AAPL Trading Predictions

1 Day Prediction
Target: June 25, 2025$202.75
$201.75
$204
$200.5
Description
AAPL shows a slight bullish trend with a recent bounce off support at 200. The RSI is neutral, and MACD indicates potential upward momentum. However, volatility remains high, suggesting caution.
Analysis
Over the past 3 months, AAPL has experienced significant volatility, with a bearish trend recently. Key support at 200 has held, but resistance at 204 remains. Volume spikes indicate investor interest, but uncertainty persists.
Confidence Level
Potential Risks
Market sentiment could shift due to macroeconomic news or earnings reports, impacting price direction.
1 Week Prediction
Target: July 2, 2025$205.5
$202.5
$207
$201
Description
AAPL may see a moderate recovery as it approaches resistance at 207. The MACD shows bullish divergence, and the RSI is improving. However, external factors could lead to volatility.
Analysis
The stock has been in a bearish phase but shows signs of recovery. Key resistance at 207 and support at 200 are critical. Volume patterns suggest increased trading activity, indicating investor interest.
Confidence Level
Potential Risks
Potential market corrections or negative news could reverse the upward trend, affecting the prediction.
1 Month Prediction
Target: August 2, 2025$210
$206.5
$212
$205
Description
AAPL is expected to trend upward as it breaks through resistance levels. The bullish MACD and improving RSI support this outlook, but market sentiment remains a concern.
Analysis
AAPL has shown resilience with a potential bullish reversal. Key resistance at 207 has been tested, and if broken, could lead to further gains. Volume analysis indicates strong interest, but external factors could introduce volatility.
Confidence Level
Potential Risks
Economic indicators or earnings reports could impact the stock's performance, introducing risk.
3 Months Prediction
Target: September 24, 2025$215
$211
$220
$210
Description
AAPL may continue its upward trajectory, supported by positive market sentiment and strong fundamentals. However, macroeconomic factors could introduce volatility.
Analysis
The stock has shown a mixed performance with recent bullish signals. Key support at 210 and resistance at 220 are crucial. The overall market sentiment is cautiously optimistic, but external factors could lead to fluctuations.
Confidence Level
Potential Risks
Unforeseen economic events or shifts in market sentiment could lead to price corrections.