O Realty Income Corporation NYQ · Real Estate · USD Watching
Realty Income Corporation, an S&P 500 company, is real estate partner to the world's leading companies. Founded in 1969, we serve our clients as a full-service real estate capital provider. As of June 30, 2026, we have a portfolio of… Realty Income Corporation, an S&P 500 company, is real estate partner to the world's leading companies. Founded in 1969, we serve our clients as a full-service real estate capital provider. As of June 30, 2026, we have a portfolio of over 15,500 properties in all 50 U.S. states, the U.K., and eight other countries in Europe. We are known as "The Monthly Dividend Company" and have a mission to invest in people and places to deliver dependable monthly dividends that increase over time. Since our founding, we have declared 674 consecutive monthly dividends and are a member of the S&P 500 Dividend Aristocrats index for having increased our dividend for over 31 consecutive years. Realty Income Corporation was founded in 1969 and was incorporated in Maryland.
Price history
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Details
IndustryREIT - Retail
ExchangeNYQ
CurrencyUSD
Next-day prediction
↓ Down sell

4% confidence

2-day prediction
↓ Down

13% confidence

Technical signals

Price & volume indicators the model reads, as of 2026-09-10. These are computed from recent trading — momentum, trend, volatility and volume — and feed the prediction above.

Momentum
RSI (14) 0.295
Stochastic %K (14) 0.025
Stochastic %D (14) 0.035
Stochastic RSI (14) 0.000
Trend
Price vs SMA (20) -0.036
Price vs EMA (26) -0.035
Price vs WMA (20) -0.030
PPO (12/26/9) -0.010
Volatility
Bollinger %B (20/2) -0.143
Bollinger Bandwidth (20/2) 0.056
ATR % (14) 0.014
Keltner position (20/10/2) -0.099
Volume
OBV change (20) -0.200
Money Flow Index (14) 0.242
Chaikin Money Flow (20) -0.332
Money Flow Multiplier -0.818
Returns & Statistics
Return (1) -0.009
Return (2) -0.024
Overnight gap 0.003
Intraday range 0.017

Technical indicators — O

These price/volume technical indicators are computed from recent trading and are part of what the prediction model reads for O. Values are as of 2026-09-10 (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'.
0.1804
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'.
0.2951
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'.
0.3591
Stochastic %K (14)
Where the close sits within its recent high–low range (0 = at the low, 1 = at the high).
0.0246
Stochastic %D (14)
A 3-day smoothing of Stochastic %K — the slower signal line.
0.0353
Stochastic %K (9)
Where the close sits within its recent high–low range (0 = at the low, 1 = at the high).
0.0361
Stochastic %D (9)
A 3-day smoothing of Stochastic %K — the slower signal line.
0.0502
Stochastic RSI (14)
RSI rescaled to where it sits in its own recent range (0–1) — a more sensitive overbought/oversold reading.
0.0000
Williams %R (14)
Like the Stochastic, the close's position in the recent range (0 = low, 1 = high).
0.0246
CCI (20)
Commodity Channel Index: how far price is from its average, squashed to about −1…+1. High = unusually strong, low = unusually weak.
-0.9672
CCI (40)
Commodity Channel Index: how far price is from its average, squashed to about −1…+1. High = unusually strong, low = unusually weak.
-0.9357
Rate of Change (5)
Log return over the lookback — simple momentum (positive = up).
-0.0319
Rate of Change (10)
Log return over the lookback — simple momentum (positive = up).
-0.0398
Rate of Change (20)
Log return over the lookback — simple momentum (positive = up).
-0.0451
KDJ %K (9)
Smoothed position of the close in its recent range (0–1).
0.1037
KDJ %D (9)
A further smoothing of KDJ %K.
0.1686
KDJ %J (9)
The fast, sensitive leg of KDJ — exaggerates turns.
-0.0262
Ultimate Oscillator (7/14/28)
Buying pressure blended across short, medium and long windows (0–1).
0.2946
True Strength Index (25/13)
Double-smoothed momentum, about −1…+1 (positive = upward drive).
-0.2186

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.
-0.0252
Price vs SMA (20)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
-0.0358
Price vs SMA (50)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
-0.0507
Price vs SMA (100)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
-0.0384
Price vs SMA (200)
How far the close is above (+) or below (−) its simple moving average, as a fraction.
-0.0175
Price vs EMA (12)
How far the close is above/below its exponential moving average (weights recent prices more).
-0.0257
Price vs EMA (26)
How far the close is above/below its exponential moving average (weights recent prices more).
-0.0355
Price vs EMA (50)
How far the close is above/below its exponential moving average (weights recent prices more).
-0.0401
Price vs EMA (200)
How far the close is above/below its exponential moving average (weights recent prices more).
-0.0120
Price vs WMA (20)
How far the close is above/below its weighted moving average.
-0.0296
PPO (12/26/9)
Percentage Price Oscillator — MACD expressed as a percent so it compares across stocks. Positive = short-term momentum above long-term.
-0.0101
PPO Signal (12/26/9)
The smoothed signal line of the PPO.
-0.0068
PPO Histogram (12/26/9)
PPO minus its signal line — momentum of the momentum.
-0.0033
ADX (14)
Trend strength on a 0–1 scale (direction-agnostic). Higher = a stronger trend.
0.1507
+DI (14)
Strength of upward directional movement (0–1).
0.1443
−DI (14)
Strength of downward directional movement (0–1).
0.3089
Aroon Up (25)
How recently a new high was made (1 = just now).
0.0400
Aroon Down (25)
How recently a new low was made (1 = just now).
1.0000
Aroon Oscillator (25)
Aroon Up minus Down — positive favours an uptrend.
-0.9600
Parabolic SAR distance
How far price is from the trailing stop-and-reverse level, as a fraction of price.
-0.0433
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).
-0.3050
Vortex −VI (14)
Strength of downward trend movement (centred at 0).
0.2258
Vortex difference (14)
+VI minus −VI — positive favours an uptrend.
-0.5308
MA slope (50/20)
The recent slope of a moving average (positive = rising trend).
0.0075

