TEVA technical analysis

TEVA Technical Analysis

Analysis date

July 18, 2026

Market

NYSE (USD)

Daily cutoff

July 17, 2026

Reliability

Passed

Informational use only. This page is not investment advice.

Data verification

TEVA Data Verification

Cross-validating the latest completed daily bar across independent sources.

Symbol
TEVA
Market
NYSE
Currency
USD (US Dollar)
Latest completed bar
July 17, 2026

No adjustment factor (adjusted close equals raw close, factor 1.0). No stock splits or dividend adjustments affecting the analysis period.

SourceLatest CloseDateDifferenceStatus
Yahoo Finance Chart API (primary)32.03July 17, 2026-Verified
Finviz (independent)32.03July 17, 2026 (previous close)0.00%Verified

Bottom line

TEVA Technical Analysis Summary

TEVA (Teva Pharmaceutical Industries Limited) shows a mixed short-term trend on the daily timeframe with price at 32.03 trading below SMA20 (33.11) and SMA50 (33.93) but above SMA200 (30.11). The weekly trend remains bullish with price at 32.95 above all key moving averages, supported by a 258.54% return over 252 weeks. RSI14 at 42.51 (daily) is in bearish territory below the 50 midline, while weekly RSI at 53.45 is neutral. MACD on the daily is negative with a bearish crossover, while the weekly MACD shows a narrowing histogram that warrants monitoring. The stock has pulled back 14.97% from the 52-week high of 37.35 and is currently at 76.21% of its 52-week range. Volume is well below average at 55.7% of the 20-period mean, suggesting the current pullback lacks aggressive selling pressure. The key level to watch is SMA200 support at 30.11; a break below this long-term moving average would signal a more significant trend change.

Multi-timeframe dashboard

Multi-Timeframe Technical Dashboard

Comparing daily (2-year) and weekly (5-year) perspectives to identify aligned or conflicting signals.

Daily (July 17, 2026)

Trend
Mixed/Bearish. Price at 32.03 is below SMA20 (33.11) and SMA50 (33.93) but above SMA200 (30.11). The moving average stack is not aligned: short-term averages are rolling over while the long-term SMA200 continues to slope upward from 30.11. Price has declined 14.97% from the 52-week high of 37.35 over the past several weeks.
Momentum
Bearish. RSI14 at 42.51 is below the 50 midline, indicating bearish momentum. MACD at -0.44 is below the signal line at -0.25 with a negative histogram of -0.19, confirming bearish momentum with downside acceleration. The MACD crossed below the signal line, a bearish signal.
Volatility
Moderate. ATR14 at 1.02 (3.18% of price) reflects normal daily price swings. Bollinger Bands (31.01 to 35.22) are moderately wide with price trading near the lower band at 31.01, suggesting the stock is testing the lower end of its recent volatility range.
Volume
Below average. Latest daily volume of 3,056,065 is 55.7% of the 20-period average (5,490,688), suggesting the pullback is occurring on declining volume. This could indicate a lack of aggressive distribution and may precede stabilization.

Assessment

The daily timeframe shows a short-term pullback within a longer-term uptrend. Price has corrected from the 37.35 high and is now testing near the lower Bollinger Band. RSI below 50 and negative MACD confirm bearish momentum in the near term. However, the declining volume on the pullback and the still-upward sloping SMA200 suggest this may be a corrective phase rather than a trend reversal. The SMA200 at 30.11 is the critical support to watch.

Weekly (July 6, 2026 week)

Trend
Bullish. Price at 32.95 is above SMA20 (32.52), SMA50 (27.91), and SMA200 (16.73). SMA200 is steeply upward sloping from the 14.99 low, confirming a strong long-term uptrend. The price is in a corrective pullback from the 37.35 high but remains well above all long-term moving averages.
Momentum
Neutral. RSI14 at 53.45 is near the 50 midline, indicating momentum is balanced between bulls and bears on the weekly timeframe. MACD at 1.47 is below the signal line at 1.83 with a negative histogram of -0.36, suggesting bearish crossover momentum on the weekly. This warrants monitoring as weekly momentum has turned negative.
Volatility
Moderate-High. ATR14 at 2.57 (7.79% of price) reflects above-average weekly price ranges for this stock, consistent with the stock's significant price appreciation over the past year. Bollinger Bands (27.96 to 37.07) show price near the middle band, suggesting the weekly trend is in a consolidation phase.
Volume
Slightly below average. Latest weekly volume of 28,057,200 is 90.7% of the 20-week average (30,927,205), indicating participation is broadly in line with normal levels.

