Why PennyMac Financial Services, Inc. (NYSE:PFSI) Is Doing What It’s Doing (2019-12-23)

REPORTING FOR 2019-12-23 | WCX19.ORG: We have done an in-depth analysis of how PFSI has been trading over the last 2 weeks and the past day especially. On its latest session, PennyMac Financial Services, Inc. (NYSE:PFSI) opened at 33.94, reaching a high of 34.715 and a low of 33.94 before closing at a price of 34.45. There was a total volume of 514830.

VOLUME INDICATORS FOR PENNYMAC FINANCIAL SERVICES, INC. (NYSE:PFSI): We saw an accumulation-distribution index of 125.3556, an on-balance volume of -33.92, chaikin money flow of 1.0 and a force index of 0.4104. There was an ease of movement rating of 0.00326, a volume-price trend of 3.77601 and a negative volume index of 1000.0.

VOLATILITY INDICATORS FOR PENNYMAC FINANCIAL SERVICES, INC. (NYSE:PFSI): We noted an average true range of 0.37079, bolinger bands of 34.29654, an upper bollinger band of 33.19346, lower bollinger band of 33.94, a bollinger high band indicator of 1.0, bollinger low band indicator of 1.0, a central keltner channel of 34.19833, high band keltner channel of 33.42333, low band keltner channel of 34.97333, a high band keltner channel indicator of 1.0 and a low band keltner channel indicator of 1.0. There was a donchian channel high band of 33.94, a donchian channel low band of 33.94, a donchian channel high band indicator of 1.0, and a donchian channel low band indicator of 1.0.

TREND INDICATORS FOR PENNYMAC FINANCIAL SERVICES, INC. (NYSE:PFSI): We calculated a Moving Average Convergence Divergence (MACD) of -0.00875, a MACD signal of -0.00486, a MACD difference of -0.00389, a fast Exponential Moving Average (EMA) indicator of 33.94, a slow Exponential Moving Average (EMA) indicator of 33.94, an Average Directional Movement Index (ADX) of unknown, an ADX positive of 20.0, an ADX negative of 20.0, a positive Vortex Indicator (VI) of 1.0, a negative VI of 1.0, a trend vortex difference of 0.24135, a trix of 6.50863, a Mass Index (MI) of 1.0, a Commodity Channel Index (CCI) of -66.66667, a Detrended Price Oscillator (DPO) of -3.40089, a KST Oscillator (KST) of 111.36168 and a KST Oscillator (KST Signal) of 111.36168 (leaving a KST difference of -3.19263). We also found an Ichimoku rating of 34.3275, an Ichimoku B rating of 34.3275, a Ichimoku visual trend A of 31.71175, an Ichimoku visual trend B of 32.29518, an Aroon Indicator (AI) up of 4.0 and an AI indicator down of 4.0. That left a difference of -4.0.

MOMENTUM INDICATORS FOR PENNYMAC FINANCIAL SERVICES, INC. (NYSE:PFSI): We found a Relative Strength Index (RSI) of 50.0, a Money Flow Index (MFI) of 100.0, a True Strength Index (TSI) of 100.0, an ultimate oscillator of 100.0, a stochastic oscillator of 100.0, a stochastic oscillator signal of 100.0, a Williams %R rating of 557.14286 and an awesome oscillator of -0.05158.

RETURNS FOR PENNYMAC FINANCIAL SERVICES, INC. (NYSE:PFSI): There was a daily return of 11.13617, a daily log return of -1.15574 and a cumulative return of -1.14909.

What the heck does all of this mean? If you are new to technical analysis, the above may be gibberish to you, and that’s OK (though we do advise learning these things). The bottom line is that AS OF 2019-12-23 (if you are reading this later, the analysis will be out of date), here is what our deep analysis of technical indicators are telling us for PennyMac Financial Services, Inc. (NYSE:PFSI)…

DISCLAIMER: We are not registered investment advisers and the above analysis should be taken at face value only. We strongly advise against buying or selling PennyMac Financial Services, Inc. (NYSE:PFSI) based solely on our analysis above, and are not responsible for any losses that you may incur if you choose make any investment decisions based on the above.

