indicesshi packaging

SHI: Packaging

sharpely's custom index created to track Packaging. It is created by picking top 20 stocks in the industry by market capitalization.
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Price, Returns and Range Analysis

SHI: Packaging price range, absolute returns and CAGR across 11 timeframes from 1 day to 20 years.
TimeSummaryAbsolute returnsCAGROpenHighLowClose% Below High% Above Low
1 Day
Low
2,079.61
High
2,079.61
+1.76 %2,079.612,079.612,079.612,079.610.00 %+0.00 %
1 Week
Low
1,989.48
High
2,079.61
+3.95 %1,992.442,079.611,989.482,079.610.00 %+4.53 %
1 Month
Low
1,842.79
High
2,079.61
+10.96 %1,877.462,079.611,842.792,079.610.00 %+12.85 %
3 Months
Low
1,746.26
High
2,079.61
+20.62 %1,746.262,079.611,746.262,079.610.00 %+19.09 %
6 Months
Low
1,625.60
High
2,079.61
+9.48 %1,879.142,079.611,625.602,079.610.00 %+27.93 %
1 Year
Low
1,625.60
High
2,284.50
-6.99 %-7.14 %2,239.032,284.501,625.602,079.61-8.97 %+27.93 %
2 Years
Low
1,625.60
High
2,663.19
-3.69 %-2.48 %2,186.772,663.191,625.602,079.61-21.91 %+27.93 %
3 Years
Low
1,625.60
High
2,663.19
+11.65 %+3.87 %1,855.702,663.191,625.602,079.61-21.91 %+27.93 %
5 Years
Low
1,408.70
High
2,663.19
+24.14 %+4.24 %1,690.122,663.191,408.702,079.61-21.91 %+47.63 %

Technical Indicators

SHI: Packaging oscillators, moving averages and candlestick patterns across multiple timeframes.
Oscillators
No data
Moving Averages
No data
Patterns
No data

Pivot Points

SHI: Packaging support and resistance levels using Standard, Fibonacci, Woodie, Camarilla and other pivot methods.
No pivot data available for the selected timeframe

Frequently Asked Questions

What is the current level of SHI: Packaging?
SHI: Packaging is currently at 2,079.61. The 52-week high is 2,284.5 and the 52-week low is 1,625.6. The index is 8.97% below its 52-week high.
What are the 1-year and multi-year returns of SHI: Packaging?
SHI: Packaging has delivered the following returns — 1W: 3.95%, 1M: 10.96%, 1Y: -6.99%, 3Y CAGR: 3.87%, 5Y CAGR: 4.24%. The full price history and OHLC range breakdown across all timeframes is in the Price & Range Analysis section.
What is the 52-week high and low of SHI: Packaging?
SHI: Packaging's 52-week high is 2,284.5 and 52-week low is 1,625.6, giving a range of 40.53%. At the current level of 2,079.61, the index is 8.97% below the 52-week high. The 52-week range is a key reference for support (near 52W low) and resistance (near 52W high) levels.
What are the support and resistance levels for SHI: Packaging?
Key technical levels for SHI: Packaging: the 52-week high of 2,284.5 acts as major resistance, while the 52-week low of 1,625.6 is major support. The current level is 2,079.61. Precise pivot-based support and resistance levels — Standard, Fibonacci, Woodie and Camarilla — for all timeframes are in the Pivots section.
Is SHI: Packaging in an overbought or oversold zone?
The overbought/oversold assessment for SHI: Packaging using RSI, Stochastic, CCI and Williams %R across all timeframes is in the Indicators section of the Index Technicals tab.
What are the moving average signals for SHI: Packaging?
SHI: Packaging is at 2,079.61, which is 8.97% below its 52-week high of 2,284.5. Moving average signals — 20, 50, 100, 200-day SMA and EMA — across all timeframes are in the Indicators section of the Index Technicals tab.
What is the MACD signal for SHI: Packaging?
SHI: Packaging has gained 10.96% over the last month. The MACD (Moving Average Convergence Divergence) signal and histogram for SHI: Packaging across the 1D, 1W and 1M timeframes are shown in the Indicators section. A MACD line crossing above the signal line is a bullish trigger; crossing below is bearish.
What are the Fibonacci and Standard pivot levels for SHI: Packaging?
With SHI: Packaging at 2,079.61, 52-week high 2,284.5 and low 1,625.6, the Fibonacci retracement levels act as key support and resistance. Precise Standard, Fibonacci, Woodie and Camarilla pivot levels for all timeframes — 1D, 1W, 1M — are in the Pivots section of the Index Technicals tab.
What is the 3-year and 5-year CAGR of SHI: Packaging?
SHI: Packaging has delivered a 3-year CAGR of 3.87% and 5-year CAGR of 4.24%. The 1-year return is -6.99%. These CAGRs represent the annualised return an investor would have earned by holding the index over these periods. Full OHLC data for all periods is in the Price & Range Analysis section.
What is the 1-week and 1-month performance of SHI: Packaging?
SHI: Packaging has gained 3.95% over 1 week and gained 10.96% over 1 month from the current level of 2,079.61. The 3-year CAGR is 3.87%. Returns across all timeframes are in the Price & Range Analysis section.