ETR technical analysis
ETR Technical Analysis
Analysis date
August 5, 2026
Market
NYSE (USD)
Daily cutoff
August 3, 2026
Reliability
Passed
Informational use only. This page is not investment advice.
Data verification
ETR Data Verification
Checking the latest completed daily bar for date and closing-price consistency before indicators are calculated.
- Symbol
- ETR
- Market
- NYSE
- Currency
- USD (US Dollar)
- Latest completed bar
- August 3, 2026
Historical prices are adjusted for corporate actions when applicable. Date and closing-price consistency checks passed for the latest completed daily bar.
| Validation series | Latest Close | Date | Difference | Status |
|---|---|---|---|---|
| Calculation series | 108.06 | August 3, 2026 | - | Verified |
| Verification series | 108.06 | August 3, 2026 | 0.00% | Verified |
Bottom line
ETR Technical Analysis Summary
ETR technical analysis for Entergy Corporation as of the August 3, 2026 daily cutoff shows a pullback within a longer-term uptrend. The daily price of 108.06 has fallen below the SMA20 (112.97) and SMA50 (112.14) while holding above the SMA200 (103.53). Daily RSI14 at 36.67 signals weakening momentum without an oversold extreme, and the daily MACD is negative and below its signal line. On the weekly timeframe, price at 107.62 sits below the SMA20 (112.05) but remains above the SMA50 (101.40) and the SMA200 (68.30), with RSI at 48.75. The stock is trading near the lower end of its 20-period ranges. Near-term support is at 106.59 (20-day low) and 104.93 (60-day low), while resistance sits at 112.97 (SMA20) and 116.93 (20-day high). A close below 104.93 would confirm continued downside toward the 52-week low area near 84.80, while a reclaim of the SMA20 would point to stabilization.
Multi-timeframe dashboard
Multi-Timeframe Technical Dashboard
Comparing daily (2-year) and weekly (5-year) perspectives to identify aligned or conflicting signals.
Daily (August 3, 2026)
- Trend
- Mixed to bearish near term. Price at 108.06 is below SMA20 (112.97) and SMA50 (112.14) but above SMA200 (103.53). After peaking near 118.45, the stock pulled back below its shorter-term averages, leaving the 200-day average as the higher support layer.
- Momentum
- Bearish. RSI14 at 36.67 is below the 50 midline and approaching oversold territory but remains above 30. MACD at -1.15 is below its signal line (-0.28) and below the zero line, with a negative histogram (-0.88), indicating downside momentum is in control. A low RSI reading does not by itself guarantee a bounce.
- Volatility
- Elevated relative to recent conditions. ATR14 at 2.55 (2.36% of price) reflects a wider average daily range after the late-July decline. Bollinger Bands (107.42 to 118.52) are wide, and price is trading in the lower band zone, consistent with the downside move.
- Volume
- Slightly above average. Latest volume of 3,018,200 is 107.7% of the 20-period average (2,803,155), showing participation slightly above normal during the pullback.
Assessment
The daily timeframe shows a short-term downtrend. Price is below the 20 and 50 day averages, RSI is weak, and the MACD is negative. The first downside levels are 106.59 (20-day low) and 104.93 (60-day low). A daily close back above the SMA20 at 112.97 would be the first sign of stabilization. The latest bar rose 0.41%, an early sign of buyers near the 106-107 area, but the trend has not turned.
Weekly (July 27, 2026 week)
- Trend
- Pullback within a long-term uptrend. Price at 107.62 is below SMA20 (112.05) but above SMA50 (101.40) and SMA200 (68.30). The 200-week average at 68.30 reflects the multi-year advance, and the latest week fell 7.18%, bringing price below the 20-week average for the first time in the recent run.
- Momentum
- Cooling. RSI14 at 48.75 is near the neutral 50 level. MACD at 3.32 remains above the zero line but has crossed below its signal line (4.19), with a negative histogram (-0.88), indicating weekly momentum is losing strength rather than turning clearly bearish.
- Volatility
- Moderate. ATR14 at 5.11 (4.74% of price) is within normal weekly ranges for a utility stock. Bollinger Bands (104.21 to 119.90) show price trading in the lower half of the band range.
- Volume
- Around average. Weekly volume of 16,996,800 is 105.0% of the 20-week average (16,181,880).
