CCL Carnival Corporation Ltd. NYQ · Consumer Cyclical · USD Watching
Carnival Corporation Ltd., a cruise company, provides leisure travel services. The company operates through four segments: North America Cruise Operations, Europe Cruise Operations, Cruise Support, and Tour and Other. It operates port destinations and islands, as well as owns and… Carnival Corporation Ltd., a cruise company, provides leisure travel services. The company operates through four segments: North America Cruise Operations, Europe Cruise Operations, Cruise Support, and Tour and Other. It operates port destinations and islands, as well as owns and operates hotels, lodges, glass-domed railcars, and motorcoaches. The company offers its services under the AIDA Cruises, Carnival Cruise Line, Costa Cruises, Cunard, Holland America Line, P&O Cruises (Australia), P&O Cruises (UK), Princess Cruises, and Seabourn brands. It sells its cruises through travel agents, tour operators, vacation planners, websites, and onboard future cruise consultants. Carnival Corporation Ltd. was founded in 1972 and is headquartered in Miami, Florida.
Price history
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Details
IndustryTravel Services
ExchangeNYQ
CurrencyUSD
Next-day prediction
↓ Down sell

9% confidence

2-day prediction
↓ Down

15% confidence

Technical signals

Price & volume indicators the model reads, as of 2026-07-27. These are computed from recent trading — momentum, trend, volatility and volume — and feed the prediction above.

Momentum
RSI (14) 0.509
Stochastic %K (14) 0.845
Stochastic %D (14) 0.466
Stochastic RSI (14) 1.000
Trend
Price vs SMA (20) 0.009
Price vs EMA (26) 0.005
Price vs WMA (20) 0.024
PPO (12/26/9) -0.016
Volatility
Bollinger %B (20/2) 0.562
Bollinger Bandwidth (20/2) 0.146
ATR % (14) 0.040
Keltner position (20/10/2) 0.569
Volume
OBV change (20) -0.221
Money Flow Index (14) 0.428
Chaikin Money Flow (20) -0.192
Money Flow Multiplier 0.098
Returns & Statistics
Return (1) 0.030
Return (2) 0.071
Overnight gap 0.033
Intraday range 0.030

Technical indicators — CCL

These price/volume technical indicators are computed from recent trading and are part of what the prediction model reads for CCL. Values are as of 2026-07-27 (coverage 100% — the share of indicators with enough price history to compute). A value of 0 with low coverage usually means "not enough history yet", not a true reading.

Momentum

Oscillators that gauge how strongly and how fast the price has been moving — used to spot overbought/oversold conditions and shifts in drive.

RSI (7)
Relative Strength Index: 0–1 scale of recent gains vs losses. Above ~0.7 is 'overbought' (may be due to cool off); below ~0.3 'oversold'.
0.5854
RSI (14)
Relative Strength Index: 0–1 scale of recent gains vs losses. Above ~0.7 is 'overbought' (may be due to cool off); below ~0.3 'oversold'.
0.5091
RSI (21)
Relative Strength Index: 0–1 scale of recent gains vs losses. Above ~0.7 is 'overbought' (may be due to cool off); below ~0.3 'oversold'.
0.4993
Stochastic %K (14)
Where the close sits within its recent high–low range (0 = at the low, 1 = at the high).
0.8452
Stochastic %D (14)
A 3-day smoothing of Stochastic %K — the slower signal line.
0.4657
Stochastic %K (9)
Where the close sits within its recent high–low range (0 = at the low, 1 = at the high).
0.8452
Stochastic %D (9)
A 3-day smoothing of Stochastic %K — the slower signal line.
0.5000
Stochastic RSI (14)
RSI rescaled to where it sits in its own recent range (0–1) — a more sensitive overbought/oversold reading.
1.0000
Williams %R (14)
Like the Stochastic, the close's position in the recent range (0 = low, 1 = high).
0.8452
CCI (20)
Commodity Channel Index: how far price is from its average, squashed to about −1…+1. High = unusually strong, low = unusually weak.
0.1273
CCI (40)
Commodity Channel Index: how far price is from its average, squashed to about −1…+1. High = unusually strong, low = unusually weak.
-0.3469
Rate of Change (5)
Log return over the lookback — simple momentum (positive = up).
0.0406
Rate of Change (10)
Log return over the lookback — simple momentum (positive = up).
0.0190
Rate of Change (20)
Log return over the lookback — simple momentum (positive = up).
-0.0694
KDJ %K (9)
Smoothed position of the close in its recent range (0–1).
0.5132
KDJ %D (9)
A further smoothing of KDJ %K.
0.3850
KDJ %J (9)
The fast, sensitive leg of KDJ — exaggerates turns.
0.6468
Ultimate Oscillator (7/14/28)
Buying pressure blended across short, medium and long windows (0–1).
0.4775
True Strength Index (25/13)
Double-smoothed momentum, about −1…+1 (positive = upward drive).
-0.1153

