Technical Analysis for MYI - Murray International Trust Plc
Grade | Last Price | % Change | Price Change |
---|---|---|---|
F | 238.65 | 0.06% | 0.15 |
ADX | Long Term | Intermediate Term | Short Term |
---|---|---|---|
Weak or Absent | Down | Down | Down |
Date | Alert Name | Type | % Chg |
---|---|---|---|
Stochastic Buy Signal | Bullish | 0.06% | |
Lower Bollinger Band Walk | Weakness | 0.06% | |
New 52 Week Low | Weakness | 0.06% | |
Outside Day | Range Expansion | 0.06% | |
Gapped Up | Strength | 0.06% | |
Lower Bollinger Band Touch | Weakness | 0.06% | |
Oversold Stochastic | Weakness | 0.06% | |
Gapped Up | Strength | 0.48% | |
Down 3 Days in a Row | Weakness | 0.48% | |
Lower Bollinger Band Touch | Weakness | 0.48% |
Recent Intraday Alerts -- Get these alerts pushed to you via our Mobile App
Alert | Time |
---|---|
Up 1 ATR | about 1 hour ago |
Rose Above Previous Day's High | about 1 hour ago |
Gapped Up (Partial) | about 1 hour ago |
Up 1% | about 1 hour ago |
20 DMA Resistance | about 1 hour ago |
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Murray International Trust Plc Description
Murray International Trust PLC is an investment company. The investment objective of the Company is to achieve a total return greater than its benchmark by investing predominantly in equities worldwide. Its assets are invested in a diversified portfolio of international equities and fixed income securities spread across a range of industries and economies. It holds other securities, including index-linked securities, convertible securities, preference shares, unlisted securities, depositary receipts and other equity-related securities. The Company invests in various sectors, such as oil and gas, basic materials, industrials, consumer goods, healthcare, consumer services, telecommunications, utilities, financials and technology. It invests in various locations, including the United Kingdom, North America, Europe excluding the United Kingdom, Japan, Asia Pacific excluding Japan, Latin America and Africa. Aberdeen Fund Managers Limited acts as an investment manager for the Company.
Classification
Sector: Financial Services
Industry: Asset Management
Keywords: Health Oil Healthcare Gas Consumer Oil And Gas Communication Telecommunications Communications Financials Utilities Consumer Goods Consumer Services Depositary Receipts Depositary Receipt Economies
Indicator | Bull Case | Neutral / Hold | Bear Case |
---|---|---|---|
50 DMA | |||
200 DMA | |||
ADX Trend | |||
Oversold / Overbought | |||
Relative Strength |
Indicator | Value |
---|---|
52 Week High | 1378.524 |
52 Week Low | 235.5 |
Average Volume | 707,986 |
200-Day Moving Average | 735.96 |
50-Day Moving Average | 243.47 |
20-Day Moving Average | 242.13 |
10-Day Moving Average | 241.65 |
Average True Range | 3.89 |
RSI (14) | 41.86 |
ADX | 18.29 |
+DI | 15.11 |
-DI | 19.29 |
Chandelier Exit (Long, 3 ATRs) | 239.34 |
Chandelier Exit (Short, 3 ATRs) | 247.16 |
Upper Bollinger Bands | 248.03 |
Lower Bollinger Band | 236.22 |
Percent B (%b) | 0.19 |
BandWidth | 4.88 |
MACD Line | -1.32 |
MACD Signal Line | -0.85 |
MACD Histogram | -0.4647 |
Pivot Point Level | Traditional / Classic | Fibonacci | Demark | Woodie | Camarilla |
---|---|---|---|---|---|
Resistance 4 (R4) | 245.34 | ||||
Resistance 3 (R3) | 245.10 | 242.58 | 244.20 | ||
Resistance 2 (R2) | 242.58 | 240.84 | 242.70 | 243.82 | |
Resistance 1 (R1) | 240.54 | 239.76 | 239.28 | 240.78 | 243.44 |
Pivot Point | 238.02 | 238.02 | 237.39 | 238.14 | 238.02 |
Support 1 (S1) | 235.98 | 236.28 | 234.72 | 236.22 | 233.56 |
Support 2 (S2) | 233.46 | 235.20 | 233.58 | 233.18 | |
Support 3 (S3) | 231.42 | 233.46 | 232.80 | ||
Support 4 (S4) | 231.66 |