Assessment

The weekly timeframe confirms a long-term bullish structure with the stock trading above all key moving averages. The price has appreciated 258.54% over the past 252 weeks. However, the recent corrective move from 37.35 and the weekly MACD bearish crossover signal a potential loss of upward momentum. The stock is consolidating between the 27.93 (20-week low) and 36.99 (20-week high) range. A weekly close below SMA20 at 32.52 would increase the probability of further downside toward the SMA50 at 27.91.

Key indicators

TEVA Key Technical Indicators

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

IndicatorDailyWeekly
RSI (14)42.5153.45
MACD (12, 26, 9)-0.44 / -0.25 / -0.191.47 / 1.83 / -0.36
ATR (14)1.02 (3.18%)2.57 (7.79%)
Bollinger Bands (20, 2)31.01 - 35.2227.96 - 37.07
SMA (20)33.1132.52
SMA (50)33.9327.91
SMA (200)30.1116.73

Price structure

TEVA Price Structure and Returns

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

MetricDailyWeekly
Current Price32.0332.95
1-Period Return-0.59%-4.88%
5-Period Return-2.79%-3.63%
20-Period Return-1.63%-3.71%
60-Period Return+2.37%+94.51%
252-Period Return+100.06%+258.54%
52-Week Low14.9914.99
52-Week High37.3537.35
52-Week Position76.21%80.32%

Key levels

TEVA Support and Resistance Levels

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

LevelDailyWeekly
20-Period High35.4736.99
20-Period Low30.8027.93
60-Period High36.9937.35
60-Period Low30.0214.99

Scenarios

TEVA Technical Scenarios

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

Bullish

Trigger

Price holds above SMA200 at 30.11 and reclaims SMA20 at 33.11 with increasing volume. A weekly close above 33.50 would signal the corrective phase is complete. RSI recovering above 50 on the daily would confirm resumption of the uptrend.

Invalidation

Price breaks below SMA200 at 30.11 and closes below the 20-period low at 30.80 on the daily.

What to watch

RSI recovering above 50 on the daily; volume expanding on up days; price reclaiming SMA20 at 33.11; weekly MACD histogram narrowing toward zero.

Range-Bound

Trigger

Price oscillates between support at SMA200 (30.11) and resistance near 34-35 as the stock consolidates after the significant run-up from 14.99 to 37.35 over the past year.

Invalidation

A decisive close above 35.47 (20-period high) or below 30.02 (60-period low) with conviction.

What to watch

RSI oscillating between 40 and 60 on the daily; declining volume indicating consolidation; bounces from the SMA200 area; lower Bollinger Band containing selling pressure.

Bearish

Trigger

Price breaks below SMA200 at 30.11 and the 60-period low at 30.02, reversing the long-term uptrend. A daily close below 30.00 would open the door toward the next support zone near 28-27.

Invalidation

Price reclaims SMA20 at 33.11 and holds above SMA200 at 30.11 with confirming volume.

What to watch

Consecutive daily closes below SMA200 at 30.11; RSI dropping below 35; MACD histogram becoming more negative; volume expanding on down days.

Methodology

Methodology and Limitations

This technical analysis uses adjusted closing prices from Yahoo Finance (primary) and Finviz (independent cross-validation). The daily analysis covers approximately 2 years (501 completed bars) ending July 17, 2026. The weekly analysis covers approximately 5 years (260 completed bars) ending the week of July 6, 2026. Prices are adjusted for dividends and stock splits using the adjusted close/raw close ratio. Volume data is from the primary source and may not match other data providers. Technical indicators include SMA, RSI, MACD, ATR, and Bollinger Bands using standard parameters. Key levels are identified from recent swing highs and lows. Technical analysis studies historical price patterns and does not constitute investment advice. It should not be used as the sole basis for trading decisions.

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.

Data sourced from Yahoo Finance (primary) and Finviz (independent cross-validation). Data cutoffs: daily July 17, 2026, weekly July 6, 2026 week. Generated July 18, 2026.