Promotora Y Operadora De Infraestructura S. A. B. De C. V Stock Signals
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Latest Data & Signals Issued
Below are some of the latest signals issued for Promotora y Operadora de Infraestructura, S. A. B. de C. V.
General
| Signal Type | Signal Value | Data | |
|---|---|---|---|
| Score | -2.072 | 3 days ( 0.553 % | |
| Last Price | $278.62 | -0.86 % | |
Performance History
7 Days
$284.08
$278.62
-1.92%
30 Days
$280.05
$278.62
-0.511%
12 Mos
$231.70
$278.62
20.25%
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7/18
Active Buy Signals
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Specific Signals
| Signal Type | Signal Value | Importance | Data | |
|---|---|---|---|---|
| High / Low | Neutral | Very Low |
$278.02
- $284.98
Position: 8.62% from low / 91.38% from high · Momentum: -2.56% |
|
| Trend - 3 mos | -4.04 % | High | Width: 7.33 % | |
| Pred. range - 3 mos | $251.59 - $270.03 | Low | -9.70 % - -3.08 % | |
| Volume Direction | Buy | High | Volume: 221,658 · Direction: 1.00 | |
| Pivot Short | Sell | Very Low | Jun 17, 2026 - 19 days | |
| RSI Short Pivot Signal | Sell | Very Low | Jul 10, 2026 - 2 days | |
| Short MA 3 mos | Sell | Low | Jul 08, 2026 - 4 days | |
| Long MA 3 mos | Buy | Medium | Jun 24, 2026 - 14 days | |
| Short/Long MA 3 mos | Buy | Medium | Jun 30, 2026 - 10 days |
| Signal Type | Signal Value | Importance | Data | |
|---|---|---|---|---|
| Trend - 12 mos | 24.12 % | Very High | Width: 20.97 % | |
| Pred. range - 12 mos | $338.73 - $409.75 | High | 21.58 % - 47.06 % | |
| Short MA 12 mos | Sell | Very High | Jul 10, 2026 - 2 days | |
| Long MA 12 mos | Sell | Very High | Jul 08, 2026 - 4 days | |
| Short/Long MA 12 mos | Sell | Very High | Jun 04, 2026 - 28 days | |
| Pivot Long | Sell | Low | Feb 11, 2026 - 105 days | |
| RSI Long Pivot Signal | Sell | Low | Jul 06, 2026 - 6 days | |
| Bollinger | Buy | Medium | Nov 30, -0001 - N/A days | |
| MACD | Buy | High | No Dates Stored For This Signal |
Signals Effectiveness
Backtesting is not only a way to check stock signal accuracy, but also a tool to continually improvement. Data can be used for self adjustment as each stock has an individual behavior.
Accuracy and return is not the same. A stock signal may provide low statistical accuracy, but the signals may prove high return in average.
Sharp market dips or fundamental changes (earning reports, news updates etc), may force a short term reaction and disturb the signals (Signals may jump quickly from buy to sell, just to return to buy).
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