Technical Analysis for SLF - Sun Life Financial Inc.

Grade Last Price % Change Price Change
grade A 58.77 0.44% 0.260
SLF closed up 0.44 percent on Wednesday, October 16, 2019, on 89 percent of normal volume.

Earnings due: Nov 7

*** please verify all earnings dates ***

Trend Table & Recent Signals
ADX Long-Term Intermediate-Term Short-Term
Strong Up Up Up
See historical SLF trend table...

Date Alert Name Type % Chg
Up 3 Days in a Row Strength 0.00%
Up 4 Days in a Row Strength 0.00%
Up 5 Days in a Row Strength 0.00%
Crossed Above 20 DMA Bullish 0.44%
Up 3 Days in a Row Strength 0.44%
Up 4 Days in a Row Strength 0.44%
20 DMA Resistance Bearish 1.10%
Shooting Star Candlestick Bearish 1.10%
Doji - Bearish? Reversal 1.10%
Up 3 Days in a Row Strength 1.10%

Older signals for SLF ...

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Basic chart:
Profile
Sun Life Financial Inc. is the holding company of Sun Life Assurance Company of Canada. The Company is a financial services company providing a range of insurance, wealth and asset management solutions to individuals and corporate Clients. It operates through five segments. The Sun Life Financial Canada segment provides retail insurance and investment advice, products and services to people across Canada. The SLF U.S. segment has three business units: Group Benefits, International and In-force Management. Its Sun Life Financial Asset Management segment consists of MFS Investment Management and Sun Life Investment Management. The SLF Asia segment operates through subsidiaries in the Philippines, Hong Kong, Indonesia and Vietnam, as well as through joint ventures and associates with local partners in the Philippines, India, China and Malaysia. Its Corporate segment includes SLF U.K. and Corporate Support. Corporate Support operations consist of its Run-off reinsurance business.
Companies Finance S&P/Tsx 60 Index Asset Management Solutions Axa
Is SLF a Buy, Sell or Hold?
Indicator Bull Case Neutral / Hold Bear Case
50 DMA
200 DMA
ADX Trend
Oversold / Overbought
Relative Strength
Summary: Counts: 4 bullish, 0 bearish and 1 neutral indicators. You may wish to incorporate that into your trading strategies.
Indicators
Indicator Value
52 Week High 59.83
52 Week Low 43.13
Average Volume 1,286,140
200-Day Moving Average 52.8673
50-Day Moving Average 55.9608
20-Day Moving Average 58.329
10-Day Moving Average 57.756
Average True Range 0.7607
ADX 28.23
+DI 31.8175
-DI 20.0083
Chandelier Exit (Long, 3 ATRs ) 57.5479
Chandelier Exit (Short, 3 ATRs ) 58.9021
Upper Bollinger Band 59.7698
Lower Bollinger Band 56.8882
Percent B (%b) 0.65
BandWidth 4.940253
MACD Line 0.4323
MACD Signal Line 0.5459
MACD Histogram -0.1136
Fundamentals Value
Market Cap 36.07 Billion
Num Shares 614 Million
EPS 4.20
Price-to-Earnings (P/E) Ratio 13.99
Price-to-Sales 1.22
Price-to-Book 1.50
PEG Ratio 1.42
Dividend 1.74
Dividend Yield 2.96%
Pivot Point Level Traditional / Classic Fibonacci Demark Woodie Camarilla
Resistance 4 (R4) 59.445
Resistance 3 (R3) 59.430 59.190 59.333
Resistance 2 (R2) 59.190 59.018 59.198 59.295
Resistance 1 (R1) 58.980 58.912 59.085 58.995 59.257
Pivot Point 58.740 58.740 58.793 58.748 58.740
Support 1 (S1) 58.530 58.568 58.635 58.545 58.283
Support 2 (S2) 58.290 58.462 58.298 58.245
Support 3 (S3) 58.080 58.290 58.208
Support 4 (S4) 58.095