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Synchrony Financial (SYF) Stock Chart

NYSE: SYFFinanceFinance: Consumer ServicesUSD

73.73+1.80 (+2.50%)

At close: Oct 8, 3:59 PM ET · Delayed 15 min

SYF technical summary

SYF is trading 3.6% below its 50-day simple moving average of $76.52 and 1.0% below its 200-day average of $74.49. The 50-day average is above the 200-day average, a configuration technical analysts associate with a longer-term uptrend. The 14-day Relative Strength Index (RSI) is 40.2, within the neutral 30 to 70 band.

Over the past year, the stock ranged from $63.08 (Mar 12, 2026) to $88.77 (Jan 9, 2026); the current price sits 41% of the way from the low to the high. Annualized 30-day volatility is 22.5%. Based on the last session's high, low and close, the classic pivot point is $71.78, with first resistance at $72.41 and first support at $71.30.

These indicators describe past price behavior for Synchrony Financial; they are not predictions.

Summary generated from market data by MetaCap's automated system. Methodology

Technical indicators

Beta
—
1Y high
88.77 (Jan 9)
1Y low
63.08 (Mar 12)
Last close
73.73

SYF price performance

1 week

+1.35%

1 month

-8.51%

3 months

+5.38%

6 months

-0.06%

Year to date

-13.78%

1 year

+1.45%

3 years

+149.15%

5 years

+43.34%

SYF price return, excluding dividends.

Moving averages

Simple and exponential moving averages
PeriodSimple (SMA)Exponential (EMA)
5-day71.85Price above71.90Price above
10-day71.80Price above72.18Price above
20-day73.20Price above73.27Price above
50-day76.52Price below74.84Price below
100-day74.91Price below74.95Price below
200-day74.49Price below75.02Price below

Moving averages are computed from daily closing prices over the past year. What is a moving average?

Pivot points

Classic pivot points
LevelPrice
Resistance 3 (R3)73.51
Resistance 2 (R2)72.88
Resistance 1 (R1)72.41
Pivot point71.78
Support 1 (S1)71.30
Support 2 (S2)70.67
Support 3 (S3)70.20

Classic floor-trader pivots from the last session's high, low and close. How pivot points work

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