Latest Technical Analysis For Solaris Oilfield Infrastructure, Inc. (NYSE:SOI) (2019-12-23)

REPORTING FOR 2019-12-23 | WCX19.ORG: We have done an in-depth analysis of how SOI has been trading over the last 2 weeks and the past day especially. On its latest session, Solaris Oilfield Infrastructure, Inc. (NYSE:SOI) opened at 14.55, reaching a high of 14.75 and a low of 14.16 before closing at a price of 14.25. There was a total volume of 823494.

VOLUME INDICATORS FOR SOLARIS OILFIELD INFRASTRUCTURE, INC. (NYSE:SOI): We saw an accumulation-distribution index of 92.94374, an on-balance volume of -14.47, chaikin money flow of 4.9 and a force index of 0.0156. There was an ease of movement rating of 0.00729, a volume-price trend of 2.14503 and a negative volume index of 1000.0.

VOLATILITY INDICATORS FOR SOLARIS OILFIELD INFRASTRUCTURE, INC. (NYSE:SOI): We noted an average true range of 0.30092, bolinger bands of 14.25142, an upper bollinger band of 13.96858, lower bollinger band of 14.16, a bollinger high band indicator of 1.0, bollinger low band indicator of nan, a central keltner channel of 14.48667, high band keltner channel of 14.28667, low band keltner channel of 14.68667, a high band keltner channel indicator of 1.0 and a low band keltner channel indicator of 1.0. There was a donchian channel high band of 14.16, a donchian channel low band of 14.16, a donchian channel high band indicator of 1.0, and a donchian channel low band indicator of 1.0.

TREND INDICATORS FOR SOLARIS OILFIELD INFRASTRUCTURE, INC. (NYSE:SOI): We calculated a Moving Average Convergence Divergence (MACD) of -0.00224, a MACD signal of -0.00125, a MACD difference of -0.001, a fast Exponential Moving Average (EMA) indicator of 14.16, a slow Exponential Moving Average (EMA) indicator of 14.16, an Average Directional Movement Index (ADX) of unknown, an ADX positive of 20.0, an ADX negative of 20.0, a positive Vortex Indicator (VI) of 1.0, a negative VI of 1.0, a trend vortex difference of 2.74359, a trix of 14.49922, a Mass Index (MI) of 1.0, a Commodity Channel Index (CCI) of -66.66667, a Detrended Price Oscillator (DPO) of -1.84126, a KST Oscillator (KST) of 149.46784 and a KST Oscillator (KST Signal) of 149.46784 (leaving a KST difference of -2.02943). We also found an Ichimoku rating of 14.65, an Ichimoku B rating of 14.65, a Ichimoku visual trend A of 12.78374, an Ichimoku visual trend B of 12.8417, an Aroon Indicator (AI) up of 4.0 and an AI indicator down of 4.0. That left a difference of -4.0.

MOMENTUM INDICATORS FOR SOLARIS OILFIELD INFRASTRUCTURE, INC. (NYSE:SOI): We found a Relative Strength Index (RSI) of 50.0, a Money Flow Index (MFI) of 100.0, a True Strength Index (TSI) of 100.0, an ultimate oscillator of 82.52106, a stochastic oscillator of 295.0, a stochastic oscillator signal of 295.0, a Williams %R rating of 195.0 and an awesome oscillator of -0.14625.

RETURNS FOR SOLARIS OILFIELD INFRASTRUCTURE, INC. (NYSE:SOI): There was a daily return of 14.94678, a daily log return of -0.70872 and a cumulative return of -0.70621.

What the heck does all of this mean? If you are new to technical analysis, the above may be gibberish to you, and that’s OK (though we do advise learning these things). The bottom line is that AS OF 2019-12-23 (if you are reading this later, the analysis will be out of date), here is what our deep analysis of technical indicators are telling us for Solaris Oilfield Infrastructure, Inc. (NYSE:SOI)…

DISCLAIMER: We are not registered investment advisers and the above analysis should be taken at face value only. We strongly advise against buying or selling Solaris Oilfield Infrastructure, Inc. (NYSE:SOI) based solely on our analysis above, and are not responsible for any losses that you may incur if you choose make any investment decisions based on the above.

