Technical Analysis for SLF - Sun Life Financial Inc.

Grade Last Price % Change Price Change
grade C 47.17 1.22% 0.570
SLF closed up 1.22 percent on Monday, May 25, 2020, on 17 percent of normal volume. The stock exhibited some range contraction during this trading session as price made an NR7 -- narrowest range of the last seven sessions.

Trend Table & Recent Signals

ADX Long Term Intermediate Term Short Term
Weak or Absent Down Up Up
Historical SLF trend table...

Date Alert Name Type % Chg
Crossed Above 20 DMA Bullish 0.00%
Narrow Range Bar Range Contraction 0.00%
NR7 Range Contraction 0.00%
Doji - Bearish? Reversal 0.00%
Fell Below 20 DMA Bearish 1.22%
20 DMA Support Bullish 0.23%
MACD Bullish Signal Line Cross Bullish 0.23%
Pocket Pivot Bullish Swing Setup 0.23%
Volume Surge Other 0.23%
Narrow Range Bar Range Contraction 0.23%

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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

Is SLF a Buy, Sell or Hold?

Indicator Bull Case Neutral / Hold Bear Case
50 DMA
200 DMA
ADX Trend
Oversold / Overbought
Relative Strength

Indicators

Indicator Value
52 Week High 66.44
52 Week Low 35.43
Average Volume 2,724,740
200-Day Moving Average 55.599
50-Day Moving Average 44.903
20-Day Moving Average 46.860
10-Day Moving Average 46.580
Average True Range 1.646
ADX 10.42
+DI 25.287
-DI 22.828
Chandelier Exit (Long, 3 ATRs ) 45.042
Chandelier Exit (Short, 3 ATRs ) 47.978
Upper Bollinger Band 49.125
Lower Bollinger Band 44.594
Percent B (%b) 0.57
BandWidth 9.670
MACD Line 0.107
MACD Signal Line 0.058
MACD Histogram 0.0493
Fundamentals Value
Market Cap 28.95 Billion
Num Shares 614 Million
EPS 4.20
Price-to-Earnings (P/E) Ratio 11.23
Price-to-Sales 1.22
Price-to-Book 1.50
PEG Ratio 1.42
Dividend 1.74
Dividend Yield 3.69%
Pivot Point Level Traditional / Classic Fibonacci Demark Woodie Camarilla
Resistance 4 (R4) 48.265
Resistance 3 (R3) 48.243 47.857 48.083
Resistance 2 (R2) 47.857 47.578 47.868 48.022
Resistance 1 (R1) 47.513 47.406 47.685 47.535 47.961
Pivot Point 47.127 47.127 47.213 47.138 47.127
Support 1 (S1) 46.783 46.848 46.955 46.805 46.379
Support 2 (S2) 46.397 46.676 46.408 46.318
Support 3 (S3) 46.053 46.397 46.258
Support 4 (S4) 46.075