Technical Analysis for CPSS - Consumer Portfolio Services, Inc.
|Grade||Last Price||% Change||Price Change|
CPSS closed up 0.82 percent on Thursday, January 17, 2019, on 1.63 times normal volume. The stock crossed above its 200 day moving average, improving its long-term outlook by crossing above that critical trendline. Due to the stock's strong uptrend, it may remain overbought for a while. So, if you're looking for a reason to sell, don't put too much weight on it being overbought.
|See historical CPSS trend table...|
|Date||Alert Name||Type||% Chg|
|Jan 17||Crossed Above 200 DMA||Bullish||0.00%|
|Jan 17||Pocket Pivot||Bullish Swing Setup||0.00%|
|Jan 17||Overbought Stochastic||Strength||0.00%|
|Jan 16||200 DMA Resistance||Bearish||0.82%|
|Jan 16||180 Bullish Setup||Bullish Swing Setup||0.82%|
|Jan 16||Pocket Pivot||Bullish Swing Setup||0.82%|
|Jan 16||Overbought Stochastic||Strength||0.82%|
|Jan 15||Non-ADX 1,2,3,4 Bullish||Bullish Swing Setup||3.06%|
|Jan 15||Narrow Range Bar||Range Contraction||3.06%|
|Jan 15||Overbought Stochastic||Strength||3.06%|
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Consumer Portfolio Services, Inc., a specialty finance company, engages in purchasing and servicing retail automobile contracts originated by franchised automobile dealers and select independent dealers in the sale of new and used automobiles, light trucks, and passenger vans in the United States. The company, through its automobile contract purchases, provides indirect financing to the customers of dealers with limited credit histories, low incomes, or past credit problems. It serves as an alternative source of financing for dealers, facilitating sales to customers who might not be able to obtain financing. The company also purchases vehicle purchase money loans from non-affiliated lenders; and directly originates vehicle purchase money loans by lending money directly to consumers. Consumer Portfolio Services, Inc. provides its automobile contracts through its headquarters and three servicing branches in Virginia, Florida, and Illinois. The company was founded in 1991 and is headquartered in Irvine, California.
|Indicator||Bull Case||Neutral / Hold||Bear Case|
|Oversold / Overbought|
|Summary:||Counts: 4 bullish, 0 bearish and 1 neutral indicators. You may wish to incorporate that into your trading strategies.|
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|52 Week High||4.69|
|52 Week Low||2.99|
|200-Day Moving Average||3.6806|
|50-Day Moving Average||3.555|
|20-Day Moving Average||3.3845|
|10-Day Moving Average||3.603|
|Average True Range||0.1495|
|Chandelier Exit (Long, 3 ATRs )||3.2815|
|Chandelier Exit (Short, 3 ATRs )||3.4385|
|Upper Bollinger Band||3.8574|
|Lower Bollinger Band||2.9116|
|Percent B (%b)||0.84|
|MACD Signal Line||0.0056|
|Market Cap||84.34 Million|
|Num Shares||22.7 Million|
|Price-to-Earnings (P/E) Ratio||4.42|
|Pivot Point Level||Traditional / Classic||Fibonacci||Demark||Woodie||Camarilla|
|Resistance 4 (R4)||3.86|
|Resistance 3 (R3)||3.85||3.79||3.84|
|Resistance 2 (R2)||3.79||3.75||3.80||3.83|
|Resistance 1 (R1)||3.75||3.73||3.77||3.76||3.82|
|Support 1 (S1)||3.65||3.65||3.67||3.66||3.60|
|Support 2 (S2)||3.59||3.63||3.60||3.59|
|Support 3 (S3)||3.55||3.59||3.59|
|Support 4 (S4)||3.56|