LVS technical analysis

LVS 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

LVS Data Verification

Checking the latest completed daily bar for date and closing-price consistency before indicators are calculated.

Symbol
LVS
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 seriesLatest CloseDateDifferenceStatus
Calculation series47.28August 3, 2026-Verified
Verification series47.28August 3, 20260.00%Verified

Bottom line

LVS Technical Analysis Summary

LVS (Las Vegas Sands Corp.) is attempting to stabilize after a deep pullback. Price at 47.28 is above the daily SMA20 (46.56) and the weekly close sits just above the weekly SMA200 (48.60), but the stock remains below SMA50 (48.16) and far below SMA200 (55.45) on the daily chart. The daily MACD has turned bullish with a positive histogram at 0.45 and RSI14 near the 50 midline, while the weekly chart shows a strong +6.10% bounce on above-average volume. Weekly MACD is still negative and weekly RSI14 at 44.75 is below 50, so the recovery is not yet confirmed. Immediate resistance sits at 48.16 (daily SMA50), 50.08 (20-day high), and 50.48 (weekly SMA20). Support is at 46.56 (daily SMA20) and 44.21 (20/60-period and 52-week low on both timeframes), with a break below exposing the 60-week low near 39.24. A sustained move above 50.08 would signal a stronger trend shift, while a loss of 44.21 would point to renewed downside.

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, leaning bearish. Price at 47.28 is above SMA20 (46.56) but below SMA50 (48.16) and SMA200 (55.45). The stock remains below the 52-week high of 69.68 and continues to trade in the lower part of its yearly range. The recent bounce has lifted price back above the 20-day average, but the longer averages still point down and keep the intermediate trend under pressure.
Momentum
Neutral to improving. RSI14 at 49.55 is near the 50 midline, neither overbought nor oversold. The daily MACD line at 0.14 has crossed above the signal at -0.30 with a positive histogram at 0.45, indicating short-term momentum is turning up after the recent selloff. The signal line is still negative, so the shift is recent rather than established.
Volatility
Moderate. ATR14 at 1.38 (2.91% of price) reflects average daily movement within normal bounds. Bollinger Bands (43.78 to 49.33) contain price near the middle band, suggesting the recent sharp swings have begun to normalize.
Volume
Slightly above average. Latest daily volume of 6,281,000 is 1.17 times the 20-period average (5,378,435), showing participation in the recent move without extreme volume. Independent volume figures may differ because of differences in trading venue coverage.

Assessment

The daily timeframe is in a transitional state. Price has stabilized above SMA20 (46.56) after holding the 44.21 low, but it still sits below SMA50 (48.16) and well below SMA200 (55.45). The fresh MACD bullish crossover and near-neutral RSI point to improving short-term momentum, yet the broader trend has only begun to recover. A sustained close above SMA50 (48.16) would strengthen the case for further upside, while a break back below SMA20 (46.56) would weaken the recovery attempt.

Weekly (July 27, 2026 week)

Trend
Mixed. Price at 48.89 is above SMA200 (48.60) but below SMA20 (50.48) and SMA50 (54.87). The long-term anchor remains intact with price still above the 200-week average, but the intermediate averages have turned down after a deep pullback from the 69.68 high. The -8.39% 20-week return reflects the recent correction.
Momentum
Bearish but improving. RSI14 at 44.75 is below the 50 midline, though the +6.10% weekly gain has pulled it up from weaker levels. The weekly MACD line at -2.26 remains below the signal at -1.97 with a negative histogram at -0.29, confirming momentum has not yet turned positive on the longer timeframe.
Volatility
Elevated. ATR14 at 3.38 (6.92% of price) reflects wide weekly ranges consistent with a volatile correction. Bollinger Bands (44.44 to 56.52) show price recovering off the lower band toward the middle.
Volume
Above average. Weekly volume of 31,813,200 is 1.46 times the 20-week average (21,786,955), indicating strong participation in the bounce week.

Assessment

The weekly chart shows a strong rebound week with price reclaiming the 200-week average (48.60) on above-average volume. However, momentum remains bearish on MACD and RSI is still below 50, so the bounce has not yet confirmed a trend change. The stock would need to clear SMA20 (50.48) and hold above SMA200 (48.60) to suggest the correction is ending. A failure to hold 48.60 would point to renewed pressure toward the 44.21 lows.

Key indicators

LVS Key Technical Indicators

RSI, MACD, moving averages, ATR, and Bollinger Bands across daily and weekly timeframes.

IndicatorDailyWeekly
RSI (14)49.5544.75
MACD (12, 26, 9)0.14 / -0.30 / 0.45-2.26 / -1.97 / -0.29
ATR (14)1.38 (2.91%)3.38 (6.92%)
Bollinger Bands (20, 2)43.78 - 49.3344.44 - 56.52
SMA (20)46.5650.48
SMA (50)48.1654.87
SMA (200)55.4548.60

Price structure

LVS Price Structure and Returns

Price performance across multiple lookback periods and 52-week position.

MetricDailyWeekly
Current Price47.2848.89
1-Period Return-3.29%+6.10%
5-Period Return-1.01%+3.76%
20-Period Return+1.50%-8.39%
60-Period Return-11.16%+23.99%
252-Period Return-7.96%+35.59%
52-Week Low44.2144.21
52-Week High69.6869.68
52-Week Position12.05%18.38%

Key levels

LVS Support and Resistance Levels

Key price levels based on recent swing highs and lows across daily and weekly timeframes.

LevelDailyWeekly
20-Period High50.0858.12
20-Period Low44.2144.21
60-Period High54.6269.68
60-Period Low44.2139.24

Scenarios

LVS Technical Scenarios

Conditions, invalidation triggers, and what to watch for each scenario.

Bullish

Trigger

Price breaks and holds above 50.08 (20-day high), followed by a move above SMA50 (48.16) and the weekly SMA20 (50.48).

Invalidation

Price fails to hold above SMA20 (46.56) and drops back below 44.21 (52-week low).

What to watch

Sustained closes above SMA50 (48.16) with volume at or above average. Watch for the weekly MACD histogram turning positive and weekly RSI holding above 50.

Range-Bound

Trigger

Price consolidates between 44.21 (52-week low) and 50.08 (20-day high) as momentum normalizes.

Invalidation

A decisive close beyond either boundary with rising volume.

What to watch

RSI oscillating near 50 without extremes; the daily MACD staying above its signal line; volume contracting during quiet sessions.

Bearish

Trigger

Price breaks below 44.21 (20/60-period and 52-week low on both timeframes), exposing the 60-week low near 39.24.

Invalidation

Price reclaims 44.21 and holds above SMA20 (46.56).

What to watch

Sustained closes below SMA20 (46.56); RSI breaking below 35; increasing downside volume on a close below the low.

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.