PNC Financial's most recent trend suggests a bearish bias. One trading opportunity on PNC Financial is a Bear Call Spread using a strike $120.00 short call and a strike $130.00 long call offers a potential 13.12% return on risk over the next 29 calendar days. Maximum profit would be generated if the Bear Call Spread were to expire worthless, which would occur if the stock were below $120.00 by expiration. The full premium credit of $1.16 would be kept by the premium seller. The risk of $8.84 would be incurred if the stock rose above the $130.00 long call strike price.
The 5-day moving average is moving down which suggests that the short-term momentum for PNC Financial is bearish and the probability of a decline in share price is higher if the stock starts trending.
The 20-day moving average is moving down which suggests that the medium-term momentum for PNC Financial is bearish.
The RSI indicator is at 40.17 level which suggests that the stock is neither overbought nor oversold at this time.
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LATEST NEWS for PNC Financial
The PNC Financial Services Group, Inc. : PNC-US: Dividend Analysis : April 17th, 2017 (record date) : By the numbers : April 19, 2017
Wed, 19 Apr 2017 15:59:41 +0000
Categories: Yahoo FinanceGet free summary analysis Our analysis is based on comparing The PNC Financial Services Group, Inc. with the following peers – BB&T Corporation, SunTrust Banks, Inc., Regions Financial Corporation, Wells Fargo & Company, KeyCorp, Fifth Third Bancorp, JPMorgan Chase & Co. and WesBanco, Inc. (BBT-US, STI-US, RF-US, WFC-US, KEY-US, FITB-US, JPM-US and WSBC-US). The PNC … Read more
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The Zacks Analyst Blog Highlights: Goldman Sachs, Bank of America, PNC Financial, Citigroup and JPMorgan Chase
Wed, 19 Apr 2017 14:32:02 +0000
The Zacks Analyst Blog Highlights: Goldman Sachs, Bank of America, PNC Financial, Citigroup and JPMorgan Chase
Buybacks, Dividends and the Need for Earnings Validation
Wed, 19 Apr 2017 14:28:59 +0000
Apr.19 — Bill Stone, global chief investment strategist at PNC Asset Management, and Michael O'Rourke, chief market strategist at JonesTrading, discuss U.S. markets and the need for earnings validation. They speak with Bloomberg's Alix Steel, Jonathan Ferro and David Westin on "Bloomberg Daybreak: Americas."
Bank Earnings Review: Not All Winners Are Valued Equally
Tue, 18 Apr 2017 21:22:41 +0000
Value investors and income investors should look in 2 directions when investing among this peer group
We're Positive on PNC's Progress
Mon, 17 Apr 2017 13:00:00 +0000
Net interest margins should expand across the board as the U.S. regional banks recover from the historically low interest rates that have pressured profits for the past several years.
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