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Explanation to Bollinger's Bands

Bollinger Bands was created by John Bollinger in the early 1980s, its purpose is to define price action relative to the assets highs and lows. This technical indicator is used to identify buy and sell signals and has proven very well in doing so.

Bollinger Bands consist of a set of three curves drawn in relation to securities prices. The middle band is a measure of the intermediate-term trend, usually a simple moving average, that serves as the base for the upper and lower bands. The interval between the upper and lower bands and the middle band is determined by volatility, typically the standard deviation of the same data that were used for the average. StockInvest.us uses Bollingers suggested 20 day average.

Middle Bollinger Band = 20-period simple moving average
Upper Bollinger Band = Middle Bollinger Band + 2 * 20-period standard deviation
Lower Bollinger Band = Middle Bollinger Band - 2 * 20-period standard deviation

BandWidth defines the current width of the band.
%b defines the current position within the band.

BandWidth = (Upper Bollinger Band - Lower Bollinger Band) / Middle Bollinger Band
%b = (Last - Lower Bollinger Band) / (Upper Bollinger Band - Lower Bollinger Band)

Live Samples:

Bollinger Bottleneck Buy Pattern 1
Bollinger Bottleneck Buy Pattern 2
Bollinger Bottleneck Sell Pattern

Bottlenecks in bandwidth indicate an upcoming change. Break up through the moving average line or continuous movements above the moving average line indicate a break up, and vice versa.

Source: http://www.bollingerbands.com

RSI low/high Values: [ 20 - 80 ]
* StockInvest.us uses dynamically calculated RSI max/min levels to determine when stock is oversold or overbought based on historical behavior.
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SPE Dividend Payout History


# Declaration Date Ex-Date Pay Date Amount Yield
1 Jun 08, 2023 Jun 08, 2023 Jun 08, 2023 £3.25 0.524%
2 Mar 24, 2022 Jun 09, 2022 Jul 08, 2022 £3.25 0.619%
3 Mar 24, 2021 Jun 10, 2021 Jul 09, 2021 £3.25 0.358%
4 Mar 19, 2020 Jun 11, 2020 Jul 10, 2020 £3.25 0.419%
5 Mar 21, 2019 Jun 13, 2019 Jul 12, 2019 £3.25 0.330%

FAQ

What is the symbol for Sopheon plc Stock and on which exchange is it traded?
The symbol for Sopheon plc is SPE.L and it is traded on the XLON (London Stock Exchange).

Should I buy or sell Sopheon plc Stock?
Sopheon plc holds several positive signals, but we still don't find these to be enough for a buy candidate. At the current level, it should be considered as a hold candidate (hold or accumulate) in this position whilst awaiting further development.

How to buy Sopheon plc Stock?
Sopheon plc Stock can be purchased through just about any brokerage firm, including online brokerage services.
Click here for our free guide on how to buy Sopheon plc Stock.

What's the current price of Sopheon plc Stock?
As of the end of day on the May 17, 2024, the price of an Sopheon plc (SPE.L) share was £988.00.

What is the 52-week high and low for Sopheon plc Stock?
The 52-week high for Sopheon plc Stock is £1,000.00 and the 52-week low is £5.85.

What is the market capitalization of Sopheon plc Stock?
As of the May 17, 2024, the market capitalization of Sopheon plc is 106.556M.

When is the next earnings date for Sopheon plc?
The upcoming earnings date for Sopheon plc is Aug 22, 2024.
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About Sopheon plc

Sopheon plc Sopheon plc designs, develops, and markets software products with associated implementation and consultancy services in North America and Europe. The company's software solutions include Accolade, an enterprise management solution; and ROI Blueprints, a project management solution. Its solutions provide support for innovation planning, road mapping, idea and concept development, process and project management, project and portfolio management, an... SPE.L Profile

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