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| (Date Report Was Created: 08-Sep-2010) |   | | Compass Group plc (CPG) | CONSUMER DISCRETIONARY | | Last: 542.5  (+2.00 pts, 0.37%)  Open: 540  High: 547.5  low: 536.5   | HOTELS RESTAURANTS AND LEISURE |
Quick Summary- The Stock is in Accumulation Phase. The Accumulation Phase usually occurs when the as the market is firming up. Generally, the Market is showing signs that buyers are entering the market.
- The stock has retraced 5.57% from its recent high price of 574.50 which occurred on 21-Jun-2010. The current price has risen above the 50 day moving average of 532.7424. A sustained move above the average could signal development of an uptrend.
- The closest support can be found at 533.50. See Support/Resistance section for details.
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How to trade Compass Group plc(CPG)? - Breakout Trade: We would look for this stock to either close above @ to go long or close below 526.50 to go short.
- Retracement Trade: Consider buying when the price retraces around 526.50. Consider selling/shorting when the price approaches @.
- Risk Management: Consider risking somewhere between 20.7750 (3.80%) and 34.6250 (6.33%) points on your position. Risk management is an important part of trading. Our risk management strategy is based on the average daily range of the stock.
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| Market Phase:? | Accumulation | This indicator compares long term trend with short term price action to explain the current phase of the market. According to the indicator, the stock of Compass Group plc is in the Warning Phase. The market for CPG may have briefly paused from rising, and is now showing weak signs of selling. |
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| Short Term Trend: |            (+10)
| The short term trend indicator looks at 10 to 20 day timeframe to determine the current trend. Compass Group plc(CPG) is currently congested with slight down trend. |
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| 3 Day Money Flow: |            (-10)
| The money flowing for last 3 days in CPG has been strongly bearish. This indicator summarizes the price and volume activity over last 3 days. It is a very short term indicator. |
| Relative Strength is a measure of price trend that indicates how a stock is performing relative to other stocks. Better the performance, higher the ranking. In case of volatility, higher the volatility, higher the risk. |
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| Overall: |            (+8)
| The 100 day performance of CPG is 8.96%. Compared to other stocks in the market, the performance of Compass Group plc has been above average. Compass Group plc has outperformed 70% of all the stocks we track. | |   |
| Volatility: |      (-2)
| The volatility is a measure of risk. The annual volatility of Compass Group plc is 26.76%. Compared to other stocks in the market, the volatility of Compass Group plc has been below average. The volatility of Compass Group plc has been in the bottom 20% of all the stocks we track. | |   |
| 5 Day: |       (-3)
| The 5 day performance of CPG is -1.97%. Compared to other stocks in the market, the performance of Compass Group plc has been average. Compass Group plc has underperformed 70% of all the stocks we track. | |   |
| 20 Day: |          (+6)
| The 20 day performance of CPG is 4.69%. Compared to other stocks in the market, the performance of Compass Group plc has been average. Compass Group plc has outperformed 50% of all the stocks we track. | |   |
| 50 Day: |          (+6)
| The 50 day performance of CPG is 4.59%. Compared to other stocks in the market, the performance of Compass Group plc has been average. Compass Group plc has outperformed 50% of all the stocks we track. | |   |
| Phase:? | Accumulation
|   | Relative Strength: |            (+8)
| | EPS Growth(yoy): |  N/A   (-0)
|   | Fundamental: |  N/A   (-0)
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