US stock / ETF
Philip Morris International Inc.
PM · NYSE · USD
PM 1W chart
Market View
Weekly: EMA8/21/50 are in bullish alignment
Hold above $146.35 and reclaim $194.62.
Lose $146.35 and MACD turns lower again.
Market Context
Price is above EMA21
WeeklyRSI 62.9, MACD 1.169
WeeklyATR is $11.9 (6.17%)
WeeklyEMA Structure
BullishSignals
Momentum is strong
High volatility
Relative to 20-period average volume
Support/Resistance Distance
Key Levels
+7.02% · 1.1 ATR above latest close
+0.85% · 0.1 ATR above · 34-bar high
Price shown is delayed
-24.16% · 3.9 ATR below · 34-bar low
-30.33% · 4.9 ATR below latest close
Latest close ± ATR14
Indicators
Trend
Confirmation $186.22, invalidation $172.29
Trend strength is moderate
Price is above Supertrend
Cloud Span A / Span B
20-period breakout channel position
Volatility
High volatility
Width 24.42%
ATR channel lower / upper
Current Volatility Envelope
Levels / Risk
Nearest Upside Decision Level
Nearest Downside Decision Level
Momentum
Momentum is strong
Histogram is positive
%K / %D momentum cross
Overbought zone
Strong expansion
Setup is not extreme
Volume / Money Flow
Money flow is strong
20-period OBV slope
Relative to 20-period average volume
Trend
Confirmation $186.22, invalidation $172.29
Trend strength is moderate
Price is above Supertrend
Cloud Span A / Span B
20-period breakout channel position
Momentum
Momentum is strong
Histogram is positive
%K / %D momentum cross
Overbought zone
Strong expansion
Setup is not extreme
Volatility
High volatility
Width 24.42%
ATR channel lower / upper
Current Volatility Envelope
Volume / Money Flow
Money flow is strong
20-period OBV slope
Relative to 20-period average volume
Levels / Risk
Nearest Upside Decision Level
Nearest Downside Decision Level