Trend

Moving-average and directional measures of which way the price is trending and how strong that trend is.

Price vs SMA (10)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
0.0297
Price vs SMA (20)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
0.0090
Price vs SMA (50)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
-0.0084
Price vs SMA (100)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
0.0151
Price vs SMA (200)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
-0.0237
Price vs EMA (12)
How far the close is above/below its exponential moving average (weights recent prices more).
0.0223
Price vs EMA (26)
How far the close is above/below its exponential moving average (weights recent prices more).
0.0055
Price vs EMA (50)
How far the close is above/below its exponential moving average (weights recent prices more).
-0.0022
Price vs EMA (200)
How far the close is above/below its exponential moving average (weights recent prices more).
-0.0114
Price vs WMA (20)
How far the close is above/below its weighted moving average.
0.0240
PPO (12/26/9)
Percentage Price Oscillator — MACD expressed as a percent so it compares across stocks. Positive = short-term momentum above long-term.
-0.0164
PPO Signal (12/26/9)
The smoothed signal line of the PPO.
-0.0157
PPO Histogram (12/26/9)
PPO minus its signal line — momentum of the momentum.
-0.0007
ADX (14)
Trend strength on a 0–1 scale (direction-agnostic). Higher = a stronger trend.
0.1369
+DI (14)
Strength of upward directional movement (0–1).
0.2522
−DI (14)
Strength of downward directional movement (0–1).
0.2203
Aroon Up (25)
How recently a new high was made (1 = just now).
0.0000
Aroon Down (25)
How recently a new low was made (1 = just now).
0.9200
Aroon Oscillator (25)
Aroon Up minus Down — positive favours an uptrend.
-0.9200
Parabolic SAR distance
How far price is from the trailing stop-and-reverse level, as a fraction of price.
-0.0160
Parabolic SAR side
+1 when price is above the SAR (uptrend), −1 below.
-1.0000
Vortex +VI (14)
Strength of upward trend movement (centred at 0).
-0.0755
Vortex −VI (14)
Strength of downward trend movement (centred at 0).
-0.1357
Vortex difference (14)
+VI minus −VI — positive favours an uptrend.
0.0602
MA slope (50/20)
The recent slope of a moving average (positive = rising trend).
0.0056

Volatility

How much the price is swinging around — wide bands and high readings mean larger, riskier moves.

Bollinger %B (20/2)
Where price sits within its Bollinger Bands (0 = lower band, 1 = upper). Above 1 or below 0 is an extended move.
0.5617
Bollinger Bandwidth (20/2)
How wide the bands are relative to price — bigger means more volatile.
0.1460
ATR % (14)
Average True Range as a percent of price — typical daily swing size.
0.0404
Keltner position (20/10/2)
Where price sits within its Keltner Channel (0–1).
0.5694
Keltner width (20/10/2)
Width of the Keltner Channel relative to price.
0.1591
Donchian position (20)
Where price sits within its recent high–low channel (0–1).
0.4449
Donchian width (20)
Width of the recent high–low channel relative to price.
0.1659
Realized volatility (10)
Standard deviation of recent daily returns — how jumpy the stock has been.
0.0216
Realized volatility (20)
Standard deviation of recent daily returns — how jumpy the stock has been.
0.0223
Realized volatility (60)
Standard deviation of recent daily returns — how jumpy the stock has been.
0.0303
Chaikin Volatility (10/10)
Whether the daily high–low range is expanding (+) or contracting (−).
-0.1454
Ulcer Index (14)
A drawdown-based stress measure — higher means deeper/longer dips from recent highs.
3.2843

Volume

Whether trading activity is confirming the price move — money flowing in or out, and unusually heavy or light volume.

