VIV technical analysis

VIV Technical Analysis

Analysis date

August 7, 2026

Market

NYSE (USD)

Daily cutoff

August 5, 2026

Reliability

Passed

Informational use only. This page is not investment advice.

Data verification

VIV Data Verification

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

Symbol
VIV
Market
NYSE
Currency
USD (US Dollar)
Latest completed bar
August 5, 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 series12.20August 5, 2026-Verified
Verification series12.20August 5, 20260.00%Verified

Bottom line

VIV Technical Analysis Summary

VIV (Telefônica Brasil) is in a corrective phase after its advance to the 52-week high near 16.43. The daily chart is bearish short term: price at 12.20 sits below SMA20 (13.45), SMA50 (13.23), and SMA200 (13.41), with RSI14 at 32.38 approaching oversold and MACD negative at -0.25 versus a -0.07 signal. The weekly chart still holds a longer-term uptrend above SMA200 (9.18), but the last completed week dropped 7.64% on above-average volume and broke below SMA20 and SMA50. Immediate support is the 20-period low at 12.12, followed by the 52-week low at 10.90, while resistance stands at SMA20 (13.45), the 20-period high (14.20), and the 60-period high (14.31). A recovery above 13.45 would ease the short-term pressure, while a break below 12.12 would target deeper support near 10.90.

Multi-timeframe dashboard

Multi-Timeframe Technical Dashboard

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

Daily (August 5, 2026)

Trend
Bearish. Price at 12.20 is below SMA20 (13.45, -9.28%), SMA50 (13.23, -7.79%), and SMA200 (13.41, -9.05%). The short-term decline has accelerated, with price breaking below every major moving average and trading just above the 20-period low at 12.12. The moving averages are turning lower and the price structure is a series of lower highs and lower lows.
Momentum
Bearish. RSI14 at 32.38 is approaching the oversold threshold of 30, reflecting sustained selling pressure. MACD line at -0.25 is below the signal line at -0.07 with a negative histogram at -0.18, confirming the bearish momentum configuration. Momentum has deteriorated sharply from the neutral readings seen earlier in July.
Volatility
Elevated. ATR14 at 0.35 (2.85% of price) shows daily ranges have expanded during the selloff. Bollinger Bands (12.25 to 14.64) have widened, and price closed below the lower band at 12.25, indicating the decline is stretched short term even as the trend remains down.
Volume
Near average. Latest volume is approximately 90% of the 20-period average, so the drop has not yet been accompanied by a major volume surge. This suggests selling has been persistent but orderly. A volume spike near support would be needed to signal capitulation or a potential reversal.

Assessment

The daily chart is clearly bearish. Price has fallen from the 14.20 to 14.31 area down to 12.20, breaking below all major moving averages in the process. RSI near 32 and a close below the lower Bollinger Band point to an oversold short-term condition, but the MACD remains negative and the trend is down. The key level to watch is 12.12, the 20 and 60 period low; a break below opens a path toward the 52-week low at 10.90, while a rebound back above SMA20 at 13.45 would be the first sign of stabilization.

Weekly (July 27, 2026 week)

Trend
Mixed with a bearish near-term tilt. Price at 12.92 is below SMA20 (14.04, -7.97%) and SMA50 (13.11, -1.41%) but remains well above SMA200 (9.18, +40.70%). The long-term uptrend is still intact, yet the intermediate trend has deteriorated after the sharp reversal in the last completed week.
Momentum
Weakening. Weekly RSI14 at 45.18 is below the 50 midline. MACD line at 0.01 is still positive but below the signal line at 0.16, with a negative histogram at -0.14. The MACD is rolling over from a previous bullish setup, consistent with a loss of upside momentum.
Volatility
Elevated. ATR14 at 0.90 (6.94% of price) reflects wide weekly ranges during the recent volatility. Bollinger Bands (11.94 to 16.14) are wide, and the last completed weekly bar closed well below the middle band, showing a sharp downward weekly move.
Volume
Above average. Latest weekly volume was roughly 1.8 times the 20-week average, indicating heavy participation during the decline. The volume surge on the down week is a warning sign and suggests distribution rather than a quiet drift lower.

Assessment

The weekly chart still shows a longer-term uptrend, with price comfortably above SMA200 (9.18) after a strong multi-year advance. However, the last completed week (ended July 27, 2026) fell 7.64% on above-average volume, breaking below SMA20 and SMA50. Since that weekly close, the daily series has fallen further to 12.20, so the weekly picture has likely weakened beyond the 12.92 level shown here. Support to watch is the 20-week low at 12.50 and then the 60-week low at 9.54.

Key indicators

VIV Key Technical Indicators

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

IndicatorDailyWeekly
RSI (14)32.3845.18
MACD (12, 26, 9)-0.25 / -0.07 / -0.180.01 / 0.16 / -0.14
ATR (14)0.35 (2.85%)0.90 (6.94%)
Bollinger Bands (20, 2)12.25 - 14.6411.94 - 16.14
SMA (20)13.4514.04
SMA (50)13.2313.11
SMA (200)13.419.18

Price structure

VIV Price Structure and Returns

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

MetricDailyWeekly
Current Price12.2012.92
1-Period Return-0.97%-7.64%
5-Period Return-4.39%-3.32%
20-Period Return-7.80%-11.44%
60-Period Return-18.08%+33.52%
252-Period Return+11.40%+119.47%
52-Week Low10.9010.87
52-Week High16.4316.43
52-Week Position23.45%36.91%

Key levels

VIV Support and Resistance Levels

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

LevelDailyWeekly
20-Period High14.2016.43
20-Period Low12.1212.50
60-Period High14.3116.43
60-Period Low12.129.54

Scenarios

VIV Technical Scenarios

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

Bullish

Trigger

Price reclaims SMA20 at 13.45 on the daily chart with improving momentum, holding above the 20-period low at 12.12 and rebuilding an upward structure.

Invalidation

Price breaks below the 20 and 60 period low at 12.12, resuming the short-term downtrend toward the 52-week low.

What to watch

Daily RSI recovering above 40; MACD histogram turning and staying positive; weekly RSI climbing back above 50; volume expanding on up days.

Range-Bound

Trigger

Price stabilizes and oscillates between support at 12.12 and the SMA20/SMA50 cluster around 13.23 to 13.45 while the market digests the recent decline.

Invalidation

A decisive break above 13.45 or below 12.12 on rising volume.

What to watch

RSI holding between 35 and 55; MACD histogram flattening around zero; daily volume returning to normal; price holding above the lower Bollinger Band.

Bearish

Trigger

Price breaks below the 20-period low at 12.12 and heads toward the 52-week low at 10.90, extending the corrective decline.

Invalidation

Price holds above 12.12 and reclaims SMA20 at 13.45 with a positive MACD cross.

What to watch

Daily RSI falling below 30; MACD histogram turning more negative; weekly close below the 20-week low at 12.50; volume accelerating on down days.

Methodology

Methodology and Limitations

This technical analysis is calculated locally from adjusted OHLCV history. The daily series ends August 5, 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 5, 2026, weekly July 27, 2026 week. Generated August 7, 2026.