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SPDR Select Sector Fund - Consumer Staples (XLP) - Buy, Sell or Hold?

Trade DateCurrent Candlestick PatternPrevious Candlestick PatternWhenPerformance Since
Fri, 17 Nov 2017NoneMorning StarTue, 07 Nov 20173.01%
***Stock database and scans are updated around midnight (New York time) every trading day.
54.76 0.00 (0%) Nov 17 4:00pm EDT
Open: 54.80 Range: 54.65 - 54.95 Vol: 7.3M Avg Vol: 10.89M
EPS: 7.58 P/E ratio: 0.00 EBITDA: N/A Mkt Cap: N/A
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Short Term: Trend is Up
Last Trade is above the 5 day moving average at 54.66
Medium Term: Trend is Up
Last Trade is above the 20 day moving average at 53.69
Last Trade is above the 50 day moving average at 54.15
Long Term: Trend is Down
Last Trade is below the 200 day moving average at 54.91
* Data normalized for Splits & Dividends. Report data issues
How to use this info: Stock Timing With Moving Averages
Daily Chart of XLP

ETF Trend Analysis - Buy, Sell or Hold "SPDR Select Sector Fund - Consumer Staples" (XLP)?

XLP is trading below its 200 day moving average and objectively, many will consider the long term trend to be down. Care must however be taken with this view as in its last 52 week trading history, it is noted that XLP has been range bound with a slight upward bias, having traded above the 200 SMA about 61% of the time. For the medium term, the 50 day moving average is generally in a trading range with a bearish downward bias. The 20 day moving average is also indicating range bound trading with a bearish bias. Objectively, as long as XLP is trading below its 200 SMA, rallies will be sold into and traders can expect a lot of resistance near the 200 SMA currently at 54.91. Technically there are too many uncertainties to recommend a buy on this stock at this moment. Click here for the latest support & resistance levels to help you finetune your entry into or exit out of "XLP".
Objective Technical Analysis by BannRonn TA LogicEngine ver 1.1. Last Updated - Fri, 17 Nov 2017
Exchange Traded Funds Above 200 Day Moving Average
TickerNameTrend AnalysisSupport/Resistance