SE (SEA LTD-ADR) Technical Analysis

SE Technical Analysis leverages historical price and volume data to provide real-time indicator values and signals, including RSI, MACD, Bollinger Bands, and volume, to reflect market momentum, volatility ranges, and price-volume dynamics. It also integrates market sentiment metrics such as the VIX volatility index, Advance-Decline ratio (A/D ratio), and Put/Call options ratio for broader market context. Multi-timeframe views span from minute intervals to daily, weekly, and monthly charts, making it easy to track indicator behavior across periods. Key support and resistance levels are displayed alongside current prices, calculated via pivots, Fibonacci retracements, and historical extremes to offer an immediate overview of market structure.
SE
SE

SEA LTD-ADR

$101.64+6.30%
Today's High$102.47
Today's Low$95.66
Today's Open$96.10
Yesterday's Close$95.61

SE (SEA LTD-ADR) Technical Analysis Overview

AI CreationAs of June 30, 2026, SEA LTD-ADR (SE) is showing mixed technical signals with near-term bullish momentum constrained by longer-term bearish structure. The MACD Level at 1.1531 has triggered a Buy signal with a golden cross formation, indicating early momentum building, while RSI(14) sits at 58.35 in the neutral zone, suggesting equilibrium between bullish and bearish forces without decisive conviction. EMA10 at 91.13 and EMA20 at 89.97 trade near the current price of 95.08, providing near-term support, but SMA200 at 119.53 carries a Sell signal and sits significantly above price, establishing a steep longer-term downtrend that dominates the **SE technical analysis**. The moving average system shows conflicting alignment with short-term Buy signals offset by the bearish SMA200 structure, suggesting consolidation rather than decisive directional conviction. Overall, the near-term SE price outlook reflects a consolidation phase where short-term strength is being tested against intermediate and long-term structural resistance.

Oscillators

Strong Sell
Strong Buy
Neutral
1
Sell
8
Neutral
2
Buy

Summary

Strong Sell
Strong Buy
Buy
3
Sell
9
Neutral
14
Buy

Moving Averages

Strong Sell
Strong Buy
Strong Buy
2
Sell
1
Neutral
12
Buy

SE (SEA LTD-ADR) Live Candlestick Chart

SE (SEA LTD-ADR) Multi-Timeframe Technical Rating

Summary1H4H1D1W
Moving Averages (15)13114012286
Oscillators (11)NeutralNeutralNeutralNeutral
RSI (14)77.071.766.351.0
MACD (12,26)Golden CrossGolden CrossGolden CrossDeath Cross

SE (SEA LTD-ADR) Technical Indicator Interpretation

Based on 1-day closing price series

Oscillators

NameValueOperation
RSI(14)
66.3402Neutral
Stochastic %K (14, 3, 3)
91.7881Neutral
Commodity Channel Index (CCI) (20)
226.0521Neutral
Average Directional Index (ADX) (14)
18.1155Neutral
Awesome Oscillator (AO)
3.136Neutral
Momentum Indicator (10)
14.94Buy
MACD Level (12, 26)
2.019Buy
Stochastic RSI Fast (3, 3, 14, 14)
98.7531Neutral
Williams Percent Range (%R) (14)
-4.2505Sell
Bull Bear Power (BBP)
13.6811Neutral
Ultimate Oscillator (UO) (7, 14, 28)
67.4163Neutral

Moving Averages

NameValueOperation
EMA (10)
93.2473Buy
SMA (10)
92.657Buy
EMA (20)
91.2022Buy
SMA (20)
89.429Buy
EMA (30)
90.3624Buy
SMA (30)
89.7327Buy
EMA (50)
90.3432Buy
SMA (50)
88.681Buy
EMA (100)
96.2712Buy
SMA (100)
90.9256Buy
EMA (200)
108.9552Sell
SMA (200)
119.0688Sell
Ichimoku Kinko Hyo Base Line (9, 26, 52, 26)
91.74Neutral
Volume-Weighted Moving Average (VWMA) (20)
89.5157Buy
Hull Moving Average (HMA) (9)
96.901Buy

