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RPAR Risk Parity ETF Stock Price Chart
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Sell
28
RPAR
RPAR Risk Parity ETF
Last Price:
19.21
Seasonality Move:
2.7%
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See the explosive "Document 20" details here.- Based on the share price being below its 5, 20 & 50 day exponential moving averages, the current trend is considered strongly bearish and RPAR is experiencing slight buying pressure.
RPAR Risk Parity ETF Price Chart Indicators
Moving Averages | Level | Buy or Sell |
---|---|---|
8-day SMA: | 19.52 | Sell |
20-day SMA: | 19.7 | Sell |
50-day SMA: | 20.08 | Sell |
200-day SMA: | 19.42 | Sell |
8-day EMA: | 19.46 | Sell |
20-day EMA: | 19.68 | Sell |
50-day EMA: | 19.87 | Sell |
200-day EMA: | 19.53 | Sell |
RPAR Risk Parity ETF Technical Analysis Indicators
Chart Indicators | Level | Buy or Sell |
---|---|---|
MACD (12, 26): | -0.2 | Sell |
Relative Strength Index (14 RSI): | 33.1 | Sell |
Chaikin Money Flow: | 4784 | - |
Bollinger Bands | Level | Buy or Sell |
---|---|---|
Bollinger Bands (25): | (19.52 - 20.06) | Sell |
Bollinger Bands (100): | (19.43 - 20.27) | Sell |
RPAR Risk Parity ETF Technical Analysis
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04 | 05 | 06 | 07 | 08 | 11 | 12 | 13 | 14 | 15 | |
Technical Analysis: Buy or Sell? | ||||||||||
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50-day SMA: | ||||||||||
200-day SMA: | ||||||||||
8-day EMA: | ||||||||||
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MACD (12, 26): | ||||||||||
Relative Strength Index (14 RSI): | ||||||||||
Bollinger Bands (25): | ||||||||||
Bollinger Bands (100): |
Technical Analysis for RPAR Risk Parity ETF Stock
Is RPAR Risk Parity ETF Stock a Buy?
- RPAR Risk Parity ETF share price is 19.22 while RPAR 8-day simple moving average is 19.52, which is a Sell signal.
- The stock price of RPAR is 19.22 while RPAR Risk Parity ETF 20-day SMA is 19.70, which makes it a Sell.
- RPAR Risk Parity ETF 50-day simple moving average is 20.08 while RPAR share price is 19.22, making it a Sell technically.
- RPAR stock price is 19.22 and RPAR Risk Parity ETF 200-day simple moving average is 19.42, creating a Sell signal.
RPAR Technical Analysis vs Fundamental Analysis
Sell
28
RPAR Risk Parity ETF (RPAR)
is a Sell
Is RPAR Risk Parity ETF a Buy or a Sell?
-
RPAR Risk Parity ETF stock is rated a Sell
The current RPAR Risk Parity ETF [RPAR] share price is $19.22. The Score for RPAR is 28, which is 44% below its historic median score of 50, and infers higher risk than normal.
RPAR Risk Parity ETF Stock Info
Market Cap:
0
Price in USD:
19.22
Share Volume:
13.48K
RPAR Risk Parity ETF 52-Week Range
52-Week High:
20.79
52-Week Low:
17.81
Sell
28
RPAR Risk Parity ETF (RPAR)
is a Sell
RPAR Risk Parity ETF Share Price Forecast
-
What is the RPAR Risk Parity ETF stock price today?
The RPAR Risk Parity ETF stock price is 19.22 USD today. -
Will RPAR stock go up or go down?
RPAR Risk Parity ETF> share price is forecast to RISE/FALL based on technical indicators -
Is RPAR Risk Parity ETF overvalued?
According to simple moving average, exponential moving average, oscillators, and other technical indicators, RPAR Risk Parity ETF is overvalued.
Is RPAR Risk Parity ETF Stock a Buy?
- RPAR Risk Parity ETF share price is 19.22 while RPAR 8-day exponential moving average is 19.46, which is a Sell signal.
- The stock price of RPAR is 19.22 while RPAR Risk Parity ETF 20-day EMA is 19.68, which makes it a Sell.
- RPAR Risk Parity ETF 50-day exponential moving average is 19.87 while RPAR share price is 19.22, making it a Sell technically.
- RPAR stock price is 19.22 and RPAR Risk Parity ETF 200-day simple moving average is 19.53, creating a Sell signal.
Technical Analysis of RPAR Risk Parity ETF
Should I short RPAR Risk Parity ETF stock?
- RPAR Moving Average Covergence Divergence (MACD) indicator is -0.2, suggesting RPAR Risk Parity ETF is a Sell
- RPAR Risk Parity ETF Relative Strength Index (RSI) is 33.1, which suggest RPAR Risk Parity ETF is oversold
- The Bollinger Bands (25) for RPAR Risk Parity ETF is (19.52 - 20.06), which suggest RPAR Risk Parity ETF is a Sell
- The Bollinger Bands (100) for RPAR Risk Parity ETF is (19.43 - 20.27), which suggest RPAR Risk Parity ETF is a Sell
* RPAR Risk Parity ETF stock forecasts short-term for next days and weeks may differ from long term prediction for next month and year based on timeline differences.