The Key Facts On Hancock Whitney Corporation (NASDAQ:HWCPL) (2019-12-23)

REPORTING FOR 2019-12-23 | WCX19.ORG: We have done an in-depth analysis of how HWCPL has been trading over the last 2 weeks and the past day especially. On its latest session, Hancock Whitney Corporation (NASDAQ:HWCPL) opened at 25.44, reaching a high of 25.55 and a low of 25.44 before closing at a price of 25.5498. There was a total volume of 3565.

VOLUME INDICATORS FOR HANCOCK WHITNEY CORPORATION (NASDAQ:HWCPL): We saw an accumulation-distribution index of 218.4523, an on-balance volume of 25.55, chaikin money flow of 1.0 and a force index of 0.00268. There was an ease of movement rating of -4e-05, a volume-price trend of -0.27544 and a negative volume index of 1000.0.

VOLATILITY INDICATORS FOR HANCOCK WHITNEY CORPORATION (NASDAQ:HWCPL): We noted an average true range of 0.08819, bolinger bands of 25.45417, an upper bollinger band of 25.43323, lower bollinger band of 25.44, a bollinger high band indicator of 1.0, bollinger low band indicator of nan, a central keltner channel of 25.47667, high band keltner channel of 25.36667, low band keltner channel of 25.58667, a high band keltner channel indicator of 1.0 and a low band keltner channel indicator of 1.0. There was a donchian channel high band of 25.44, a donchian channel low band of 25.44, a donchian channel high band indicator of 1.0, and a donchian channel low band indicator of 1.0.

TREND INDICATORS FOR HANCOCK WHITNEY CORPORATION (NASDAQ:HWCPL): We calculated a Moving Average Convergence Divergence (MACD) of 0.00017, a MACD signal of 9e-05, a MACD difference of 7e-05, a fast Exponential Moving Average (EMA) indicator of 25.44, a slow Exponential Moving Average (EMA) indicator of 25.44, an Average Directional Movement Index (ADX) of unknown, an ADX positive of 20.0, an ADX negative of 20.0, a positive Vortex Indicator (VI) of 1.0, a negative VI of 1.0, a trend vortex difference of 0.09687, a trix of -0.68162, a Mass Index (MI) of 1.0, a Commodity Channel Index (CCI) of 66.66667, a Detrended Price Oscillator (DPO) of 0.28335, a KST Oscillator (KST) of -11.01513 and a KST Oscillator (KST Signal) of -11.01513 (leaving a KST difference of 0.07192). We also found an Ichimoku rating of 25.495, an Ichimoku B rating of 25.495, a Ichimoku visual trend A of 25.78089, an Ichimoku visual trend B of 25.70842, an Aroon Indicator (AI) up of 4.0 and an AI indicator down of 4.0. That left a difference of 4.0.

MOMENTUM INDICATORS FOR HANCOCK WHITNEY CORPORATION (NASDAQ:HWCPL): We found a Relative Strength Index (RSI) of 50.0, a Money Flow Index (MFI) of 50.03073, a True Strength Index (TSI) of -100.0, an ultimate oscillator of -63.4569, a stochastic oscillator of 100.0, a stochastic oscillator signal of 100.0, a Williams %R rating of 327.5 and an awesome oscillator of 0.00685.

RETURNS FOR HANCOCK WHITNEY CORPORATION (NASDAQ:HWCPL): There was a daily return of -1.10151, a daily log return of 0.02908 and a cumulative return of 0.02909.

What the heck does all of this mean? If you are new to technical analysis, the above may be gibberish to you, and that’s OK (though we do advise learning these things). The bottom line is that AS OF 2019-12-23 (if you are reading this later, the analysis will be out of date), here is what our deep analysis of technical indicators are telling us for Hancock Whitney Corporation (NASDAQ:HWCPL)…

DISCLAIMER: We are not registered investment advisers and the above analysis should be taken at face value only. We strongly advise against buying or selling Hancock Whitney Corporation (NASDAQ:HWCPL) based solely on our analysis above, and are not responsible for any losses that you may incur if you choose make any investment decisions based on the above.