Assessment
The weekly structure still supports the longer-term uptrend. Price remains above the SMA50 and SMA200, and the stock is up more than 150% over the past 252 weeks. The recent decline has taken price below the 20-week average and cooled weekly momentum. The pullback needs to hold above the SMA50 (101.40) and the 20-week low (98.70) to preserve the uptrend, and a sustained break below those levels would shift the weekly bias.
Key indicators
ETR Key Technical Indicators
RSI, MACD, moving averages, ATR, and Bollinger Bands across daily and weekly timeframes.
| Indicator | Daily | Weekly |
|---|---|---|
| RSI (14) | 36.67 | 48.75 |
| MACD (12, 26, 9) | -1.15 / -0.28 / -0.88 | 3.32 / 4.19 / -0.88 |
| ATR (14) | 2.55 (2.36%) | 5.11 (4.74%) |
| Bollinger Bands (20, 2) | 107.42 - 118.52 | 104.21 - 119.90 |
| SMA (20) | 112.97 | 112.05 |
| SMA (50) | 112.14 | 101.40 |
| SMA (200) | 103.53 | 68.30 |
Price structure
ETR Price Structure and Returns
Price performance across multiple lookback periods and 52-week position.
| Metric | Daily | Weekly |
|---|---|---|
| Current Price | 108.06 | 107.62 |
| 1-Period Return | +0.41% | -7.18% |
| 5-Period Return | -5.01% | -7.15% |
| 20-Period Return | -5.07% | +2.49% |
| 60-Period Return | -4.34% | +34.36% |
| 252-Period Return | +22.55% | +156.47% |
| 52-Week Low | 84.80 | 84.80 |
| 52-Week High | 118.45 | 118.45 |
| 52-Week Position | 69.12% | 67.81% |
Key levels
ETR Support and Resistance Levels
Key price levels based on recent swing highs and lows across daily and weekly timeframes.
| Level | Daily | Weekly |
|---|---|---|
| 20-Period High | 116.93 | 118.45 |
| 20-Period Low | 106.59 | 98.70 |
| 60-Period High | 116.93 | 118.45 |
| 60-Period Low | 104.93 | 78.11 |
Scenarios
ETR Technical Scenarios
Conditions, invalidation triggers, and what to watch for each scenario.
Bullish
Trigger
A daily close above SMA20 (112.97) followed by a break above 116.93 (20-day high) would signal that the pullback has ended and the uptrend has resumed.
Invalidation
A daily close below the 60-day low of 104.93.
What to watch
Whether price reclaims the 20 and 50 day averages on rising volume, and whether RSI recovers above 50.
Range-Bound
Trigger
Price continues to oscillate between 104.93 support and the 112.97-116.93 resistance zone.
Invalidation
A decisive close beyond either boundary with above-average volume.
What to watch
RSI staying in the 30-60 range; volume near the 20-period average.
Bearish
Trigger
A daily close below 104.93 (60-day low), opening the way toward the 52-week low area near 84.80.
Invalidation
Price reclaims and holds above SMA20 (112.97).
What to watch
Weekly closes below SMA50 (101.40) and the 20-week low (98.70); rising downside volume.
Methodology
Methodology and Limitations
This technical analysis is calculated locally from adjusted OHLCV history. The daily series ends August 3, 2026, and the weekly series ends July 27, 2026 week. The latest completed daily bar is independently checked for date and closing-price consistency. Historical prices are adjusted for corporate actions when applicable. Indicators include Wilder RSI(14), MACD(12,26,9), SMA20/50/200, Wilder ATR(14), Bollinger Bands(20,2), relative volume, multi-period returns, and price-range levels. Support and resistance are descriptive zones, not guaranteed reversal points. Historical patterns do not predict future prices, and this page is not investment advice.
Frequently Asked Questions
This technical analysis is for informational and educational purposes only. It does not constitute investment advice, a recommendation, or a solicitation to buy or sell any security. Past performance and historical patterns are not guarantees of future results. All investments carry risk, including the potential loss of principal. Always conduct your own research and consult with a qualified financial advisor before making investment decisions.
Market data is checked for date and closing-price consistency before indicators are calculated. Data cutoffs: daily August 3, 2026, weekly July 27, 2026 week. Generated August 5, 2026.
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