Technical Analysis for GLPI - Gaming and Leisure Properties, Inc.
|Grade||Last Price||% Change||Price Change|
GLPI closed up 0.74 percent on Thursday, January 17, 2019, on 52 percent of normal volume. Note that the stock is in overbought territory based on its Slow Stochastic indicator (14, 3, 3) -- sideways movement or a pullback should not be unexpected.
|Weak or Absent||Up||Up||Up|
|See historical GLPI trend table...|
|Date||Alert Name||Type||% Chg|
|Jan 17||Overbought Stochastic||Strength||0.00%|
|Jan 17||Up 3 Days in a Row||Strength||0.00%|
|Jan 16||Stochastic Sell Signal||Bearish||0.74%|
|Jan 16||200 DMA Support||Bullish||0.74%|
|Jan 16||Outside Day||Range Expansion||0.74%|
|Jan 16||Overbought Stochastic||Strength||0.74%|
|Jan 15||Crossed Above 200 DMA||Bullish||1.44%|
|Jan 15||Narrow Range Bar||Range Contraction||1.44%|
|Jan 15||NR7||Range Contraction||1.44%|
|Jan 15||NR7-2||Range Contraction||1.44%|
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GLPI is a newly formed company that was incorporated in Pennsylvania on February 13, 2013 by Penn. Following the spin-off, GLPI intends to make an election on its federal income tax return for its taxable year beginning on January 1, 2014 to be treated as a real estate investment trust (“REIT”). After such election, GLPI will be a publicly-traded, self-administered, self-managed REIT primarily engaged in the property business, which will consist of owning, acquiring, developing, expanding, managing and leasing gaming and related facilities. GLPI expects to be the first gaming-focused REIT, and expects to grow its portfolio by pursuing opportunities to acquire additional gaming facilities to lease to gaming operators, which may include Penn. GLPI also anticipates diversifying its portfolio over time, including by acquiring properties outside the gaming industry to lease to third parties.
|Indicator||Bull Case||Neutral / Hold||Bear Case|
|Oversold / Overbought|
|Summary:||Counts: 3 bullish, 0 bearish and 2 neutral indicators. You may wish to incorporate that into your trading strategies.|
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|52 Week High||36.97|
|52 Week Low||31.19|
|200-Day Moving Average||34.6134|
|50-Day Moving Average||33.6464|
|20-Day Moving Average||33.3315|
|10-Day Moving Average||34.216|
|Average True Range||0.6483|
|Chandelier Exit (Long, 3 ATRs )||33.3151|
|Chandelier Exit (Short, 3 ATRs )||33.1349|
|Upper Bollinger Band||35.4746|
|Lower Bollinger Band||31.1884|
|Percent B (%b)||0.93|
|MACD Signal Line||0.0794|
|Market Cap||7.48 Billion|
|Num Shares||213 Million|
|Price-to-Earnings (P/E) Ratio||19.76|
|Pivot Point Level||Traditional / Classic||Fibonacci||Demark||Woodie||Camarilla|
|Resistance 4 (R4)||35.83|
|Resistance 3 (R3)||35.78||35.52||35.72|
|Resistance 2 (R2)||35.52||35.36||35.54||35.68|
|Resistance 1 (R1)||35.35||35.25||35.44||35.40||35.65|
|Support 1 (S1)||34.92||34.93||35.01||34.97||34.71|
|Support 2 (S2)||34.66||34.82||34.68||34.68|
|Support 3 (S3)||34.49||34.66||34.64|
|Support 4 (S4)||34.54|