The AcelRx Pharmaceuticals, Inc. (NASDAQ:ACRX) Rundown (2019-12-23)

REPORTING FOR 2019-12-23 | WCX19.ORG: We have done an in-depth analysis of how ACRX has been trading over the last 2 weeks and the past day especially. On its latest session, AcelRx Pharmaceuticals, Inc. (NASDAQ:ACRX) opened at 2.17, reaching a high of 2.22 and a low of 2.12 before closing at a price of 2.21. There was a total volume of 1864777.

VOLUME INDICATORS FOR ACELRX PHARMACEUTICALS, INC. (NASDAQ:ACRX): We saw an accumulation-distribution index of 8.81, an on-balance volume of 2.18, chaikin money flow of 3.0 and a force index of 0.0008. There was an ease of movement rating of 0.00092, a volume-price trend of 0.02411 and a negative volume index of 1000.0.

VOLATILITY INDICATORS FOR ACELRX PHARMACEUTICALS, INC. (NASDAQ:ACRX): We noted an average true range of 0.07492, bolinger bands of 2.13914, an upper bollinger band of 2.11086, lower bollinger band of 2.12, a bollinger high band indicator of 1.0, bollinger low band indicator of 1.0, a central keltner channel of 2.17, high band keltner channel of 2.12, low band keltner channel of 2.22, a high band keltner channel indicator of 1.0 and a low band keltner channel indicator of 1.0. There was a donchian channel high band of 2.12, a donchian channel low band of 2.12, a donchian channel high band indicator of 1.0, and a donchian channel low band indicator of 1.0.

TREND INDICATORS FOR ACELRX PHARMACEUTICALS, INC. (NASDAQ:ACRX): We calculated a Moving Average Convergence Divergence (MACD) of 0.00022, a MACD signal of 0.00012, a MACD difference of 0.0001, a fast Exponential Moving Average (EMA) indicator of 2.12, a slow Exponential Moving Average (EMA) indicator of 2.12, an Average Directional Movement Index (ADX) of unknown, an ADX positive of 20.0, an ADX negative of 20.0, a positive Vortex Indicator (VI) of 1.0, a negative VI of 1.0, a trend vortex difference of 1.28186, a trix of 2.43625, a Mass Index (MI) of 1.0, a Commodity Channel Index (CCI) of -66.66667, a Detrended Price Oscillator (DPO) of -0.01782, a KST Oscillator (KST) of 8.47691 and a KST Oscillator (KST Signal) of 8.47691 (leaving a KST difference of 1.18924). We also found an Ichimoku rating of 2.195, an Ichimoku B rating of 2.195, a Ichimoku visual trend A of 2.19281, an Ichimoku visual trend B of 2.1688, an Aroon Indicator (AI) up of 4.0 and an AI indicator down of 4.0. That left a difference of 4.0.

MOMENTUM INDICATORS FOR ACELRX PHARMACEUTICALS, INC. (NASDAQ:ACRX): We found a Relative Strength Index (RSI) of 50.0, a Money Flow Index (MFI) of 100.0, a True Strength Index (TSI) of 100.0, an ultimate oscillator of 26.27543, a stochastic oscillator of 200.0, a stochastic oscillator signal of 200.0, a Williams %R rating of 100.0 and an awesome oscillator of 0.00976.

RETURNS FOR ACELRX PHARMACEUTICALS, INC. (NASDAQ:ACRX): There was a daily return of 0.84769, a daily log return of 0.47059 and a cumulative return of 0.4717.

What the heck does all of this mean? If you are new to technical analysis, the above may be gibberish to you, and that’s OK (though we do advise learning these things). The bottom line is that AS OF 2019-12-23 (if you are reading this later, the analysis will be out of date), here is what our deep analysis of technical indicators are telling us for AcelRx Pharmaceuticals, Inc. (NASDAQ:ACRX)…

DISCLAIMER: We are not registered investment advisers and the above analysis should be taken at face value only. We strongly advise against buying or selling AcelRx Pharmaceuticals, Inc. (NASDAQ:ACRX) based solely on our analysis above, and are not responsible for any losses that you may incur if you choose make any investment decisions based on the above.

