Faber Company Inc (220A)

Currency in JPY
910.00
-25.00(-2.67%)
Closed·

Faber (220A) Technical Analysis

Summary
Strong Sell
Sell
Neutral
Buy
Strong Buy
Strong Sell

Technical Indicators

Strong Sell

Moving Averages

Strong Sell

Summary:Strong Sell

Moving Averages:Strong SellBuy: (0)Sell: (12)
Technical Indicators:Strong SellBuy: (2)Sell: (8)

Technical Indicators

Summary: Strong SellBuy: 2Neutral: 0Sell: 8
Jun 8, 2026 07:25AM GMT
Name
Value
Action
RSI(14)33.698Sell
STOCH(9,6)59.506Buy
STOCHRSI(14)59.393Buy
MACD(12,26)-9.83Sell
ADX(14)22.424Sell
Williams %R-92.593Oversold
CCI(14)-144.7458Sell
ATR(14)9High Volatility
Highs/Lows(14)-8.8571Sell
Ultimate Oscillator39.395Sell
ROC-3.805Sell
Bull/Bear Power(13)-31.594Sell

Moving Averages

Summary: Strong SellBuy: 0Sell: 12
Jun 8, 2026 07:25AM GMT
Name
Simple
Exponential
MA5
926.00
Sell
920.32
Sell
MA10
922.00
Sell
924.30
Sell
MA20
930.15
Sell
929.95
Sell
MA50
954.32
Sell
950.49
Sell
MA100
981.62
Sell
970.85
Sell
MA200
1000.37
Sell
990.58
Sell

Pivot Points

Name
S3
S2
S1
Pivot Points
R1
R2
R3
Classic925925925925925925925
Fibonacci925925925925925925925
Camarilla925925925925925925925
Woodie's925925925925925925925
DeMark's--925925925--

FAQ

From a Technical Analysis Perspective, Is Faber a Buy or Sell?

Based on moving averages and other technical indicators, the daily buy/sell signal is Strong Sell.

How Do the Moving Averages for 220A Currently Stand?

The moving averages for Faber show a Strong Sell outlook, considering moving averages ranging from MA5 to MA200, with 0 Buy signals and 12 Sell signals.

What Is the Current Status of the Technical Indicators for Faber?

The technical indicators for Faber are in a Strong Sell position based on daily analysis, with 0 signals on buy indicators and 9 sell signals.

What Is 220A's 14-Day RSI?

The current Relative Strength Index (RSI) of 220A over the 14-day period is 33.698, which suggests that the stock is a Sell.

What Is 220A's MACD?

220A's MACD is -9.830, which suggests that the stock is a Sell.

What Is 220A's 5-Day Moving Average?

220A's 5-day moving average is 926.00, suggesting that the stock is a Sell.

What Is 220A's 50-Day Moving Average?

220A's 50-day moving average is 954.32, suggesting that the stock is a Sell.

What Is 220A's 200-Day Moving Average?

220A's 200-day moving average is 1000.37, suggesting that the stock is a Sell.

What Is the Fibonacci Pivot Point Performance Value for 220A?

The Fibonacci pivot point performance value for 220A is 925.00.
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