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Technical Sentiment
Overall Consensus
Neutral
8Bullish
5Neutral
9Bearish
Technical Analysis Consensus
Sell
2Bullish
5Neutral
3Bearish
Moving Average Consensus
Neutral
6Bullish
0Neutral
6Bearish
The Carlyle Group Lp’s (CG) Moving Averages Convergence Divergence (MACD) indicator is -0.45, suggesting The Carlyle Group Lp is a Sell.
The Carlyle Group Lp’s (CG) 20-Day exponential moving average is 43.70, while The Carlyle Group Lp’s (CG) share price is $52.68, making it a Buy.
The Carlyle Group Lp’s (CG) 50-Day exponential moving average is 45.20, while The Carlyle Group Lp’s (CG) share price is $52.68, making it a Sell.
Carlyle Group (CG) Pivot Points
Classic
41.41
42.07
43.13
43.79
44.85
45.51
46.57
Fibonacci
42.07
42.73
43.14
43.79
44.45
44.86
45.51
Pivot points are a technical analysis tool used by traders to identify potential support and resistance levels in financial markets. Pivot points are calculated based on the previous day's high, low, and close prices, and are used to help traders identify levels at which the price may reverse or continue to trend.
Carlyle Group (CG) Moving Averages
MA5
44.00Buy
43.92Buy
MA10
42.92Buy
43.54Buy
MA20
43.67Buy
43.70Buy
MA50
45.52Sell
45.20Sell
MA100
47.27Sell
47.76Sell
MA200
52.44Sell
52.07Sell
The Carlyle Group Lp’s (CG) 10-Day exponential moving average is 43.54, while The Carlyle Group Lp’s (CG) share price is $52.68, making it a Buy.
The Carlyle Group Lp’s (CG) 100-Day exponential moving average is 47.76, while The Carlyle Group Lp’s (CG) share price is $52.68, making it a Sell.
The Carlyle Group Lp’s (CG) stock price is $52.68 and The Carlyle Group Lp’s (CG) 50-day simple moving average is 45.52, creating a Sell signal.
The Carlyle Group Lp’s (CG) stock price is $52.68 and The Carlyle Group Lp’s (CG) 100-day simple moving average is 47.27, creating a Sell signal.
The Carlyle Group Lp’s (CG) stock price is $52.68 and The Carlyle Group Lp’s (CG) 200-day simple moving average is 52.44, creating a Sell signal.
Carlyle Group (CG) Technical Indicators
RSI (14)
53.28
Neutral
STOCH (9,6)
79.53
Neutral
STOCHRSI (14)
65.55
Neutral
MACD (12,26)
-0.45
Sell
ADX (14)
17.06
Buy
Williams %R
-15.33
Sell
CCI (14)
55.66
Neutral
ATR (14)
1.68
-
Ultimate Oscillator
46.42
Neutral
ROC
-0.20
Sell
The Carlyle Group Lp’s (CG) Relative Strength Index (RSI) is 53.28, creating a Neutral signal.
The Carlyle Group Lp’s (CG) Trend Strength Indicator (ADX) is 17.06, creating a Buy signal.
The Carlyle Group Lp’s (CG) Commodity Channel Index (CCI) is 55.66, creating a Neutral signal.
The Carlyle Group Lp’s (CG) Price Rate of Change (ROC) is -0.20, creating a Sell signal.
FAQ
Is CG a Buy, Hold, or Sell?
Based on CG’s technical indicators, CG is a Hold.
What is CG’s RSI (14)?
CG’s RSI (14) is 53.28, which suggests CG is a Neutral.
What is CG’s MACD?
CG’s MACD is -0.45, which suggests CG is a Sell.
What is CG’s 5-day moving average?
CG’s 5-day moving average is 44.00, which suggests CG is a Buy.
What is CG’s 20-day moving average?
CG 20-day moving average is 43.67, which suggests CG is a Buy.
What is CG’s 50-day moving average?
CG’s 50-day moving average is 45.52, which suggests CG is a Sell.
What is CG’s 200-day moving average?
CG’s 200-day moving average is 52.44, which suggests CG is a Sell.
What is CG’s Williams % R (14)?
CG’s Williams % R (14) is -15.33, which suggests CG is a Sell.
What is CG’s CCI (14)?
CG’s CCI (14) is 55.66, which suggests CG is a Neutral.