@StockInvestUS
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Avg. Quality
69
Success Rate
43.31
Analysis
1189
Correct
515
Fail
638
Pending
35
Ineffective
0
Total Quality
Score
If You Had Traded on This Analysis…
Fail
SPY
Short Entry
652.5300
2025-11-21
04:48 UTC
Target
620.0000
Fail
665.6500
In 3 Days
Risk/Reward
1 : 2
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Final PnL
-2.01%
P/L: —
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The SPDR S&P 500 ETF (SPY) has been rated as a sell candidate since November 20, 2025, with a score of -2.257, indicating a downgraded status. The 3-month trend suggests a potential change ranging from 4.92% to 11.84% upwards. The 12-month analysis projects a change of 17.03%, with a potential price fluctuation between $655.57 and $812.07. On the last trading day, SPY closed at $652.56, experiencing a 1.53% decline from $662.72. The daily fluctuation was 3.63%, ranging from $651.92 to $675.56. Trading volume increased by 68 million shares, totaling 153 million shares, which is noted as a potential early warning. Over the past 52 weeks, SPY's high was $689.70 and its low was $481.80. Currently, the price is 5.38% below its 52-week high. Technical indicators show negative signals from both short and long-term Moving Averages, contributing to a negative forecast. A general sell signal is noted from the relationship between the short-term and long-term averages. Resistance levels are identified at $666.92 and $671.82. A sell signal was issued on October 29, 2025, leading to a 5.07% decline. The 3-month MACD also currently shows a sell signal. The ETF maintains very low risk due to controlled movements and good liquidity. Fibonacci resistance is at $653.02, with support at $647.24. Weekly volatility is 2.00%. The analysis concludes with a negative evaluation, predicting weak performance in the short term, despite underlying positive trends, and recommends a sell position with an expected open price for Friday, November 21st, 2025 at $660.01.