JPM — JPMorgan Chase signal & RSI today

JPM is trading 4.9% off its 52-week high with RSI 65 — no decisive signal either way right now.

Hold Market regime: Watch $901B · Large-cap
Current price
$320.82
extended-hours quote
RSI(14)
64.9
buy < 37.9 · sell > 70
Buy score
21/100
Skip
Sell score
20/100
Hold

30-day price action

52-week: $262.71 – $337.25 5-year: $101.28 – $337.25

Signal breakdown

Suggested buy entry$288.6552-week low floor, never deeper than -10% from current
Suggested sell target$499.173y CAGR projection (5.0y base)
Risk ratingLow-Moderateannualized volatility 24.5% · max 5y drawdown -40.6%

Why the buy score is what it is

  • +10 pts — 5.0y CAGR 15.9% (strong long-term growth)
  • +5 pts — 50dma 306.59 > 200dma 306.56 (200dma rising over last 20 sessions)
  • +5.9 pts — large-cap headroom (5.9 pts on smooth log-Gaussian)

Why the sell score is what it is

  • +10 pts — price in 99th pctile of 5y range
  • +10 pts — 5 SPY distribution days in last 20 sessions

What these signals mean

RSI(14) — Relative Strength Index

Momentum oscillator from 0–100. Classic interpretation: below 30 is oversold (potential bounce), above 70 is overbought (potential cool-off). We calibrate the thresholds per stock using its own 1-year RSI distribution (10th and 90th percentile, clamped). Currently 64.9, between calibrated thresholds (buy < 37.9, sell > 70).

Composite buy / sell score (0–100)

Combines RSI, earnings yield vs Treasury (ERP), P/E percentile vs 5-year range, golden/death cross, distribution days, macro regime flags, and market-cap headroom into a single 0–100 number. We surface a buy candidate at ≥50, strong buy at ≥70, sell at ≥70.

Suggested entry / sell target

Entry = the higher of the 52-week low and -10% from current (we don't ask you to wait for a crash). Sell target = the higher of 52-week high or a 3-year CAGR projection if the stock is in a confirmed uptrend, then capped if the implied market cap would exceed $10T.

Risk rating

Combines annualized volatility, beta vs S&P, and 5-year max drawdown. "Low" stocks have predictable behavior; "Very High" stocks can swing 50%+ in months. Use this to size positions, not as a verdict on whether to own.

For the exact math, see the Methodology page.

Signal history

No global signals logged for JPM yet. Signal capture goes live with each deployment; the public track record accrues from there. The system never backfills historical signals — what you see is what fired forward.

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Not financial advice. JPM signal interpretation generated automatically from public price + macro data. Signals are statistical, not predictive. See disclaimer for full terms. Data updated Sat, 13 Jun 2026 01:41:08 GMT.