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SJM

The J. M. Smucker Company β€’ Consumer Defensive (#7 of 11)

$110.86
-2.10 (-1.86%)
View:
Close:$110.86
Vol:HIGH(85%ile)
Ratio:1.04x
|
RSI:59(Neutral)
MACD:↑
β‰₯75%25-75%<25%
Vol.%
Sector Rotation
2026-06-18(10/10)
20d Strength (bar)
Strong (Β±4%)
Normal (-2~+3%)
5d Strength (normal: -1~+1%)
Relative Strength Trajectory
5d Strength
10d Strength
20d Strength
NASDAQ
10d early: 3~5%|20d confirm: 4~8.5%|>8.5% exhaustion
Analyst Actions
NEUTRAL
β–²0 Upβ–Ό0 Down12 Hold
Jun 11UBS
–Buy
Jun 11Barclays
–Equal-Weight
Jun 10Evercore ISI Group
–Outperform
Jun 10TD Cowen
–Hold
Jun 10JP Morgan
–Overweight
Jun 10RBC Capital
–Outperform
Jun 10Wells Fargo
–Overweight
Jun 10Morgan Stanley
–Equal-Weight
Jun 10B of A Securities
–Buy
Jun 5Morgan Stanley
–Equal-Weight
Price Targets
NEUTRAL
β–²10 Raisesβ–Ό2 Lowers+6.1% avg
Jun 11UBS
$121β†’$130+7.4%
Jun 11Barclays
$103β†’$125+21.4%
Jun 10Evercore ISI Group
$117β†’$120+2.6%
Jun 10TD Cowen
$103β†’$115+11.7%
Jun 10JP Morgan
$120β†’$125+4.2%
Jun 10RBC Capital
$130β†’$135+3.8%
Jun 10Wells Fargo
$125β†’$129+3.2%
Jun 10Morgan Stanley
$106β†’$110+3.8%
Jun 10B of A Securities
$130β†’$132+1.5%
Jun 5Morgan Stanley
$104β†’$106+1.9%
Trade Setup
ATR-based
Entry$110.86
Target$117.34 (+5.8%)
Stop$106.00
R/R1.33
Risk-4.4%
ATR$3.24

Simple setup: 1.5x ATR stop, 2x ATR target

Risk Metrics
Sharpe (20d)
2.95Excellent
Volatility (20d)
45.3%High
Beta (60d)
-0.41Defensive
Alpha (20d)
+9.4%Strong
News Analysis
EN
δΈ­
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ζ—₯

No analysis record found.