$15.520
-0.188 (-1.21%)Al cierre
Predicciones de precio
Ábrelo en la app para desbloquear previsiones a más largo plazo.
Predicción y previsión de UBCP por análisis de gráficos similares
Alphio's UBCP stock price prediction model matches the current United Bancorp Inc tape against historical breakout patterns, then publishes 1-day and 1-week targets first. The 1-day print is $16.06 (+3.48%). The 1-week path is $15.33 (-1.24%). Longer windows use the same pattern set plus seasonality; the 1-month and multi-year forecasts sit behind unlock because they include precise min / avg / max bands.
¿Debería comprar acciones de United Bancorp Inc?
United Bancorp Inc (UBCP) is a good buy right now due to its attractive forward P/E ratio of 10.30 and a solid dividend yield of 4.94%, which is appealing for long-term investors. The stock has shown a year-to-date change of +8.23%, indicating positive momentum. However, the current RSI of 43.77 suggests that the stock is nearing oversold territory, which could present a buying opportunity. The main risk is the recent 5-day price change of -2.39%, indicating some short-term volatility.
UBCP cerró en $15.52 el Friday, tras bajar -1.21%
United Bancorp Inc (UBCP) last closed at $15.52, losing -1.21%. These facts feed the 1-day and 1-week UBCP price prediction above.
Factores de la previsión
Los factores de la previsión de United Bancorp Inc (UBCP) combinan patrones gráficos similares, estacionalidad y medias móviles.
Similar patterns
Bullish
Seasonality
Bullish
SMA 20
Bearish
SMA 200
Bullish
Patrones gráficos similares
Acciones cuya trayectoria reciente más se parece a la de UBCP, ordenadas por similitud.
Análisis de estacionalidad de UBCP
Historically the probability of a positive August return for UBCP is 65.08%. December offers the highest probability of a positive month at 72.09%, while January is the weakest seasonal window. Alphio blends this calendar with technical signals and similar chart pattern matching before it writes the forecast.
Esta página es solo para investigación y no constituye asesoramiento de inversión. Los modelos pueden equivocarse. El rendimiento pasado no garantiza resultados futuros.