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ECL (ECL) — Range-bound
ECL (ECL) is trading at $273.70, -5.79 (90.0%) on the session. Over the last 127 sessions the trend is flat with a +2.5% move. Price is -5.8% from its 6-month high and +11.4% from its 6-month low. Annualised volatility (30-day) is ~16%.
Probability scenarios
Bearish bias — 1 bullish, 4 bearish, 3 neutral of 8 signals.
Trend Range-bound / consolidating
ECL (ECL) is trading at $273.70. Over the last 127 sessions the trend is **flat** with a +2.5% move.
Price is -5.8% from the 6-month high and +11.4% from the low. Annualised volatility (30-day) is ~16%.
Price is on the 15-day MA ($274.60) and below the 50-day SMA ($279.00).
Bollinger Bands Inside the bands — range-bound
Bollinger Bands (20, 2): price is at $273.70, upper $280.52, middle $274.63, lower $268.73. Price is inside the bands — range-bound.
Bandwidth is 4.3% of price — contracted (low volatility, breakout pending). Width contraction often precedes a directional breakout; expansion confirms one underway.
RSI (14) Below 50
RSI(14) is 47.7. Momentum has faded; the bullish case needs rebuilding.
Generally: above 70 = overheated, above 50 = bullish trend, below 50 = bearish trend, below 30 = oversold.
MACD (12, 26, 9) Bearish — momentum slowing
MACD (12, 26, 9): line $-1.12, signal $-1.06, histogram -0.052.
The fast line has crossed below the signal line and the histogram is negative. Price may still be rising overall, but momentum is weakening — often seen before a correction, a sideways consolidation, or a final push higher.
Volume Analysis Balanced volume
Up-day and down-day volume are roughly even (ratio 0.93) over the recent 19 sessions — no strong conviction either way.
Rule of thumb: price up on high volume = accumulation; price down on high volume = distribution. Low-volume pullbacks after a rally are usually profit-taking, not panic.
Smart Money (A/D) Smart money on hold
The A/D line slope is flat and the line is well off highs — institutions are neither aggressively accumulating nor distributing.
A/D combines price position within the day's range with volume: rising = net buying pressure, falling = net selling pressure. It often leads price at turning points.
Anchored VWAP Above anchored VWAP — period buyers in profit
Price ($273.70) is +1.4% above the anchored VWAP ($269.91). Buyers who entered at the period's volume-weighted average are in profit and less likely to panic-sell.
Anchored VWAP is the volume-weighted average from the start of the scraped series — a proxy for the period's average institutional cost basis.
Key Levels 3 resistance / 2 support levels
Current price $273.70. Resistance above: $276.93, $280.52, $283.65. Support below: $273.14, $267.46.
Watch $276.93 as the first upside level to clear, and $273.14 as the first downside level to hold. A clean break of either often determines the next leg.
Resistance
$276.93
Resistance
$280.52
Resistance
$283.65
Support
$273.14
Support
$267.46
Signal breakdown
- Trend (6mo) Neutral Slope is near-flat — range-bound price action.
- Price vs 50-day SMA Bearish Price is below the 50-day SMA ($279.00).
- RSI (14) Bearish RSI 48 — below 50, momentum fading.
- MACD (12,26,9) Bearish Histogram negative (-0.052) — fast line below signal.
- Bollinger %B Bearish Price in the lower half of the bands (%B 0.42).
- Volume profile Neutral Volume balanced between up and down days.
- A/D line Neutral A/D line slope is flat.
- AVWAP Bullish Price above anchored VWAP ($269.91).
Generated from 127 daily closes in the scraped 6-month OHLCV series (quote data 2026-10-03T17:17:16.306018394Z). Every level, rating, and probability traces to a computed indicator — no commentary is hand-written or fixed per symbol. Recomputed on each page load from the latest scrape.