NVIDIA (NVDA): RSI, moving averages, 52-week range · daily

On 2026-08-17, NVIDIA (NVDA) closed at 225.01 USD, down 0.07% on the day. It trades at 84.1% of its 52-week range. Its RSI(14) of 62.85 is in the 76th percentile of its history since 1999. Its 20-day return of +10.69% is in the 70th percentile. Its RSI last entered overbought 96 days ago (2026-05-13) and oversold 500 days ago (2025-04-04). It is trading above its 20-, 50- and 200-day moving averages. Its 20/50/200-day moving averages are 211.48 / 206.65 / 195.04 USD, with price +6.40% / +8.89% / +15.37% against them. Its moving averages stack 20-day > 50-day > 200-day. Its 52-week range is 164.07–236.54 USD; it closed 4.87% below the high and 37.14% above the low. The high was set 95 days ago (2026-05-14) and the low 346 days ago (2025-09-05). It is 4.87% below its all-time high, set 95 days ago (2026-05-14). Its 20-day volatility is 2.403% daily, in the 31st percentile of its history since 1999. Its realized volatility across horizons is 5-day 1.336%, 20-day 2.403%, 60-day 2.528%, and 120-day 2.478% daily. Its 14-day average true range (ATR) is 6.65 USD, 2.96% of price. It has returned +3.43% over 5 days, +8.89% over 10 days, +10.69% over 20 days, +0.69% over 60 days, +16.68% over 120 days, and +23.62% over 252 days. Against the S&P 500, its weekly-return beta +1.63 / correlation +0.61 (52-week); beta +1.78 / correlation +0.69 (26-week). Relative to the S&P 500, it has returned +6.64% (20-day), -3.51% (60-day), and +3.88% (252-day). Its weekly-return correlation to the change in the US 10-year TIPS real yield is +0.04 (52-week); -0.12 (26-week). Next earnings are scheduled for 2026-08-26.

=== NVIDIA (NVDA)  (USD) ===
  price & change   (as of 2026-08-17, prior 2026-08-14)
    close       225.01
    change      -0.15  (-0.067%)
  range            (as of 2026-08-17)
    range       3.06
    close pos   4.9% of range
  moving averages  (as of 2026-08-17)
     20d MA     211.48   price above by +6.40%
     50d MA     206.65   price above by +8.89%
    200d MA     195.04   price above by +15.37%
    price > all MAs
    stack: 20d > 50d > 200d
  volatility       (as of 2026-08-17)
    20d stdev   2.403% daily ≈ 38.1% annualized (×√252)   (31st pct of own history, since 1999 (6256 obs))
    term struct  5d 1.336% · 20d 2.403% · 60d 2.528% · 120d 2.478% daily
    vs easing-2024 avg  0.79× (2.403% vs 3.043% era avg)
  ATR              (as of 2026-08-17)
    ATR(14)    6.65
    ATR%        2.96%   (20th pct of own history, since 1999 (6262 obs))
    range/ATR   46.0%
  relative volume  (as of 2026-08-17)
    RVOL        0.68x  (today vs 20-day average volume)
    pctile      18th pct of own history, since 1999 (6256 obs)
  52-week range    (as of 2026-08-17)
    high        236.54   (-4.87% from high)   [2026-05-14, 95d ago]
    low         164.07   (+37.14% from low)   [2025-09-05, 346d ago]
    drawdown    -4.87% from all-time high, 95d ago (2026-05-14)
  momentum         (as of 2026-08-17)
    RSI(14)     62.85   (76th pct of own history, since 1999 (6262 obs))
    last overbought   96d ago (2026-05-13)
    last oversold   500d ago (2025-04-04)
  MACD             (as of 2026-08-17)
    MACD(12,26,9)   +5.50 (above signal)   signal +3.68   hist +1.82
  returns          (as of 2026-08-17)
      5d return  +3.43%
     10d return  +8.89%
     20d return  +10.69%
     60d return  +0.69%
    120d return  +16.68%
    252d return  +23.62%
  volatility by rate-era
    pre-crisis       6.46%   (from 1999-01-22)
    ZIRP-2009        3.05%
    tightening-2015  2.87%
    ZIRP-2019        3.05%
    tightening-2022  3.56%
    easing-2024      3.04%
  real-yield sensitivity (weekly returns vs weekly Δ in 10Y TIPS real yield, DFII10)  (as of 2026-08-14)
    vs real yield (Δ) -0.12 (26w)
    vs real yield (Δ) +0.04 (52w)
  S&P 500 market factor (weekly returns)  (as of 2026-08-17)
    vs S&P 500  beta +1.78  corr +0.69  (26w)
    vs S&P 500  beta +1.63  corr +0.61  (52w)
    vs S&P 500  +6.64% rel (20d return)
    vs S&P 500  -3.51% rel (60d return)
    vs S&P 500  +3.88% rel (252d return)
    vs XLK (Information Technology)  beta +0.96  corr +0.75  (26w)
    vs XLK (Information Technology)  beta +0.98  corr +0.71  (52w)
  earnings horizon
    next earnings 2026-08-26  (9 days)