Public Financial Holdings (0626.HK) Technical Analysis

As of 2026-07-22, 0626.HK last traded at 1.35 HKD (-0.74% on the day) and is in a downtrend on the daily timeframe — price below falling 50-DMA, 50-DMA below 200-DMA. Nearest levels: 1.35 HKD support below, 1.353 HKD resistance above. 14-day RSI is 53.6 (neutral).

Last updated 2026-07-22 · Source: FMP end-of-day prices (adjusted); indicators computed by SniperIQ

Is 0626.HK in an uptrend or downtrend?

Public Financial Holdings is in a downtrend — price below falling 50-DMA, 50-DMA below 200-DMA.

Last close1.35 HKD (-0.74%)
20-day average1.371 HKD
50-day average1.397 HKD
200-day average1.424 HKD

Key support and resistance levels for 0626.HK

Derived from swing pivots over the last 200 sessions:

LevelTypeStrengthTouches
1.353 HKDResistanceStrong3
1.393 HKDResistanceStrong3
1.42 HKDResistanceModerate2
LevelTypeStrengthTouches
1.35 HKDSupportStrong6
1.323 HKDSupportStrong4
1.3 HKDSupportModerate2

0626.HK 52-week range, momentum and volatility

52-week high1.74 HKD (22.4% below)
52-week low1.23 HKD (9.8% above)
14-day RSI53.6 (Neutral)
14-day ATR0.031 HKD (2.33% of price, Moderate volatility)

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Frequently asked questions

Is Public Financial Holdings (0626.HK) in an uptrend or downtrend?

As of 2026-07-22, 0626.HK is in a downtrend on the daily timeframe — price below falling 50-DMA, 50-DMA below 200-DMA. Last close 1.35 HKD vs 50-day average 1.397 HKD and 200-day average 1.424 HKD.

What are the key support and resistance levels for 0626.HK?

Nearest support is around 1.35 HKD (strong, 6 touches). Nearest resistance is around 1.353 HKD (strong). Levels are derived from swing pivots over the last ~200 sessions.

What is 0626.HK's 52-week high and low?

Over the last 52 weeks, 0626.HK traded between 1.23 HKD and 1.74 HKD. It is currently 22.4% below its 52-week high.

Is 0626.HK overbought or oversold?

The 14-day RSI is 53.6 — in a neutral 30–70 range. Momentum reads as neutral.

How volatile is 0626.HK?

Its 14-day Average True Range is 0.031 (2.33% of price) — moderate volatility relative to price.