An Important Freshpet, Inc. (NASDAQ:FRPT) Review (2019-12-23)

REPORTING FOR 2019-12-23 | WCX19.ORG: We have done an in-depth analysis of how FRPT has been trading over the last 2 weeks and the past day especially. On its latest session, Freshpet, Inc. (NASDAQ:FRPT) opened at 59.07, reaching a high of 59.4399 and a low of 56.3898 before closing at a price of 57.89. There was a total volume of 615321.

VOLUME INDICATORS FOR FRESHPET, INC. (NASDAQ:FRPT): We saw an accumulation-distribution index of 956.80826, an on-balance volume of 57.845, chaikin money flow of 15.49148 and a force index of 0.27064. There was an ease of movement rating of 0.0291, a volume-price trend of 8.66462 and a negative volume index of 1000.0.

VOLATILITY INDICATORS FOR FRESHPET, INC. (NASDAQ:FRPT): We noted an average true range of 0.8705, bolinger bands of 56.6486, an upper bollinger band of 56.2662, lower bollinger band of 56.3898, a bollinger high band indicator of 1.0, bollinger low band indicator of 1.0, a central keltner channel of 58.2999, high band keltner channel of 57.93, low band keltner channel of 58.6698, a high band keltner channel indicator of 1.0 and a low band keltner channel indicator of 1.0. There was a donchian channel high band of 56.3898, a donchian channel low band of 56.3898, a donchian channel high band indicator of 1.0, and a donchian channel low band indicator of 1.0.

TREND INDICATORS FOR FRESHPET, INC. (NASDAQ:FRPT): We calculated a Moving Average Convergence Divergence (MACD) of 0.00303, a MACD signal of 0.00169, a MACD difference of 0.00135, a fast Exponential Moving Average (EMA) indicator of 56.3898, a slow Exponential Moving Average (EMA) indicator of 56.3898, an Average Directional Movement Index (ADX) of unknown, an ADX positive of 20.0, an ADX negative of 20.0, a positive Vortex Indicator (VI) of 1.0, a negative VI of 1.0, a trend vortex difference of 0.92533, a trix of 8.9064, a Mass Index (MI) of 1.0, a Commodity Channel Index (CCI) of -66.66667, a Detrended Price Oscillator (DPO) of -7.35008, a KST Oscillator (KST) of 149.88016 and a KST Oscillator (KST Signal) of 149.88016 (leaving a KST difference of 0.68924). We also found an Ichimoku rating of 59.25495, an Ichimoku B rating of 59.25495, a Ichimoku visual trend A of 51.43167, an Ichimoku visual trend B of 52.90365, an Aroon Indicator (AI) up of 4.0 and an AI indicator down of 4.0. That left a difference of 4.0.

MOMENTUM INDICATORS FOR FRESHPET, INC. (NASDAQ:FRPT): We found a Relative Strength Index (RSI) of 50.0, a Money Flow Index (MFI) of 100.0, a True Strength Index (TSI) of 100.0, an ultimate oscillator of 73.27891, a stochastic oscillator of 824.57421, a stochastic oscillator signal of 824.57421, a Williams %R rating of 724.57421 and an awesome oscillator of -0.31858.

RETURNS FOR FRESHPET, INC. (NASDAQ:FRPT): There was a daily return of 14.98802, a daily log return of 0.23947 and a cumulative return of 0.23976.

What the heck does all of this mean? If you are new to technical analysis, the above may be gibberish to you, and that’s OK (though we do advise learning these things). The bottom line is that AS OF 2019-12-23 (if you are reading this later, the analysis will be out of date), here is what our deep analysis of technical indicators are telling us for Freshpet, Inc. (NASDAQ:FRPT)…

DISCLAIMER: We are not registered investment advisers and the above analysis should be taken at face value only. We strongly advise against buying or selling Freshpet, Inc. (NASDAQ:FRPT) based solely on our analysis above, and are not responsible for any losses that you may incur if you choose make any investment decisions based on the above.