Holding TSE:CAFR?
Track your performance easily

TSE:CAFR Technical Analysis

Summary of all the Indicators

Summary
Strong Buy
16Bullish
6Neutral
0Bearish
Oscillators
Buy
4Bullish
6Neutral
0Bearish
Moving Averages
Strong Buy
12Bullish
0Neutral
0Bearish
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) Moving Averages Convergence Divergence (MACD) indicator is 0.02, suggesting CIBC Active Investment Grade Floating Rate Bond ETF is a Buy.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) 20-Day exponential moving average is 19.87, making it a Buy.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) 50-Day exponential moving average is 19.81, making it a Buy.

CIBC Active Investment Grade Floating Rate Bond ETF (CAFR) Pivot Points

Oct 19, 2024, 01:54 AM
Name
S3
S2
S1
Pivot Points
R1
R2
R3
Classic
19.91
19.91
19.91
19.91
19.91
19.91
19.91
Fibonacci
19.91
19.91
19.91
19.91
19.91
19.91
19.91

CIBC Active Investment Grade Floating Rate Bond ETF (CAFR) Moving Averages

Oct 19, 2024, 01:54 AM
Period
Simple
Exponential
MA5
19.89Buy
19.90Buy
MA10
19.88Buy
19.89Buy
MA20
19.88Buy
19.87Buy
MA50
19.82Buy
19.81Buy
MA100
19.71Buy
19.71Buy
MA200
19.50Buy
19.50Buy
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) 10-Day exponential moving average is 19.89, making it a Buy.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) 100-Day exponential moving average is 19.71, making it a Buy.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) 50-day simple moving average is 19.82, creating a Buy signal.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) 100-day simple moving average is 19.71, creating a Buy signal.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) 200-day simple moving average is 19.50, creating a Buy signal.

CIBC Active Investment Grade Floating Rate Bond ETF (CAFR) Technical Analysis

Oct 19, 2024, 01:54 AM
Name
Value
Action
RSI (14)
62.93
Neutral
STOCH (9,6)
62.82
Neutral
STOCHRSI (14)
62.82
Neutral
MACD (12,26)
0.02
Buy
ADX (14)
32.42
Neutral
Williams %R
-34.62
Buy
CCI (14)
35.91
Neutral
ATR (14)
0.07
-
Ultimate Oscillator
47.99
Neutral
ROC
0.25
Buy
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) Relative Strength Index (RSI) is 62.93, creating a Neutral signal.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) Trend Strength Indicator (ADX) is 32.42, creating a Neutral signal.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) Commodity Channel Index (CCI) is 35.91, creating a Neutral signal.
CIBC Active Investment Grade Floating Rate Bond ETF’s (CAFR) Price Rate of Change (ROC) is 0.25, creating a Buy signal.

FAQ

Is CAFR a Buy, Hold, or Sell?
Based on CAFR’s technical indicators, CAFR is a Strong Buy.
    What is CAFR’s RSI (14)?
    CAFR’s RSI (14) is 62.93, which suggests CAFR is a Neutral.
      What is CAFR’s MACD?
      CAFR’s MACD is 0.02, which suggests CAFR is a Buy.
        What is CAFR’s 5-day moving average?
        CAFR’s 5-day moving average is 19.89, which suggests CAFR is a Buy.
          What is CAFR’s 20-day moving average?
          CAFR 20-day moving average is 19.88, which suggests CAFR is a Buy.
            What is CAFR’s 50-day moving average?
            CAFR’s 50-day moving average is 19.82, which suggests CAFR is a Buy.
              What is CAFR’s 200-day moving average?
              CAFR’s 200-day moving average is 19.50, which suggests CAFR is a Buy.
                What is CAFR’s Williams % R (14)?
                CAFR’s Williams % R (14) is -34.62, which suggests CAFR is a Buy.
                  What is CAFR’s CCI (14)?
                  CAFR’s CCI (14) is 35.91, which suggests CAFR is a Neutral.
                    What am I Missing?
                    Make informed decisions based on Top Analysts' activity
                    Know what industry insiders are buying
                    Get actionable alerts from top Wall Street Analysts
                    Find out before anyone else which stock is going to shoot up
                    Get powerful stock screeners & detailed portfolio analysis