There wasn't too much excitement in Vodafone Group today which only managed to move up 0.30% on the day.
Currently VOD isn't at a clear support/resistance line that seems tradable. Momentum wise Vodafone Group, has been oscillating up and down but hasn't shown much directional energy that would be predictive to the near future. VOD might find some support at the 9.01 level, buyers might push the price back up from here. But it's not very clear what will happen.
Overall, the analysts have a more negative view on Vodafone Group but it's not a very strong negative. The current Analysts Sentiment Score is -20.41. Most companies range between (-200 to 200).
Here's a break down of the latest rating changes. BNP Paribas submitted an upgrade of Underperform ➝ Neutral on 2023-06-28. Citigroup initiated a rating of Neutral on 2023-04-04. On 2023-02-02 Barclays decreased their price target to 120115. JPMorgan Chase & Co. provided a price target drop to 9795 on 2023-02-02. Deutsche Bank Aktiengesel dropped their 1 year price target to 215195 on 2023-01-23. Bank of America submitted an upgrade of Neutral ➝ Buy on 2023-01-12. Berenberg Bank lowered their price target to 115100 on 2023-01-09. The Goldman Sachs Group downgraded the stock of Conviction-Buy ➝ Buy on 2022-12-14. Credit Suisse Group downgraded the stock of Outperform ➝ Underperform on 2022-11-22. Oddo Bhf submitted an upgrade of Neutral ➝ Outperform on 2022-10-04.
Composite analyst sentiment score
|Positive Ratings||Negative Ratings||Boost Price Target||Lower Price Target|
|Company||YOY Growth Score (typical -20 to +20)||Revision Directions (-6 to +6)|
We take into account several different measures of short interest to create a composite score. These measures are shown in the chart below. Short selling is when investors are betting against a stock. We compile these factors to create a dynamic Short Score - this can indicate poor sentiment, internal problems with a company or industry and the anticipation of future price declines. We look at the short interest percent, days to cover, the rate of change and total shares sold short.
|Company|| Short Score (typical 1-15)
We take into account several different measures and attributes of short interest to create a composite sentiment score. typical range (0 - 30)
|Short Interest||Days to Cover||Rate of Change||Shares Short|
Social Sentiment is an aggregation of several different factors such as news, articles, blogs, user content, ratings, etc. Which is shown in the chart below. It may become predictive of a reversal if price and the sentiment diverge. Broader market forces may push prices up or down but if market participants maintain a different view on a specific stock, it may be taken as an opportunity to buy or sell in those cases.
|Company||Score||1 Day%||5 Day||1 Month||3 Month||6 Month||1 Year||RSI|| 3mo S-momo ?
Smooth Momentum is our proprietary technical indicator that looks for momentum with the greatest consistency and steady velocity. We have penalized dramatic swings and fluctuations. If the momentum is too high and an asset spikes upward, this is often unreliable and collapses back down. But the smoothed momentum provides the highest probability of continuing into the near future with the same directional rate of change. Several complex factors are weighted by neural nets to maximize probabilistic accuracy. It works the same with positive or negative directions.
|6mo S-momo||1yr S-momo|| Resistance ?
Support and Resistance levels are determined by previous high and low points. You may be familiar with traders drawing lines across charts where several peaks or valleys occur in the same range. This helps us understand the trading range of an asset where the market doesn't perceive it to be worth more or less than a certain price level. When it nears the boundaries of this range the probability of reversal can increase. Our neural nets create scores for this measure based on many factors such as the frequency, recency, size, consistency, etc of previous reversal points.
|Support|| Demark Sell ?
Demark 9 indicators are designed to look for exhaustion in the selling or buying trend which can often be predictive of a reversal point. This indicator is triggered when there are 9 consecutive days where the closing price is higher/lower than the closing price 4 days ago. Like all indicators, it is best used in combinations with other factors.
|Demark Buy||Short Interest Score|
|TEF | Telefonica, S.A.||0.98||-1.15||0.71||8.91||7.54||5.68||19.89||87||1.41||2.27||5.81||-11141.05||-8777.12||125||0||1.21295|
|AGO | Assured Guaranty, LTD||0.71||0.53||1.02||4.83||9.05||29.13||21.69||70||15.01||10.56||18.05||-2489.59||-4826.48||0||0||2.61665|
|ORAN | Orange||0.67||-1.34||-0.34||6.68||1.46||2.07||22.51||66||1.89||1.54||4.90||-7528.96||-2245.54||0||0||0.378903|
|PVH | PVH Corp.||0.66||-0.50||-2.41||-3.46||-9.89||3.57||47.88||76||7.77||21.06||34.76||-1181.50||-2024.23||0||0||2.94924|
|CNA | CNA Financial Corporation||0.66||0.07||0.50||3.19||4.74||8.40||7.45||60||-0.47||1.06||2.76||-14422.39||-4794.13||0||0||1.751|
|COF | Capital One Financial||0.65||-0.67||-4.20||-2.56||-10.06||8.65||2.93||54||0.17||3.94||11.85||-1957.38||-4126.52||0||0||2.09527|
|LILAK | Liberty Latin America Ltd||0.65||-1.34||-1.70||-6.03||-6.57||3.18||30.43||59||15.87||16.09||17.12||-1316.07||-9947.26||0||0||3.39116|
|GL | Globe Life Inc.||0.65||0.15||0.00||-1.11||1.17||3.31||7.22||46||2.29||2.62||3.81||-3467.49||-18107.65||0||0||0.93023|
How to use: use the research links to research the asset. Then simply type in a score for each category between (01, 02, 03, 04, 05). 05 being the most bullish and 01 being the most bearish. It will automatically calculate the average and combine it with the technical score to create an overall score to rank prospects by. You can also type notes into each field.