NASDAQ Composite Index (COMP)

NASDAQ Composite Index Summary Technical Analysis Report

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Summary Technical Analysis Report - NASDAQ Composite Index


     

Below are the results (quotes) of the price, volume, advance/decline based technical analysis as well as analysis of volatility applied to the COMP index. Analysis is based on daily quotes. For intraday analysis it is recommended consulting our real-time index charts.

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NASDAQ Composite Index (^COMP)

Select Index:
Time (ET)LastChangeOpenHighLowVolume
Wednesday, June 19, 2013 16:003,443.20-38.98 (-1.12%)3,483.593,485.453,443.201,485,972K

NASDAQ Comp. Technical Analysis

Price Based Technical Analysis

NASDAQ Composite Index (^COMP) Exponential Moving Averages Analysis

IndicatorLastChangeSentiment*
5-day Moving Average 3,449.29 8.55 (0.25%) Bearish
10-day Moving Average 3,445.09 4.17 (0.12%) Bearish
20-day Moving Average 3,452.42 -2.95 (-0.09%) Bearish
50-day Moving Average 3,387.59 4.11 (0.12%) Bullish
130-day Moving Average 3,243.77 3.24 (0.10%) Bullish
260-day Moving Average 3,119.45 2.56 (0.08%) Bullish
*  In technical analysis, a Moving Average is considered to be bullish when it moves below the price trend. Conversely, a Moving Average is considered to be Bearish when it moves above the price trend.

NASDAQ Composite Index (^COMP) MACD(12,26) Analysis

IndicatorLastChangeSentiment*
EMA(12): Fast Exponential MA 3,447.78 -0.83 (-0.02%) MACD sentiment is Bearish
EMA(26): Slow Exponential MA 3,435.35 0.63 (0.02%)
MACD (12,26) 12.43 -1.46 (-10.52%)
MACD Signals: EMA(9) applied to MACD 17.55 -1.28 (-6.80%)
MACD Histogram -5.12 -0.18 (3.65%)
*  In technical analysis, the MACD is considered to be bullish when it moves above the Signals Line. Conversely, the MACD is considered to be Bearish when it moves below the Signal Line.

NASDAQ Composite Index (^COMP) Stochastics Analysis

IndicatorRaw
Stochastics
Stochastics
%K
Stochastics
%D
Sentiment*
9-day Stochastics 55.20 72.99 66.68 Bullish, yet close to become Bearish
14-day Stochastics 53.06 64.89 56.74 Bullish, yet close to become Bearish
20-day Stochastics 42.24 52.62 47.12 Bearish
*  In technical analysis, Stochastics is considered to be bullish when it moves above 80%. Conversely, Stochastics is considered to be Bearish when it moves below 20%.

NASDAQ Composite Index (^COMP) RSI (Relative Strength Index) Analysis

IndicatorAverage
Gain
Average
Loss
Relative Strength
(RS)
Relative Strength
Index (RSI)
Sentiment*
9-day Strength 17.03 14.90 1.14 53.33 Bullish
14-day Strength 13.24 16.67 0.79 44.26 Bearish
20-day Strength 11.94 14.89 0.80 44.51 Bearish, yet close to become Bullish
*  In technical analysis, RSI is considered to be bullish when it moves above 70%. Conversely, it is considered to be Bearish when it moves below 30%.

Volume Based Technical Analysis

NASDAQ Composite Index (^COMP) VO, PVO and MVO (Volume Oscillators) Analysis

The indicators below (VO, PVO and MVO) are based on the daily volume quotes it is recommended consulting them after the market closes when a daily volume bar is completed.
IndicatorVO*PVO*MVO*Sentiment**
9-day Volume Oscillator 1.04 4.48 1.34 No abnormal volume activity
14-day Volume Oscillator 0.98 -1.71 0.00 No abnormal volume activity
20-day Volume Oscillator 0.97 -3.39 0.00 No abnormal volume activity
VO stands for Volume Oscillator, which is calculated as the difference between fast and slow moving averages.
PVO is a percentage representation of the Volume Oscillator.
MVO defines the strength of volume surges if they are discovered during the price move.
** Volume surges are leading indicators. As a rule, strong volume surges during the price decline (bearish volume surges) indicate heavy panic selling and may lead to an oversold condition and reversal upward. Conversely, a high volume during the price advance (bullish volume surge) indicates heavy greedy buying, which may lead to an overbought condition and a reversal downward..

NASDAQ Composite Index (^COMP) MFI (Money Flow Index) Analysis

IndicatorPositive
Money
Negative
Money
Money Ratio
(MR)
Money Flow Index
Index (MFI)
Sentiment*
9-day Strength 29,474,759 M 14,669,499 M 2.01 66.77 Bullish
14-day Strength 35,160,117 M 37,755,726 M 0.93 48.22 Bearish
20-day Strength 46,024,268 M 60,214,563 M 0.76 43.32 Bearish
*  In technical analysis, Money Flow is analyzed in the same way as RSI. The Money Flow Index (MFI) is considered to be bullish when it moves above 70%. Conversely, MFI is considered to be Bearish when it moves below 30%.

Advance/Decline Based Technical Analysis

NASDAQ Composite Index (^COMP) Advance/Decline Quotes

 
 

NASDAQ Composite Index (^COMP) Advance/Decline Sentiment Analysis

IndicatorLastSentiment*
Advance/Decline Issues Ratio 0.36 Negative
 
Advance/Decline Issues Percentage Oscillator -46.84 %
Advance/Decline Volume Ratio 0.39
Advance/Decline Volume Percentage Oscillator -43.99 %
Advance/Decline Sentiment 27.30 %
* The Advance/Decline Sentiment has been classified by categories that range from "Extremely Negative" to "Extremely Positive," based on the historical probability of a reversal where
- "Extremely Negative" indicates an extremely oversold market as a result of extreme panic selling with a high probability of a reversal upwards;
- "Neutral" indicates a stable trend;
- "Extremely Positive" indicates an extremely overbought market as a result of extremely greedy buying with a high probability of a downward reversal.

NASDAQ Composite Index (^COMP) TRIN Analysis

IndicatorLastSentiment*
TRIN 0.93 Trading activity in advancing stocks is approximately
the same as in declining stocks
Average Volume per Advancing Stock 768 K
Average Volume per Declining Stock 715 K
* The TRIN - also called the Arms Index - is a contrarian indicator. If the TRIN has a value greater than 1, it indicates a negative market sentiment. Conversely, values below 1 denote a positive sentiment.

Volatility Analysis

NASDAQ Composite Index (^COMP) True Range (TR), Average True Range (ATR) and ATR in percent

PeriodTRATR*ATR%Sentiment**
9-day Period 42.25 48.40 1.39 % Medium Volatility
14-day Period 42.25 48.12 1.38 % Medium Volatility
20-day Period 42.25 48.20 1.38 % Medium Volatility
*  As a rule, high volatility indicates a Bearish sentiment and is a characteristic of a down-trend. In contrast, low volatility indicates a Bullish sentiment and usually can be seen during up-trends.

NASDAQ Composite Index (^COMP) Standard Deviation (Historical Volatility)

IndicatorStandard
Deviation
Relative
Deviation
Annualized
Volatility
Sentiment*
9-day Period 24.29 0.70 % 11.18 Low Volatility
14-day Period 24.23 0.70 % 11.17 Low Volatility
20-day Period 24.95 0.72 % 11.47 Low Volatility
* Standard Deviation, also called Historical Volatility, is a measurement of the security's volatility over a specified period of time. The same as Average True Range, it helps to define periods of high low volatility.
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