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Munafa technical analysis S&P EUROPE 350 - Financials [Sector] SSPF technical analysis buy or sell

Munafa technical analysis S&P EUROPE 350 - Financials [Sector] SSPF technical analysis buy or sell Analysis of S&P EUROPE 350 - Financials [Sector] SSPF to buy or sell for Daily, weekly or monthly

Date Close Open High Low
02 Thu Apr 1381.08 1399.89 1399.89 1358.81
01 Wed Apr 1389.95 1334.06 1392.90 1334.06
31 Tue Mar 1342.17 1328.78 1353.30 1328.78
30 Mon Mar 1330.70 1318.89 1330.98 1309.42
27 Fri Mar 1318.20 1329.19 1333.71 1312.13

Stock of S&P EUROPE 350 - Financials [Sector] closed at 1381.08 and it opened at 1399.89
It moved inside a range of 1358.81 and 1399.89

52 week High is 1517.92 and 52 week Low is 1185.19
Financial Year High is 1399.89 and Low is 1334.06
This year High is 1517.92 and Low is 1277.40

S&P EUROPE 350 - Financials [Sector] SSPF Daily Analysis to buy or sell

As per my analysis of S&P EUROPE 350 - Financials [Sector] SSPF, 12 day returns for S&P EUROPE 350 - Financials [Sector] SSPF have been positive, with total returns of 30.81, which is 2.28% with investment starting at 1350.27.
An investment of 100,000 bucks in S&P EUROPE 350 - Financials [Sector] would have become 102280 bucks today.

S&P EUROPE 350 - Financials [Sector] SSPF moves in a range of 18.2 points on a day to day basis. This means that a total of approx 18.2 plus points of returns can be expected in a bullish day, and a total of 18.2 minus points can be expected in a bearish day.
This is about 1.32% of returns per day.

S&P EUROPE 350 - Financials [Sector] Munafa analysis, looking for Trend and BUY or SELL opportunities.

Stock is in a downtrend for shortterm, and I will avoid taking a BUY or a LONG trade in this stock. Look for opportunities to sell or SHORT S&P EUROPE 350 - Financials [Sector] SSPF at this time.

It appears as if S&P EUROPE 350 - Financials [Sector] SSPF gave a large move recently.

Stock of S&P EUROPE 350 - Financials [Sector] (SSPF) is trading above an important moving average line, but it crossed this line recently, which means that it could show a small or a large fall soon enough depending on its trend.

My analysis of S&P EUROPE 350 - Financials [Sector] is bullish for shortterm, but stock is in semi over bought zones and there are some chances of seeing a fall tomorrow. Use 1387.3 as stoploss in an intra day sell trade for a target of 1362.08. However, stock will show a bullish move above 1387.3.

You can find more Price Targets here or Forecast here for Shortterm, Midterm, and Longterm

Daily Candle Stick analysis of S&P EUROPE 350 - Financials [Sector] SSPF

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 02 Thu Apr 2026 is showing a red candle, which means that the sellers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 3 HC: 1.4 LC: 1.6 OC: 0

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

S&P EUROPE 350 - Financials [Sector] is forming a DOJI candle

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 01 Wed Apr 2026 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 4.4 HC: 0.2 LC: 4.2 OC: 4.4

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 31 Tue Mar 2026 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 1.9 HC: 0.8 LC: 1 OC: 1.9

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 30 Mon Mar 2026 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 1.7 HC: 0 LC: 1.6 OC: 0.9

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 27 Fri Mar 2026 is showing a red candle, which means that the sellers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 1.6 HC: 1.2 LC: 0.5 OC: 0.3

S&P EUROPE 350 - Financials [Sector] is moving towards a low expiry

S&P EUROPE 350 - Financials [Sector] is forming a DOJI candle

S&P EUROPE 350 - Financials [Sector] SSPF Weekly Analysis to buy or sell

As per my analysis of S&P EUROPE 350 - Financials [Sector] SSPF, 12 week returns for S&P EUROPE 350 - Financials [Sector] SSPF have been negative, with total returns of -68.91, which is -4.75% with investment starting at 1449.99.
An investment of 100,000 bucks in S&P EUROPE 350 - Financials [Sector] would have become 95250 bucks today.

S&P EUROPE 350 - Financials [Sector] SSPF moves in a range of 34.1 points on a week to week basis. This means that a total of approx 34.1 plus points of returns can be expected in a bullish week, and a total of 34.1 minus points can be expected in a bearish week.
This is about 2.47% of returns per week.

Weekly Candle Stick analysis of S&P EUROPE 350 - Financials [Sector] SSPF

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 02 Thu Apr 2026 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 6.9 HC: 1.4 LC: 5.5 OC: 6.1

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 27 Fri Mar 2026 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 6.6 HC: 3.3 LC: 3.2 OC: 3.4

S&P EUROPE 350 - Financials [Sector] is moving towards a low expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 17 Tue Mar 2026 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 3.3 HC: 0.6 LC: 2.6 OC: 2.3

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 13 Fri Mar 2026 is showing a red candle, which means that the sellers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 5.8 HC: 4.3 LC: 1.4 OC: 2.6

S&P EUROPE 350 - Financials [Sector] is moving towards a low expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 06 Fri Mar 2026 is showing a red candle, which means that the sellers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 9.1 HC: 7.8 LC: 1.2 OC: 0

S&P EUROPE 350 - Financials [Sector] is moving towards a low expiry

S&P EUROPE 350 - Financials [Sector] is forming a DOJI candle

S&P EUROPE 350 - Financials [Sector] SSPF Monthly Analysis to buy or sell

As per my analysis of S&P EUROPE 350 - Financials [Sector] SSPF, 12 month returns for S&P EUROPE 350 - Financials [Sector] SSPF have been positive, with total returns of 144.32, which is 11.67% with investment starting at 1236.76.
An investment of 100,000 bucks in S&P EUROPE 350 - Financials [Sector] would have become 111670 bucks today.

S&P EUROPE 350 - Financials [Sector] SSPF moves in a range of 45.3 points on a month to month basis. This means that a total of approx 45.3 plus points of returns can be expected in a bullish month, and a total of 45.3 minus points can be expected in a bearish month.
This is about 3.28% of returns per month.

Monthly Candle Stick analysis of S&P EUROPE 350 - Financials [Sector] SSPF

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 02 Thu Apr 2026 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 6.9 HC: 1.4 LC: 5.5 OC: 6.1

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 27 Fri Mar 2026 is showing a red candle, which means that the sellers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 15.4 HC: 11.9 LC: 3.2 OC: 0

S&P EUROPE 350 - Financials [Sector] is moving towards a low expiry

S&P EUROPE 350 - Financials [Sector] is forming a DOJI candle

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 27 Fri Feb 2026 is showing a red candle, which means that the sellers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 8.4 HC: 3 LC: 5.2 OC: 2.6

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 30 Fri Jan 2026 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 4.1 HC: 0.7 LC: 3.5 OC: 3

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

Candle stick analysis of S&P EUROPE 350 - Financials [Sector] as on 24 Wed Dec 2025 is showing a green candle, which means that the buyers are dominating this session.

Candle stick ratios of S&P EUROPE 350 - Financials [Sector] are:
HL: 7.2 HC: 0.2 LC: 6.9 OC: 6.4

S&P EUROPE 350 - Financials [Sector] is moving towards a high expiry

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