7 | Range Contraction | 0.00% | |
Inside Day | Range Contraction | 0.00% | |
20 DMA Support | Bullish | -0.26% | |
Three Weeks Tight | Range Contraction | -0.26% | |
Outside Day | Range Expansion | -0.26% | |
Overbought Stochastic | Strength | -0.26% | |
Gapped Down | Weakness | -0.26% | |
Boomer Buy Setup | Bullish Swing Setup | -0.77% | |
NR7 | Range Contraction | -0.77% | |
Inside Day | Range Contraction | -0.77% |
Alert | Time |
---|---|
Possible Inside Day | about 13 hours ago |
Possible NR7 | about 13 hours ago |
10 DMA Resistance | about 17 hours ago |
Rose Above 10 DMA | about 18 hours ago |
Fell Below 10 DMA | 4 days ago |
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Martin Currie Global Portfolio Trust Plc Description
Martin Currie Global Portfolio Trust plc is a United Kingdom-based investment trust. The Company's objective is to achieve long-term capital growth in excess of the capital return of the Financial Times Stock Exchange (FTSE) World index. It offers investors a core equity portfolio. The Company invests in global equities for long-term growth and is diversified across approximately 60 individual holdings. It invests in large capitalization equities; companies, which are market leaders in their industries and have superior share price appreciation potential due to earnings, assets or valuation anomalies. It invests in a range of sectors, such as financials, consumer services, industrials, technology, healthcare, telecommunications, oil and gas, consumer goods, basic materials and utilities. It invests in North America, the United Kingdom, Asia Pacific, Japan, Global Emerging Markets and the Middle East. Martin Currie Investment Management Limited is the investment manager of the Company.
Classification
Sector: Financial Services
Industry: Asset Management
Keywords: Investment Management Health Oil Healthcare Gas Consumer Emerging Market Oil And Gas Investment Trust Communication Telecommunications Communications FTSE Utilities Financials Consumer Goods Ftse 100 Index Valuation Consumer Services Appreciation Ftse Fledgling Index Ftse Smallcap Index Earnings Financial Times The Financial Times
Indicator | Bull Case | Neutral / Hold | Bear Case |
---|---|---|---|
50 DMA | |||
200 DMA | |||
ADX Trend | |||
Oversold / Overbought | |||
Relative Strength |
Indicator | Value |
---|---|
52 Week High | 393.964 |
52 Week Low | 294.6321 |
Average Volume | 120,137 |
200-Day Moving Average | 339.75 |
50-Day Moving Average | 366.24 |
20-Day Moving Average | 384.73 |
10-Day Moving Average | 388.45 |
Average True Range | 7.05 |
RSI (14) | 59.02 |
ADX | 32.77 |
+DI | 19.31 |
-DI | 16.14 |
Chandelier Exit (Long, 3 ATRs) | 372.80 |
Chandelier Exit (Short, 3 ATRs) | 389.16 |
Upper Bollinger Bands | 396.37 |
Lower Bollinger Band | 373.08 |
Percent B (%b) | 0.6 |
BandWidth | 6.05 |
MACD Line | 6.35 |
MACD Signal Line | 7.39 |
MACD Histogram | -1.0423 |
Pivot Point Level | Traditional / Classic | Fibonacci | Demark | Woodie | Camarilla |
---|---|---|---|---|---|
Resistance 4 (R4) | 393.00 | ||||
Resistance 3 (R3) | 393.00 | 391.00 | 392.00 | ||
Resistance 2 (R2) | 391.00 | 389.47 | 391.00 | 391.67 | |
Resistance 1 (R1) | 389.00 | 388.53 | 388.00 | 389.00 | 391.33 |
Pivot Point | 387.00 | 387.00 | 386.50 | 387.00 | 387.00 |
Support 1 (S1) | 385.00 | 385.47 | 384.00 | 385.00 | 382.67 |
Support 2 (S2) | 383.00 | 384.53 | 383.00 | 382.33 | |
Support 3 (S3) | 381.00 | 383.00 | 382.00 | ||
Support 4 (S4) | 381.00 |