NYSE:IPHI - New York Stock Exchange, Inc. -
Taking everything into account, IPHI scores 7 out of 10 in our technical rating. Although IPHI is only a medium performer in the overall market, the technical picture looks good in both the medium and short term time frames.
Besides having an excellent technical rating, IPHI also presents a decent setup pattern. Prices have been consolidating lately. A pullback is taking place, which may present a nice opportunity for an entry. There is a support zone below the current price at 172.26, a Stop Loss order could be placed below this zone.
147.60
4 important support areas can be observed.
When analyzing the resistance we notice 2 important areas.
The Technical Rating and Setup analysis above combine different indicators and trends in different timeframes. Individual signals from indicators may give more contradictive signals and should always be interpreted in the more global context.
Indicator | Value | Signal | Comment |
---|---|---|---|
ChartMill Long Term Trend Indicator | UP | POSITIVE | The long term trend for IPHI is up. |
ChartMill Short Term Trend Indicator | NEUTRAL | NEUTRAL | The short term trend for IPHI is neutral. |
ChartMill Relative Strength | 61.58 | NEUTRAL | IPHI is not amongst the best or worst performers on the market. |
Simple Moving Average/SMA (20) | UP | MIXED | The current price of IPHI is below the rising SMA(20). |
Simple Moving Average/SMA (50) | UP | POSITIVE | The current price of IPHI is above the rising SMA(50). |
Simple Moving Average/SMA (200) | UP | POSITIVE | The current price of IPHI is above the rising SMA(200). |
Relative Strength Index/RSI (14) | 47.33 | NEUTRAL | The RSI value for IPHI is a neutral value. |
Moving Average Convergence Divergence/MACD (12, 26, 9) | -1.15 | NEGATIVE | The MACD value suggests IPHI has a negative trend. |
Stochastics (14,3) | 21.29 | NEUTRAL | The Stochastics value for IPHI is a neutral value. |
Average True Range in percent/ATR (20) | 2.35 | MEDIUM VOLATILITY | The ATR as a percentage value for IPHI suggests some volalility. |
Important!: this is just an example which is fully automatically generated based on the analysis above and should in no way be interpreted as a suggestion. Always make your own analysis and determine your own entry and exit points.
ENTRY | EXIT | DISTANCE | CAPITAL |
---|---|---|---|
178.52 | 171.96 | 6.56 (3.68%) | 25.00% |
An entry @178.52. This is a Buy Stop order right above the 10 day moving average. | An exit @171.96. This is a Stop Loss order right below the 10 day low. | The trade has a worst case loss of 6.56 points, which is 3.68%. | For a 0.92% total portfolio risk, you can invest 25.00% of your capital in this trade. |
172.27
-1.88 (-1.08%)