OBV change (20)
On-Balance Volume trend — net volume flowing in (+) or out (−).
-0.2208
Money Flow Index (14)
A volume-weighted RSI (0–1). High = strong buying pressure.
0.4282
Chaikin Money Flow (20)
Buying vs selling pressure weighted by volume (−1…+1).
-0.1922
Money Flow Multiplier
Where the close finished in the bar's range, the building block of accumulation/distribution (−1…+1).
0.0976
Accum/Dist change (20)
Recent change in the Accumulation/Distribution line (buying vs selling pressure).
-0.1922
Price vs VWAP (20)
How far the close is above/below the rolling volume-weighted average price.
0.0083
Force Index (13)
Return times relative volume — the push behind a move.
0.0360
Ease of Movement (sign) (14)
+1 when price rose easily on light volume, −1 when it fell easily.
1.0000
Ease of Movement (z) (14)
How unusual today's ease-of-movement is vs recent days.
0.9193
Volume Rate of Change (14)
Log change in volume vs n days ago — a volume surge/lull.
0.1454
Volume Rate of Change (25)
Log change in volume vs n days ago — a volume surge/lull.
-0.4002
Relative Volume (z) (20)
How many standard deviations today's volume is above/below its recent average.
0.4821
Relative Volume (z) (50)
How many standard deviations today's volume is above/below its recent average.
-0.3439
Relative Volume (20)
Today's volume vs its recent average (log scale; >0 = above).
0.1172
Relative Volume (50)
Today's volume vs its recent average (log scale; >0 = above).
-0.1216

Returns & Statistics

Recent returns over several horizons plus statistical shape (skew, fat tails, drawdown, risk-adjusted return).

Return (1)
Log return over the horizon (positive = up).
0.0296
Return (2)
Log return over the horizon (positive = up).
0.0707
Return (3)
Log return over the horizon (positive = up).
0.0383
Return (5)
Log return over the horizon (positive = up).
0.0406
Return (10)
Log return over the horizon (positive = up).
0.0190
Return (20)
Log return over the horizon (positive = up).
-0.0694
Overnight gap
Open vs the prior close — overnight move.
0.0330
Intraday range
High minus low as a fraction of price — the day's swing.
0.0302
True range
True range (gap-aware swing) as a fraction of price.
0.0428
Return skew (20)
Asymmetry of recent returns — negative means crash-prone tails.
0.5759
Return skew (60)
Asymmetry of recent returns — negative means crash-prone tails.
0.5669
Return kurtosis (20)
Fat-tailedness of recent returns — high means jumpy/extreme moves.
0.0747
Return kurtosis (60)
Fat-tailedness of recent returns — high means jumpy/extreme moves.
0.4943
Downside deviation (20)
Volatility of only the negative returns — pure downside risk.
0.0162
Downside deviation (60)
Volatility of only the negative returns — pure downside risk.
0.0189
Max drawdown (20)
Largest peak-to-trough drop over the window, as a fraction.
0.1343
Max drawdown (60)
Largest peak-to-trough drop over the window, as a fraction.
0.1822
Return/risk (20)
Average return divided by its volatility — recent risk-adjusted return.
-0.1555
Return/risk (60)
Average return divided by its volatility — recent risk-adjusted return.
0.0355
Return persistence (20)
Whether up days tend to follow up days (+) or reverse (−).
0.0097
Return persistence (60)
Whether up days tend to follow up days (+) or reverse (−).
-0.1352
Price z-score (20)
How many standard deviations the price is from its recent average.
0.2404
Price z-score (50)
How many standard deviations the price is from its recent average.
-0.1450
Return z-score (20)
How unusual the latest return is vs recent returns.
1.4796
Return z-score (50)
How unusual the latest return is vs recent returns.
0.9263
Company locations
Site City, country Conf.
Carnival Corporation Ltd. — Wikidata HQ Southampton, United Kingdom 78%
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