TYL technical analysis
TYL Technical Analysis
Analysis date
July 15, 2026
Market
NYSE (USD)
Daily cutoff
July 14, 2026
Reliability
Passed
Informational use only. This page is not investment advice.
Data verification
TYL Data Verification
Cross-validating the latest completed daily bar across independent sources.
- Symbol
- TYL
- Market
- NYSE
- Currency
- USD (US Dollar)
- Latest completed bar
- July 14, 2026
No adjustment factor (adjusted close equals raw close, factor 1.0). No stock splits or dividend adjustments affecting the analysis period.
| Source | Latest Close | Date | Difference | Status |
|---|---|---|---|---|
| Yahoo Finance Chart API (primary) | 301.29 | July 14, 2026 | - | Verified |
| Finviz (independent) | 301.29 | July 14, 2026 (previous close) | 0.00% | Verified |
Bottom line
TYL Technical Analysis Summary
TYL (Tyler Technologies) shows a bearish technical picture with short-term stabilization developing. Price at 301.29 is slightly above SMA20 (298.22) but below SMA50 (307.04) and significantly below SMA200 (388.58) on the daily timeframe, reflecting that the intermediate and long-term trends remain bearish despite a recent bounce. RSI14 at 47.89 on the daily is neutral, while weekly RSI14 at 38.90 leans bearish. The daily MACD is positive with the MACD line at 1.78 above the signal line at -0.18 and a positive histogram at 1.96, suggesting building short-term upward momentum. However, the weekly MACD histogram is positive at 4.65 with the MACD line at -31.36 converging toward the signal line at -36.01, which could indicate early-stage weekly momentum improvement. The stock sits at 8.72% of its 52-week range, deeply depressed from the 621.34 high. Key resistance sits at 307.04 (SMA50), 330.73 (20-day high), and 366.63 (60-day high). Key support stands at 270.71 (20/60-day low and 52-week low). A close above SMA50 at 307.04 would signal trend improvement; a break below 270.71 would suggest 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 (July 14, 2026)
- Trend
- Mixed with bearish bias. Price at 301.29 is above SMA20 (298.22) but below SMA50 (307.04) and significantly below SMA200 (388.58). The SMA200 is sloping downward, confirming a longer-term downtrend. The recent move from the 270.71 low back above SMA20 is a short-term positive but does not yet change the bearish structure.
- Momentum
- Improving but from a weak base. RSI14 at 47.89 is slightly below the neutral midpoint, indicating mild bearish bias but not extreme. MACD at 1.78 with the line above the signal at -0.18 and a positive histogram at 1.96 suggests improving short-term momentum. The positive crossover is a meaningful development for the near term.
- Volatility
- Elevated. ATR14 at 12.82 (4.25% of price) reflects above-average daily movement. Bollinger Bands (269.30 to 327.14) show price near the middle band at 301.29 after recovering from the lower band. Band width is wide, reflecting the recent high-volatility environment.
- Volume
- Below average. Latest volume of 598,149 is 0.70x the 20-period average (850,822), confirming lack of aggressive participation in the bounce. This low-volume recovery raises questions about the sustainability of the move.
Assessment
The daily timeframe shows a cautiously improving but fundamentally bearish picture. Price reclaiming SMA20 is positive, but the SMA200 is declining and the 52-week position at 8.72% reflects deep bear market conditions. The MACD crossover is encouraging for the near term, but below-average volume on the bounce and the large gap to SMA50 limit conviction. A sustained move above SMA50 (307.04) is needed for a more constructive outlook.
Weekly (July 6, 2026 week)
- Trend
- Bearish. Price at 309.48 is below SMA20 (325.67), SMA50 (417.34), and SMA200 (449.07). All three major moving averages are sloping downward, confirming a strong bearish trend. The 60-period return of -46.35% reflects the severity of the decline from the 621.34 high.
