PM
Philip Morris·NYSE
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3.67 / 10
Netural
Technically, PM is neutral with a 3.67/10 score. Recent bearish signals dominate: RSI Overbought (3.2/10) and MACD Golden Cross (3.6/10) both show negative historical returns (-0.13% and -0.80%, respectively), while the bullish Marubozu White pattern (4.2/10) offers limited upside (0.66% avg return). The indicator mix suggests indecision and volatility, warranting caution.
Analysis Checks(0/3)
RSI Overbought
Score3.2/10
Win Rate50.00%
Hist. Signals22
Avg Return-0.13%
Score3.2/10
Win Rate50.00%
Hist. Signals22
Avg Return-0.13%
Marubozu White
Score4.2/10
Win Rate50.00%
Hist. Signals4
Avg Return0.66%
Score4.2/10
Win Rate50.00%
Hist. Signals4
Avg Return0.66%
MACD Golden Cross
Score3.6/10
Win Rate53.33%
Hist. Signals15
Avg Return-0.80%
Score3.6/10
Win Rate53.33%
Hist. Signals15
Avg Return-0.80%
RSI Overbought
Score3.2/10
Win Rate50.00%
Hist. Signals22
Avg Return-0.13%
Score3.2/10
Win Rate50.00%
Hist. Signals22
Avg Return-0.13%
MACD Golden Cross
Score3.6/10
Win Rate53.33%
Hist. Signals15
Avg Return-0.80%
Score3.6/10
Win Rate53.33%
Hist. Signals15
Avg Return-0.80%
Marubozu White
Score4.2/10
Win Rate50.00%
Hist. Signals4
Avg Return0.66%
Score4.2/10
Win Rate50.00%
Hist. Signals4
Avg Return0.66%
Technical Analysis of PM?
- PM presents a Netural setup with a Technical Score of 3.67/10. Key technical indicators highlight an RSI of 71.24 and a MACD of 0.79, with the trend anchored by the 50-Day SMA at 163.48. Traders should monitor key support at 180.30 and resistance at 184.05.
