Technical Analysis for SNV - Synovus Financial Corp.
|See historical SNV trend table...|
|Date||Alert Name||Type||% Chg|
|Oct 18||New Uptrend||Bullish||0.67%|
|Oct 17||New Downtrend||Bearish||1.96%|
|Oct 17||Non-ADX 1,2,3,4 Bullish||Bullish Swing Setup||1.96%|
|Oct 16||NR7||Range Contraction||0.24%|
|Oct 16||1,2,3 Pullback Bullish||Bullish Swing Setup||0.24%|
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Synovus financial corp., a financial services and bank holding company, provides integrated financial services. Its integrated financial services include commercial and retail banking, financial management, insurance, and mortgage services. The company, through Synovus Bank, provides commercial and retail banking services. Its commercial banking services include cash management, asset management, capital markets, and institutional trust services, as well as commercial, financial, and real estate loans. The company's retail banking services consists of accepting customary types of demand and savings deposits; mortgage, installment, and other retail loans; investment and brokerage services; safe deposit services; automated banking services; automated fund transfers; Internet based banking services; and bank credit card services, including mastercard and visa services. It also offers various other financial services, including the portfolio management for fixed-income securities, investment banking, the execution of securities transactions as a broker/dealer, and the provision of individual investment advice on equity and other securities; trust services; and financial planning services. As of March 5, 2013, the company provided its services through 29 divisions, 280 offices, and approximately 400 automated teller machines in Georgia, Alabama, South Carolina, Florida, and Tennessee. Synovus Financial Corporation was founded in 1888 and is headquartered in Columbus, Georgia.
|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||47.32|
|52 Week Low||31.7811|
|200-Day Moving Average||42.4276|
|50-Day Moving Average||43.7594|
|20-Day Moving Average||46.107|
|10-Day Moving Average||46.686|
|Average True Range||0.7389|
|Chandelier Exit (Long, 3 ATRs )||45.1033|
|Chandelier Exit (Short, 3 ATRs )||45.3667|
|Upper Bollinger Band||47.9847|
|Lower Bollinger Band||44.2293|
|Percent B (%b)||0.67|
|MACD Signal Line||0.9427|
|Market Cap||5.68 Billion|
|Num Shares||122 Million|
|Price-to-Earnings (P/E) Ratio||21.25|
|Pivot Point Level||Traditional / Classic||Fibonacci||Demark||Woodie||Camarilla|
|Resistance 4 (R4)||47.83|
|Resistance 3 (R3)||47.72||47.27||47.65|
|Resistance 2 (R2)||47.27||47.00||47.32||47.59|
|Resistance 1 (R1)||47.01||46.83||47.14||47.12||47.53|
|Support 1 (S1)||46.30||46.29||46.43||46.41||45.99|
|Support 2 (S2)||45.85||46.12||45.90||45.93|
|Support 3 (S3)||45.59||45.85||45.87|
|Support 4 (S4)||45.70|