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Technical Analysis Highlights - Jarir Marketing Co.
By KlickAnalytics Data Insights | May 31, 2024 07:41AM ET
Technical Indicators
Technical Indicators - Analysis
| Data | Analysis |
|---|---|
| Trend based on SMA 50/200 | Downtrend |
| RSI (14 days): 25.25 | Oversold - Possible Buy Signal |
| Bollinger Bands %b: 0.19 | No clear signal |
| RSI (14 days): 25.25 | Oversold - Possible Buy Signal |
| MACD: -0.32 | Bearish - Potential Sell Signal |
| Average Directional Index (ADX): 38.76 | Trend strength is significant |
| Commodity Channel Index (CCI): -102.24 | Oversold - Potential Buy Signal |
Volatility - Analysis
| Data | Analysis |
|---|---|
| Volatility (7 days) | 0.58% |
| Volatility (30 days) | 0.96% |
| Volatility (60 days) | 0.97% |
| Volatility (90 days) | 0.86% |
| Volatility (180 days) | 0.96% |
| Volatility (365 days) | 1.07% |
| Volatility (year-to-date) | 0.86% |
Volume - Analysis
| Data | Analysis |
|---|---|
| Highest Volume (7 days) | 3,157,913 on 05-07-2024 (6 days ago) |
| Lowest Volume (7 days) | 1,280,426 on 05-12-2024 (1 days ago) |
| Highest Volume (30 days) | 4,727,774 on 04-21-2024 (22 days ago) |
| Lowest Volume (30 days) | 934,279 on 03-28-2024 (46 days ago) |
| Highest Volume (60 days) | 5,616,110 on 02-19-2024 (84 days ago) |
| Lowest Volume (60 days) | 934,279 on 03-28-2024 (46 days ago) |
| Highest Volume (90 days) | 5,616,110 on 02-19-2024 (84 days ago) |
| Lowest Volume (90 days) | 671,420 on 02-04-2024 (99 days ago) |
| Highest Volume (180 days) | 5,616,110 on 02-19-2024 (84 days ago) |
| Lowest Volume (180 days) | 671,420 on 02-04-2024 (99 days ago) |
| Highest Volume (365 days) | 18,914,332 on 05-31-2023 (348 days ago) |
| Lowest Volume (365 days) | 33,637 on 03-05-2023 (435 days ago) |
| Highest Volume (year-to-date) | 5,616,110 on 02-19-2024 (84 days ago) |
| Lowest Volume (year-to-date) | 671,420 on 02-04-2024 (99 days ago) |
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MCP, CLI and API
The same command catalogue from Claude, your own agent, a shell or your pipeline. The answer on screen is the answer your job gets at 4am.
You ask
“How does NVDA usually trade through earnings?”
It calls
→ ka.options_expected_move(NVDA)
It answers
NVDA has averaged a 9.2% absolute move on the day after earnings and closed higher 67% of the time. Two in three reactions land between −4.2% and +16.3% — the distribution is skewed right, not symmetric.
Every figure computed live from our own history — not scraped, not summarised.
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