It is best to consider a long-term outlook for a ticker by using Fundamental Analysis (FA) ratings. The rating of 1 to 100, where 1 is best and 100 is worst, is divided into thirds. The first third (a green rating of 1-33) indicates that the ticker is undervalued; the second third (a grey number between 34 and 66) means that the ticker is valued fairly; and the last third (red number of 67 to 100) reflects that the ticker is undervalued. We use an FA Score to show how many ratings show the ticker to be undervalued (green) or overvalued (red).
ABBV’s FA Score shows that 4 FA rating(s) are green while.
It is best to consider a short-term outlook for a ticker by using Technical Analysis (TA) indicators. We use Odds of Success as the percentage of outcomes which confirm successful trade signals in the past.
If the Odds of Success (the likelihood of the continuation of a trend) for each indicator are greater than 50%, then the generated signal is confirmed. A green percentage from 90% to 51% indicates that the ticker is in a bullish trend. A red percentage from 90% - 51% indicates that the ticker is in a bearish trend. All grey percentages are below 50% and are considered not to confirm the trend signal.
ABBV’s TA Score shows that 6 TA indicator(s) are bullish.
ABBV (@Pharmaceuticals: Major) experienced а +6.05% price change this weekfor the same time period.
The average weekly price growth across all stocks in the @Pharmaceuticals: Major industry was +4.18%. For the same industry, the average monthly price growth was +2.11%, and the average quarterly price growth was +20.10%.
ABBV is expected to report earnings on Feb 04, 2026.
The Major Pharmaceuticals industry includes companies that are involved in various processes of creating drugs to treat/prevent diseases. These companies engage in research, testing and manufacturing, as well as the distribution of pharmaceuticals into markets. Johnson & Johnson, Merck & Co., Inc., Pfizer Inc. and Novartis are among the largest companies in this category.
ABBV | ||
|---|---|---|
OUTLOOK RATING 1..100 | 12 | |
VALUATION overvalued / fair valued / undervalued 1..100 | 91 Overvalued | |
PROFIT vs RISK RATING 1..100 | 6 | |
SMR RATING 1..100 | 13 | |
PRICE GROWTH RATING 1..100 | 19 | |
P/E GROWTH RATING 1..100 | 5 | |
SEASONALITY SCORE 1..100 | 90 |
Tickeron ratings are formulated such that a rating of 1 designates the most successful stocks in a given industry, while a rating of 100 points to the least successful stocks for that industry.
| ABBV | DIVS | |
|---|---|---|
| RSI ODDS (%) | 1 day ago 46% | 3 days ago 88% |
| Stochastic ODDS (%) | 1 day ago 41% | 3 days ago 85% |
| Momentum ODDS (%) | 1 day ago 62% | 3 days ago 73% |
| MACD ODDS (%) | 1 day ago 65% | 3 days ago 72% |
| TrendWeek ODDS (%) | 1 day ago 59% | 3 days ago 80% |
| TrendMonth ODDS (%) | 1 day ago 61% | 3 days ago 79% |
| Advances ODDS (%) | 3 days ago 58% | 3 days ago 79% |
| Declines ODDS (%) | 22 days ago 42% | 11 days ago 70% |
| BollingerBands ODDS (%) | 1 day ago 48% | 3 days ago 87% |
| Aroon ODDS (%) | 1 day ago 44% | 3 days ago 74% |
| 1 Day | |||
|---|---|---|---|
| ETFs / NAME | Price $ | Chg $ | Chg % |
| AZNH | 53.97 | 0.29 | +0.54% |
| ASTRAZENECA PLC ADRHEDGED AZNH | |||
| AJAN | 27.59 | -0.04 | -0.16% |
| Innovator Equity DefinedPrtETF-2YTJa2026 | |||
| OACP | 23.08 | -0.06 | -0.25% |
| OneAscent Core Plus Bond ETF | |||
| DFSI | 41.51 | -0.50 | -1.19% |
| Dimensional International Sstby Cr 1 ETF | |||
| VV | 310.47 | -5.38 | -1.70% |
| Vanguard Large-Cap ETF | |||
A.I.dvisor indicates that over the last year, ABBV has been loosely correlated with PFE. These tickers have moved in lockstep 58% of the time. This A.I.-generated data suggests there is some statistical probability that if ABBV jumps, then PFE could also see price increases.
| Ticker / NAME | Correlation To ABBV | 1D Price Change % | ||
|---|---|---|---|---|
| ABBV | 100% | -0.40% | ||
| PFE - ABBV | 58% Loosely correlated | -0.31% | ||
| AMGN - ABBV | 49% Loosely correlated | -0.08% | ||
| NVS - ABBV | 48% Loosely correlated | -0.29% | ||
| BIIB - ABBV | 47% Loosely correlated | +2.01% | ||
| GSK - ABBV | 43% Loosely correlated | +0.15% | ||
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A.I.dvisor tells us that DIVS and CSCO have been poorly correlated (+14% of the time) for the last year. This A.I.-generated data suggests there is low statistical probability that DIVS and CSCO's prices will move in lockstep.
| Ticker / NAME | Correlation To DIVS | 1D Price Change % | ||
|---|---|---|---|---|
| DIVS | 100% | +0.46% | ||
| CSCO - DIVS | 14% Poorly correlated | +3.14% | ||
| ABBV - DIVS | 11% Poorly correlated | +3.58% | ||
| AVGO - DIVS | 10% Poorly correlated | +0.93% | ||
| ETN - DIVS | 9% Poorly correlated | +0.40% | ||
| TSM - DIVS | 8% Poorly correlated | -0.19% | ||
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