SE (SEA LTD-ADR) Pivot Points

Based on 1-day timeframe

PriceClassicFibonacciCamarillaWoodieDM
R3125.4767108.4767100.505122.39-
R2108.4767101.982798.9467110.095-
R1102.153397.970797.3883105.39105.315
Pivot P91.476791.476791.476793.09593.0575
S185.153384.982794.271788.3988.315
S274.476780.970792.713376.095-
S357.476774.476791.15571.39-

SE (SEA LTD-ADR) Market Sentiment Index

Analyst Rating140.4957
Options Put/Call Ratio+23.32%
Implied Volatility (IV)61.2152

SE (SEA LTD-ADR) Deep Technical Analysis

As of June 30, 2026, SEA LTD-ADR (SE) is exhibiting a mixed technical structure with conflicting timeframe signals. The MACD Level at 1.1531 has generated a Buy signal with a golden cross formation, indicating early-stage momentum building; however, RSI(14) at 58.35 sits in the neutral zone (45–70 range), suggesting that bullish and bearish forces remain in equilibrium and lack decisive upside acceleration. Momentum(10) at 7.92 carries a Sell signal, yet the overall **SE market analysis** shows limited conviction for a sustained rally given the structural headwinds from longer-term averages. Average Directional Index (14) stands at 15.81 with a Neutral signal, indicating weak trend strength and suggesting that directional persistence is low—the market is more prone to oscillation and consolidation rather than trending decisively in either direction. Commodity Channel Index (20) at 96.98 remains neutral, confirming the absence of extreme overbought or oversold conditions, which aligns with the overall equilibrium picture and supports the view that price action lacks directional urgency. The moving average system reveals a conflicting alignment that tempers the bullish short-term momentum. EMA10 at 91.13 carries a Buy signal, EMA20 at 89.97 carries a Buy signal, and both trade near current price at 95.08, providing near-term support. EMA50 at 89.83 carries a Buy signal and sits just below price, while SMA200 at 119.53 carries a Sell signal and sits significantly above price, establishing a steep longer-term downtrend structure that dominates the technical picture. This mixed alignment suggests that any sustained rally faces substantial headwinds from the 200-day average, constraining the near-term SE price forecast to a range-bound or corrective pattern. resistance at R1 (97.71), R2 (101.99), and R3 (108.91) mark potential rally targets, while support levels are positioned at S1 (83.85), S2 (79.57), and S3 (72.65). Current price at 95.08 sits above the pivot (90.78) and represents an intermediate resistance zone; a test of R1 near 97.71 would represent a near-term breakout target if momentum sustains. The daily range (high 95.41, low 90.82) indicates modest intraday volatility, consistent with the ADX's signal of weak trend strength and the absence of strong directional conviction. On the market breadth front, the analyst rating at 140.50 reflects a bullish bias among research analysts, lending some fundamental support to the technical bounce seen in the MACD signal. The Put/Call ratio at 59.2 suggests elevated hedging activity and defensive positioning, which may cap upside enthusiasm. Implied volatility at 62.21 indicates moderate uncertainty in the options market. The near-term SE price prediction thus reflects a tug-of-war between near-term technical strength (MACD Buy signal) and longer-term structural weakness (SMA200 bearish signal), with sentiment tilted slightly bullish but hedging elevated, indicating caution remains warranted.

FAQ

What is the current technical rating for SE?

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On the 4H timeframe, the aggregate technical rating for SE is Buy. This rating is dynamically aggregated from moving averages and momentum oscillators to reflect the prevailing trend direction and price velocity.

Where are the key support and resistance levels for SE?

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What are the current RSI and MACD signals for SE?

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How often is the SE technical analysis data updated?

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