THE PROCTER & GAMBLE CO.: MURREY ANALYSIS

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THE PROCTER & GAMBLE CO.: MURREY ANALYSIS
Scenario
TimeframeWeekly
RecommendationBUY STOP
Entry Point162.55
Take Profit165.62, 168.75
Stop Loss160.40
Key Levels153.12, 154.69, 157.81, 162.50, 165.62, 168.75
Alternative scenario
RecommendationSELL STOP
Entry Point157.80
Take Profit154.69, 153.12
Stop Loss159.70
Key Levels153.12, 154.69, 157.81, 162.50, 165.62, 168.75

Current trend

Shares of The Procter & Gamble Co., one of the leaders in the consumer goods market, are moving within a long-term ascending channel: in the middle of the month they dropped to its lower limit of 153.12 (Murrey level [2/8]), reversed, and reached the upper limit of the main trading range Murrey 162.50 (Murrey level [8/8]), after consolidating above which growth may the area of 165.62 (Murrey level [ 2/8]) and 168.75 (Murrey level [7/8], W1). After a breakdown of the key “bearish” level of 157.81 (Murrey level [5/8]), supported by the middle line of Bollinger bands, a decline to the area of 154.69 (Murrey level [3/8]) and 153.12 (Murrey level [2/8]) is possible.

Technical indicators do not give a single signal: Bollinger Bands reversed horizontally, the MACD histogram entered the positive zone, but Stochastic is preparing to leave the overbought zone, not excluding a correction.

Support and resistance

Resistance levels: 162.50, 165.62, 168.75.

Support levels: 157.81, 154.69, 153.12.

THE PROCTER & GAMBLE CO.: MURREY ANALYSIS

Trading tips

Long positions may be opened above 162.50, with the targets at 165.62, 168.75, and stop loss 160.40. Implementation time: 5–7 days.

Short positions may be opened below 157.81, with the targets at 154.69, 153.12, and stop loss 159.70.


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