Below from Charles Schwab research charting. If you have a ticker I’ll look it up.
AGQ Silver ETF:
AGQ is showing strength within a longer-term bearish trend. Its MACD is above the signal line and shares are presently 8.4% above the 200-day moving average. However, that moving average is declining, implying that caution is still warranted. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
AGI appears to be in a strong bullish trend. Its 200-day moving average is upwards sloping and the MACD histogram is above 0. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
HL appears to be in a strong bullish trend. Its 200-day moving average is upwards sloping and the MACD histogram is above 0. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
AUY appears to be in a strong bullish trend. Its 200-day moving average is upwards sloping and the MACD histogram is above 0. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
GATO appears to be in a strong bullish trend. Its 200-day moving average is upwards sloping and the MACD histogram is above 0. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
FSM appears to be in a strong bullish trend. Its 200-day moving average is upwards sloping and the MACD histogram is above 0. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
PLG is showing strength within a longer-term bearish trend. Its MACD is above the signal line and shares are presently 7.8% above the 200-day moving average. However, that moving average is declining, implying that caution is still warranted. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
EGO is showing strength within a longer-term bearish trend. Its MACD is above the signal line and shares are presently 6.4% above the 200-day moving average. However, that moving average is declining, implying that caution is still warranted. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
AEM is showing strength within a longer-term bearish trend. Its MACD is above the signal line and shares are presently 4.7% above the 200-day moving average. However, that moving average is declining, implying that caution is still warranted. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
AUY appears to be in a strong bullish trend. Its 200-day moving average is upwards sloping and the MACD histogram is above 0. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
DRD appears to be rallying within a longer-term bearish trend, driving its MACD above the signal line. However, the 200-day moving average is declining, signifying that the dominant trend remains lower. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
NG is showing strength within a longer-term bearish trend. Its MACD is above the signal line and shares are presently 6.7% above the 200-day moving average. However, that moving average is declining, implying that caution is still warranted. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.
MMX is showing strength within a longer-term bearish trend. Its MACD is above the signal line and shares are presently 4.9% above the 200-day moving average. However, that moving average is declining, implying that caution is still warranted. Comparative Relative Strength analysis shows that this issue is outperforming the S&P 500.