Long Trend
-21.4% vs 200d
MSFT is trading below its 200-day SMA, which points to a weaker long-term trend.
Each technical signal contributes a buy, sell, or hold call.
-21.4% vs 200d
MSFT is trading below its 200-day SMA, which points to a weaker long-term trend.
385.50 / 403.24
Price is below the 20-day average and the 20-day average is below the 50-day average, which signals short-term technical deterioration.
39.5
RSI is in a neutral zone, so it is not giving a strong mean-reversion signal.
-11.43 vs -11.03
MACD is below its signal line and the histogram is negative, which points to weakening momentum.
351.81 - 419.18
Price is still inside the Bollinger range, so volatility bands are not signaling an extreme.
410.68 / 356.77
Price is between the recent breakout and breakdown levels, so the breakout system is neutral.