- Momentum
- Bearish. RSI14 at 38.90 is in bearish territory (below 40). MACD at -31.36 with the line below the signal at -36.01 but a positive histogram at 4.65 suggests the pace of decline is slowing. The narrowing gap between MACD and signal line could be an early indication of momentum stabilization, but the MACD line remains deeply negative.
- Volatility
- Very elevated. ATR14 at 29.18 (9.43% of price) reflects extreme weekly ranges, consistent with the sharp decline from the 52-week high. Bollinger Bands (280.39 to 370.96) are wide with price near the lower band, reflecting sustained bearish pressure.
- Volume
- Below average. Weekly volume of 2,922,600 is 0.87x the 20-week average (3,356,235). Below-average volume during a decline can be interpreted as a lack of aggressive accumulation, but it also suggests the decline is not climactic.
Assessment
The weekly timeframe is bearish with early signs of potential stabilization. Price below all major moving averages and RSI below 40 confirm the bearish structure. The narrowing weekly MACD and positive histogram development are worth monitoring as potential early signals of momentum improvement. However, the deep 60-period decline and wide Bollinger Bands suggest the bearish trend has strong momentum. A weekly close above SMA20 (325.67) would be the first meaningful sign of trend change.
Key indicators
TYL Key Technical Indicators
RSI, MACD, moving averages, ATR, and Bollinger Bands across daily and weekly timeframes.
| Indicator | Daily | Weekly |
|---|---|---|
| RSI (14) | 47.89 | 38.90 |
| MACD (12, 26, 9) | 1.78 / -0.18 / 1.96 | -31.36 / -36.01 / 4.65 |
| ATR (14) | 12.82 (4.25%) | 29.18 (9.43%) |
| Bollinger Bands (20, 2) | 269.30 - 327.14 | 280.39 - 370.96 |
| SMA (20) | 298.22 | 325.67 |
| SMA (50) | 307.04 | 417.34 |
| SMA (200) | 388.58 | 449.07 |
Price structure
TYL Price Structure and Returns
Price performance across multiple lookback periods and 52-week position.
| Metric | Daily | Weekly |
|---|---|---|
| Current Price | 301.29 | 309.48 |
| 1-Period Return | -4.11% | -2.71% |
| 5-Period Return | -6.27% | -0.83% |
| 20-Period Return | +0.82% | -2.38% |
| 60-Period Return | -11.34% | -46.35% |
| 252-Period Return | -45.40% | -34.39% |
| 52-Week Low | 270.71 | 270.71 |
| 52-Week High | 621.34 | 621.34 |
| 52-Week Position | 8.72% | 11.06% |
Key levels
TYL 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 | 330.73 | 377.77 |
| 20-Period Low | 270.71 | 270.71 |
| 60-Period High | 366.63 | 621.34 |
| 60-Period Low | 270.71 | 270.71 |
Scenarios
TYL Technical Scenarios
Conditions, invalidation triggers, and what to watch for each scenario.
Bullish
Trigger
Price breaks and sustains above SMA50 at 307.04, followed by a move through the 20-day high at 330.73.
Invalidation
Price falls back below the 20-day low at 270.71.
What to watch
Daily MACD continuing to rise with histogram accelerating. Volume expanding on up days. RSI moving and holding above 55. Weekly RSI reclaiming 45 level.
Range-Bound
Trigger
Price continues to oscillate between 270.71 support and 307.04-330.73 resistance zone.
Invalidation
A decisive break of either boundary with expanding volume.
What to watch
RSI staying between 40 and 55 on daily; volume remaining subdued. Daily MACD histogram staying positive but not accelerating meaningfully.
Bearish
Trigger
Price breaks below 270.71 (20/60-day low and 52-week low), establishing a new low.
Invalidation
Price reclaims SMA20 (298.22) and SMA50 (307.04) and holds above both.
What to watch
Sustained closes below SMA20 (298.22); increasing downside volume; weekly RSI breaking below 35 suggesting intensifying bearish momentum.
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 14, 2026. The weekly analysis covers approximately 5 years (261 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 14, 2026, weekly July 6, 2026 week. Generated July 15, 2026.
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