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.
-0.1435
Bollinger Bandwidth (20/2)
How wide the bands are relative to price — bigger means more volatile.
0.0556
ATR % (14)
Average True Range as a percent of price — typical daily swing size.
0.0144
Keltner position (20/10/2)
Where price sits within its Keltner Channel (0–1).
-0.0993
Keltner width (20/10/2)
Width of the Keltner Channel relative to price.
0.0540
Donchian position (20)
Where price sits within its recent high–low channel (0–1).
-0.1494
Donchian width (20)
Width of the recent high–low channel relative to price.
0.0521
Realized volatility (10)
Standard deviation of recent daily returns — how jumpy the stock has been.
0.0063
Realized volatility (20)
Standard deviation of recent daily returns — how jumpy the stock has been.
0.0070
Realized volatility (60)
Standard deviation of recent daily returns — how jumpy the stock has been.
0.0107
Chaikin Volatility (10/10)
Whether the daily high–low range is expanding (+) or contracting (−).
0.1581
Ulcer Index (14)
A drawdown-based stress measure — higher means deeper/longer dips from recent highs.
2.6113

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 (−).
-0.1999
Money Flow Index (14)
A volume-weighted RSI (0–1). High = strong buying pressure.
0.2424
Chaikin Money Flow (20)
Buying vs selling pressure weighted by volume (−1…+1).
-0.3316
Money Flow Multiplier
Where the close finished in the bar's range, the building block of accumulation/distribution (−1…+1).
-0.8182
Accum/Dist change (20)
Recent change in the Accumulation/Distribution line (buying vs selling pressure).
-0.3316
Price vs VWAP (20)
How far the close is above/below the rolling volume-weighted average price.
-0.0361
Force Index (13)
Return times relative volume — the push behind a move.
-0.0105
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.
-1.7670
Volume Rate of Change (14)
Log change in volume vs n days ago — a volume surge/lull.
0.5057
Volume Rate of Change (25)
Log change in volume vs n days ago — a volume surge/lull.
0.0458
Relative Volume (z) (20)
How many standard deviations today's volume is above/below its recent average.
0.2524
Relative Volume (z) (50)
How many standard deviations today's volume is above/below its recent average.
0.4014
Relative Volume (20)
Today's volume vs its recent average (log scale; >0 = above).
0.0964
Relative Volume (50)
Today's volume vs its recent average (log scale; >0 = above).
0.1126

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).
-0.0090
Return (2)
Log return over the horizon (positive = up).
-0.0240
Return (3)
Log return over the horizon (positive = up).
-0.0278
Return (5)
Log return over the horizon (positive = up).
-0.0319
Return (10)
Log return over the horizon (positive = up).
-0.0398
Return (20)
Log return over the horizon (positive = up).
-0.0451
Overnight gap
Open vs the prior close — overnight move.
0.0032
Intraday range
High minus low as a fraction of price — the day's swing.
0.0166
True range
True range (gap-aware swing) as a fraction of price.
0.0166
Return skew (20)
Asymmetry of recent returns — negative means crash-prone tails.
0.3280
Return skew (60)
Asymmetry of recent returns — negative means crash-prone tails.
1.1754
Return kurtosis (20)
Fat-tailedness of recent returns — high means jumpy/extreme moves.
-0.5427
Return kurtosis (60)
Fat-tailedness of recent returns — high means jumpy/extreme moves.
3.1819
Downside deviation (20)
Volatility of only the negative returns — pure downside risk.
0.0061
Downside deviation (60)
Volatility of only the negative returns — pure downside risk.
0.0067
Max drawdown (20)
Largest peak-to-trough drop over the window, as a fraction.
0.0528
Max drawdown (60)
Largest peak-to-trough drop over the window, as a fraction.
0.0862
Return/risk (20)
Average return divided by its volatility — recent risk-adjusted return.
-0.3223
Return/risk (60)
Average return divided by its volatility — recent risk-adjusted return.
-0.0456
Return persistence (20)
Whether up days tend to follow up days (+) or reverse (−).
0.0296
Return persistence (60)
Whether up days tend to follow up days (+) or reverse (−).
-0.0516
Price z-score (20)
How many standard deviations the price is from its recent average.
-2.5089
Price z-score (50)
How many standard deviations the price is from its recent average.
-2.3883
Return z-score (20)
How unusual the latest return is vs recent returns.
-0.9683
Return z-score (50)
How unusual the latest return is vs recent returns.
-0.8115
Company locations
Site City, country Conf.
Realty Income Corporation — Wikidata HQ San Diego, United States 78%
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