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Compagnie de Chemins de Fer Départementaux Société Anonyme

MLCFD EPA

Week Ending
Mon, 15 Sep 2025
Open
915.0000
Close
915.0000
High
915.0000
Low
915.0000
Trend
0.72483
Sharemaestro [Charts]
MLCFD weekly Smart Money chart, closing 2025-09-15.
MLCFD weekly Market Snapshot chart, closing 2025-09-15.
MLCFD weekly Market Cycle chart, closing 2025-09-15.
MLCFD weekly Market Demand chart, closing 2025-09-15.
MLCFD weekly Market Strength chart, closing 2025-09-15.
MLCFD weekly Activity chart, closing 2025-09-15.
MLCFD weekly Market Dynamics chart, closing 2025-09-15.
MLCFD weekly Market Threshold chart, closing 2025-09-15.

Weekly Report

Compagnie de Chemins de Fer Départementaux Société Anonyme (MLCFD) Week Ending: Mon, 15 Sep 2025 ★★★☆☆
Weekly Report
Price
Weekly Close

Compagnie de Chemins de Fer Départementaux Société Anonyme closed at 915.0000 (0.00% WoW) . Data window ends Mon, 15 Sep 2025.

Return Volatility0.00%
Volume TrendRising
What stands out

How to read this — Price slope is flat, suggesting balance between buyers and sellers. Low weekly volatility favours steadier follow-through. Volume or price is flat; confirmation from liquidity is limited. Distance to baseline is narrowing — reverting closer to its fair-value track.

What to watch

Flat slope suggests a wait-and-see approach until the balance shifts.

Trend
Sharemaestro Trend Line

Gauge maps the trend signal to a 0–100 scale.

Gauge Reading72.5/100
DirectionRising
Accelerationdecelerating
Trend StateUptrend at Risk
What stands out

How to read this — Gauge is elevated but momentum is rolling over; topping risk is rising.

What to watch

Stay alert: protect gains or seek confirmation before adding risk.

Conclusion

Neutral ★★★☆☆

Neutral setup. ★★★☆☆ confidence. Price window: 0. Trend: Uptrend at Risk; gauge 72. In combination, liquidity confirmation is mixed.

Strengths
  • Momentum is bullish and rising
  • Low return volatility supports durability
Watch-outs
  • High-level but rolling over (topping risk)
  • Price is not above key averages

Why: Return volatility 0.00%. Volume trend rising. Liquidity flat with price. Trend state uptrend at risk. Momentum bullish and rising.

Price Window Endpoint return over the last N weeks using weekly closes: (Closelast − Closefirst)/Closefirst × 100.
Return Volatility Std-dev of weekly returns (%). Higher = choppier.
Volume Trend Slope of weekly volume across the window (rising / falling / flat).
Vs N-week High % distance of latest close from the highest close in the window.
Accumulation Weeks Weeks price rose on higher volume than the prior week.
Distribution Weeks Weeks price fell on higher volume than the prior week.
MA Stack Relative order of short/intermediate/long MAs. Short > long is constructive.
4–8 Crossover Latest cross of 4-week vs 8-week MA (bullish / bearish / none).
Price vs MAs Whether the close is above/below key averages (8w & 26w).
Baseline Deviation % distance from the market-cycle baseline (fair-value track).
Gauge Reading Smoothed trend signal mapped to 0–100.
Direction Slope sign of the gauge across the window (rising / falling).
Acceleration Change in the slope of the gauge (accelerating / decelerating).
Gauge Volatility Variability of the gauge (low / normal / high).
Zone Label Classification by level (Bullish / Neutral / Bearish).
Target Price (Flag) If flagged: Positive/Negative stance. Otherwise: numeric fair value.
Composite Score Overall model score (0–10).
Hybrid Efficiency Efficiency of growth × quality (0–10).
Rating Model’s verdict for the snapshot.
Weekly Close Sparkline of the last 52 weekly closing prices.
Trend Line Sparkline of the smoothed trend signal over the last 52 weeks.

Tip: Most metrics include a hover tooltip where they appear in the report.

Week Ending: September 15, 2025