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VIVENDI SE (VIV.PA) Stock Technical Analysis

EPA:VIV - Euronext Paris - Matif - FR0000127771 - Common Stock - Currency: EUR

2.77  +0.04 (+1.61%)

Technical Rating and Analysis

1

We assign a technical rating of 1 out of 10 to VIV. VIV scores bad on all fronts: it is a bad performer in the overall market and both the medium and short term pictures are negative.

The short term trend is negative, as is the long term trend. There should be more interesting stocks out there.
When comparing the yearly performance of all stocks, VIV is a bad performer in the overall market: 100% of all stocks are doing better.
VIV is one of the lesser performing stocks in the Media industry. 86% of 69 stocks in the same industry do better.
VIV is currently trading near the lower end of its 52 week range, which is not a good sign. The S&P500 Index is trading in the upper part of its 52 week range, so VIV is lagging the market.
Considerably lower volume is observed in the last couple of days, which is not what you would like to see during a strong up movement.
In the last month VIV has a been trading in the 2.41 - 2.77 range, which is quite wide. It is currently trading near the high of this range.
VIV has an average volume of 7240930 traded shares per day. This is a good sign as it is always nice to have a liquid stock.
Prices have been rising strongly lately, it may be a good idea to wait for a consolidation or pullback before considering an entry.
Weekly and Daily overview Charts
VIVENDI SE / VIV Weekly stock chart
VIVENDI SE / VIV Daily stock chart
Setup Rating and Analysis

3

The technical rating of VIV is bad and it also does not present a quality setup at the moment. Price movement has been a little bit too volatile to find a nice entry and exit point. It is probably a good idea to wait for a consolidation first.

Support and Resistance Analysis

2.41

2.81

We found 1 important support area.

  • A support zone ranging from 2.43 to 2.45. This zone is formed by a combination of multiple trend lines in multiple time frames.

We found 1 important resistance area.

  • A resistance zone ranging from 2.78 to 2.78. This zone is formed by a combination of multiple trend lines in multiple time frames.
Statistics, Performance, Trends, Indicators, Chart- and CandleStick Patterns
Trend & SMA
ST Trend
LT Trend
SMA(5)
SMA(10)
SMA(20)
SMA(50)
SMA(100)
SMA(200)
Relative Strength & Ranges
CRS0.48
Mansfield-7.11
10 Day High2.77
10 Day Low2.42
20 Day High2.77
20 Day Low2.41
52 Week High11.17
52 Week Low2.33
Performance
1 Week6.62%
2 Weeks7.24%
1 Month6.17%
3 Month-70.23%
6 Month-70.68%
12 Month-73.16%
2 Year-71.58%
3 Year-75.51%
5 Year-87.97%
10 Year-87.3%
15 Year-85.03%
Daily CandleStick Patterns
Bullish Engulfing (D)
Bullish Hammer (D)
Bearish Inverted Hammer (D)
Hanging Man (D)
Bullish Harami (D)
Doji (D)
Gravestone Doji (D)
DragonFly Doji (D)
Bearish Engulfing (D)
Bearish Shooting Star (D)
Bearish Harami (D)
Inside Bar (D)
Red Dog Reversal Down (D)
Red Dog Reversal Up (D)
Dark Cloud Cover (D)
Weekly CandleStick Patterns
Bullish Engulfing (W)
Bullish Hammer (W)
Bearish Inverted Hammer (W)
Hanging Man (W)
Bullish Harami (W)
Doji (W)
Gravestone Doji (W)
DragonFly Doji (W)
Bearish Engulfing (W)
Bearish Shooting Star (W)
Bearish Harami (W)
Inside Bar (W)
Dark Cloud Cover (W)
Daily Chart Patterns
Bull Flag
Bear Flag
Ascending Triangle (D)
Descending Triangle (D)
Symmetrical Triangle (D)
Squeeze
Channel (D)
Channel Up (D)
Channel Down (D)
Rising Wedge (D)
Falling Wedge (D)
Double Bottom (D)
Multiple Bottom (D)
Double Top (D)
Multiple Top (D)
Weekly Chart Patterns
Weekly Bull Flag
Weekly Bear Flag
Squeeze Week
Channel (W)
Double Bottom (W)
Multiple Bottom (W)
Double Top (W)
Multiple Top (W)
Technical Indicators
MACD(12,26,9)0.21
RSI(14)34.68
LBB2.39
UBB2.77
VIVENDI SE / VIV Daily stock chart

VIVENDI SE

EPA:VIV (2/3/2025, 7:00:00 PM)

2.77

+0.04 (+1.61%)

Chartmill TA Rating
Chartmill Setup Rating
Sector
GICS SectorCommunication Services
GICS IndustryMedia
Performance
% Chg1.61%
1 Week6.62%
2 Weeks7.24%
1 Month6.17%
3 Month-70.23%
6 Month-70.68%
12 Month-73.16%
2 Year-71.58%
3 Year-75.51%
5 Year-87.97%
10 Year-87.3%
15 Year-85.03%
Volatility
ATR(14)0.08
ATR(20)%3.11%
ATR Inc39.75%
Range Today0.16
ADR(20)0.08
ADR(20)%3.06%
Trend & SMA
ST Trend
LT Trend
SMA(5)
SMA(10)
SMA(20)
SMA(50)
SMA(100)
SMA(200)
Relative Strength & Ranges
CRS0.48
Mansfield-7.11
10 Day High2.77
10 Day Low2.42
20 Day High2.77
20 Day Low2.41
52 Week High11.17
52 Week Low2.33
CS1 End2.45
CR1 Start2.78
Volume & EV
DER(3)1.26%
DER(5)1.24%
Volume3.22M
Volume Incr-21.44%
Vol(5)4.24M
Vol(50)7.24M