tiprankstipranks
VF Corp (GB:0R30)
:0R30
UK Market

VF (0R30) Technical Analysis

Compare
0 Followers

Technical Sentiment

Overall Consensus
Buy
13Bullish
5Neutral
4Bearish
Technical Analysis Consensus
Buy
4Bullish
5Neutral
1Bearish
Moving Average Consensus
Buy
9Bullish
0Neutral
3Bearish
VF Corp’s (0R30) Moving Averages Convergence Divergence (MACD) indicator is 0.57, suggesting VF Corp is a Buy.
VF Corp’s (0R30) 20-Day exponential moving average is 25.14, while VF Corp’s (0R30) share price is $26.1, making it a Buy.
VF Corp’s (0R30) 50-Day exponential moving average is 23.84, while VF Corp’s (0R30) share price is $26.1, making it a Buy.

VF (0R30) Pivot Points

Feb 23, 2025, 06:40 AM
Name
S3
S2
S1
Pivot Points
R1
R2
R3
Classic
24.58
25.10
25.60
26.12
26.62
27.14
27.64
Fibonacci
25.10
25.49
25.73
26.12
26.51
26.75
27.14
Pivot points are a technical analysis tool used by traders to identify potential support and resistance levels in financial markets. Pivot points are calculated based on the previous day's high, low, and close prices, and are used to help traders identify levels at which the price may reverse or continue to trend.

VF (0R30) Moving Averages

Feb 23, 2025, 06:40 AM
Period
Simple
Exponential
MA5
25.92Sell
25.73Sell
MA10
25.30Buy
25.52Sell
MA20
25.38Buy
25.14Buy
MA50
23.65Buy
23.84Buy
MA100
21.80Buy
22.09Buy
MA200
18.61Buy
19.21Buy
VF Corp’s (0R30) 10-Day exponential moving average is 25.52, while VF Corp’s (0R30) share price is $26.1, making it a Sell.
VF Corp’s (0R30) 100-Day exponential moving average is 22.09, while VF Corp’s (0R30) share price is $26.1, making it a Buy.
VF Corp’s (0R30) stock price is $26.1 and VF Corp’s (0R30) 50-day simple moving average is 23.65, creating a Buy signal.
VF Corp’s (0R30) stock price is $26.1 and VF Corp’s (0R30) 100-day simple moving average is 21.80, creating a Buy signal.
VF Corp’s (0R30) stock price is $26.1 and VF Corp’s (0R30) 200-day simple moving average is 18.61, creating a Buy signal.

VF (0R30) Technical Indicators

Feb 23, 2025, 06:40 AM
Name
Value
Implied Action
RSI (14)
55.18
Neutral
STOCH (9,6)
81.63
Sell
STOCHRSI (14)
77.28
Neutral
MACD (12,26)
0.57
Buy
ADX (14)
31.33
Neutral
Williams %R
-36.28
Buy
CCI (14)
36.82
Neutral
ATR (14)
0.98
-
Ultimate Oscillator
62.88
Neutral
ROC
1.64
Buy
VF Corp’s (0R30) Relative Strength Index (RSI) is 55.18, creating a Neutral signal.
VF Corp’s (0R30) Trend Strength Indicator (ADX) is 31.33, creating a Neutral signal.
VF Corp’s (0R30) Commodity Channel Index (CCI) is 36.82, creating a Neutral signal.
VF Corp’s (0R30) Price Rate of Change (ROC) is 1.64, creating a Buy signal.

FAQ

Is 0R30 a Buy, Hold, or Sell?
Based on 0R30’s technical indicators, 0R30 is a Buy.
    What is 0R30’s RSI (14)?
    0R30’s RSI (14) is 55.18, which suggests 0R30 is a Neutral.
      What is 0R30’s MACD?
      0R30’s MACD is 0.57, which suggests 0R30 is a Buy.
        What is 0R30’s 5-day moving average?
        0R30’s 5-day moving average is 25.92, which suggests 0R30 is a Sell.
          What is 0R30’s 20-day moving average?
          0R30 20-day moving average is 25.38, which suggests 0R30 is a Buy.
            What is 0R30’s 50-day moving average?
            0R30’s 50-day moving average is 23.65, which suggests 0R30 is a Buy.
              What is 0R30’s 200-day moving average?
              0R30’s 200-day moving average is 18.61, which suggests 0R30 is a Buy.
                What is 0R30’s Williams % R (14)?
                0R30’s Williams % R (14) is -36.28, which suggests 0R30 is a Buy.
                  What is 0R30’s CCI (14)?
                  0R30’s CCI (14) is 36.82, which suggests 0R30 is a Neutral.
                    What is the share price of VF Corp?
                    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