Canadian Pacific Kansas City (CP) Technical Analysis
As of 2026-09-11, CP last traded at 89.23 USD (-0.93% on the day) and is in a range on the daily timeframe — insufficient history for 200-DMA. Nearest levels: 88.53 USD support below, 93.84 USD resistance above. 14-day RSI is 43.6 (bearish).
Last updated 2026-09-11 · Source: FMP end-of-day prices (adjusted); indicators computed by SniperIQ
Is CP in an uptrend or downtrend?
Canadian Pacific Kansas City is in a range — insufficient history for 200-DMA.
| Last close | 89.23 USD (-0.93%) |
|---|---|
| 20-day average | 91.86 USD |
| 50-day average | n/a |
| 200-day average | n/a |
Key support and resistance levels for CP
Derived from swing pivots over the last 37 sessions:
| Level | Type | Strength | Touches |
|---|---|---|---|
| 93.84 USD | Resistance | Minor | 1 |
| 96.9 USD | Resistance | Minor | 1 |
| Level | Type | Strength | Touches |
|---|---|---|---|
| 88.53 USD | Support | Minor | 1 |
| 87.2 USD | Support | Minor | 1 |
CP 52-week range, momentum and volatility
| 52-week high | 96.9 USD (7.9% below) |
|---|---|
| 52-week low | 84.45 USD (5.7% above) |
| 14-day RSI | 43.6 (Bearish) |
| 14-day ATR | 2.194 USD (2.46% of price, Moderate volatility) |
Related research pages
Frequently asked questions
Is Canadian Pacific Kansas City (CP) in an uptrend or downtrend?
As of 2026-09-11, CP is in a range on the daily timeframe — insufficient history for 200-DMA. Last close 89.23 USD vs 50-day average n/a and 200-day average n/a.
What are the key support and resistance levels for CP?
Nearest support is around 88.53 USD (minor, 1 touch). Nearest resistance is around 93.84 USD (minor). Levels are derived from swing pivots over the last ~200 sessions.
What is CP's 52-week high and low?
Over the last 52 weeks, CP traded between 84.45 USD and 96.9 USD. It is currently 7.9% below its 52-week high.
Is CP overbought or oversold?
The 14-day RSI is 43.6 — in a neutral 30–70 range. Momentum reads as bearish.
How volatile is CP?
Its 14-day Average True Range is 2.194 (2.46% of price) — moderate volatility relative to price.