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Buy or Sell Vystar Corp (VYST)? What Do the Pivots Reveal?





A “pivot point” is a technical analysis indicator used to find the overall trend of the market over different time periods.  A pivot point is simply the average of the high, low and closing prices from the previous trading day.  The following day, any trading above the pivot point indicates bullish trends, and trading below the pivot point indicates a bearish trend.  Pivot point analysis is used in alongside consideration of support and resistance levels.  The first support and resistance levels are found by utilizing the width of the trading range between the pivot point and the high or the low prices of the day’s trading.  Secondary support and resistance levels can be found using the full width between the high and low prices of the previous trading day. Pivot points are oft-used indicators for trading futures, commodities, and stocks.  They are static, remaining at the same price level throughout the day.  Five pivot point levels are generated by using data from the previous day’s trading range. 
These are composed of a pivot point and two higher pivot point resistances called R1 and R2 and also two lower pivot point supports called S1 and S2.  Vystar Corp (VYST)’s Pivot Point is 0.0694.  Its 1st Resistance Point is 0.0926 and its 2nd Resistance Point is 0.1101.  The 1st Support Point is 0.0519 while its 2nd Support Point is 0.0287.
Vystar Corp (VYST)’s Raw Stochastic, which shows (on a range of 0%-100%) where the price closed in relation to its price range over the last nine days is 33.59%. 
Their Stochastic %K, which indicates (on a range of 0%-100%) where the price closed in relation to its price range over the last nine days with a 3-period exponential moving average applied is 23.29%.  Finally, their Stochastic %D, the indicator that shows (on a range of 0%-100%) where the price closed in relation to its price range over the last nine days with a 3-period exponential moving average applied, is 40.50%.
Known also as statistical volatility, Historical Volatility is the realized volatility of a financial instrument over a specified period of time.  The measure is calculated by finding the average deviation from the average price of a commodity during a specified time period. 
Standard deviation is the most common, though not only, way to calculate historical volatility. Vystar Corp (VYST)’s 9-Day Historical Volatility is 773.77%, its 14-Day Historical Volatility is 652.82%, and looking back further, its 20-Day Historical Volatility is 628.54%.
Vystar Corp (VYST)’s TrendSpotter Opinion, the signal from Trendspotter, a Barchart trend analysis system that uses wave theory, market momentum & volatility in an attempt to find a general trend, is Buy. 
Barchart Opinions show financial specialists what an assortment of well known exchanging frameworks is recommending. These Opinions take as long as 2 years of recorded information and run the costs through thirteen specialized pointers. After every figuring, a purchase, move or hold an incentive for each investigation is doled out, contingent upon where the cost is in reference to the understanding of the examination. The present sentiment, the general flag dependent on where the value lies in reference to the normal elucidation of each of the 13 contemplates, for Vystar Corp (VYST) is 72% Buy.

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