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YPF is not a good buy right now for an impatient buyer. The chart is in a strong uptrend, but momentum is stretched (RSI extremely overbought) and price is sitting right at/just above near-term resistance (~39.59), which raises the odds of a near-term pullback. Options positioning looks bullish (puts relatively light), but with no news catalysts and the latest quarter showing a sharp profitability deterioration, the risk/reward for buying immediately is unattractive.
Trend/Momentum: Bullish structure with SMA_5 > SMA_20 > SMA_200 and a positive, expanding MACD histogram (0.591), confirming upside momentum. However RSI_6 at 86.63 signals an overbought condition where pullbacks/consolidations are common. Levels: Pivot 36.98 is the key near-term reference; immediate resistance is R1 39.586 (price ~39.61 is essentially testing/just above it). Next resistance R2 41.194. Supports: 36.98 then 34.38. Tactical read: The trend is up, but buying here is chasing into resistance with an overbought RSI; a better entry would typically be on a pullback toward ~37–38 (pivot zone) or a clean breakout and hold above ~39.6 with follow-through.
Intellectia Proprietary Trading Signals

Bullish technical trend (stacked moving averages) and strengthening MACD momentum.
Options sentiment skewed bullish (low put-call ratios; call-heavy open interest).
No recent negative news headline overhang in the past week (per provided feed).
while price is pressing near-term resistance (~39.6), increasing pullback risk.
Latest quarter: 2025/Q3. Revenue fell to 4.764B (-11.42% YoY). Net income dropped to -193.69M (-113.07% YoY), with EPS at -0.49 (-112.96% YoY). Gross margin declined to 28.45% (-5.64% YoY). Overall, growth and profitability trends in 2025/Q3 weakened significantly, which is a fundamental headwind despite the strong chart.
No analyst rating or price target change data was provided, so a Wall Street pros/cons read cannot be confirmed from the dataset. From the available data only: pros are the strong technical uptrend and bullish options skew; cons are the overbought setup near resistance and the sharply weaker 2025/Q3 financial performance. Politician/congress trading: no recent congress trading data available in the last 90 days.