
Technical analysis of Azimut Holding S.p.A. (stock) with the Montbon Method — Elliott Waves, moving averages and a 0–100 score.
Azimut Holding S.p.A. is an Italian financial services company founded in 1990 and headquartered in Milan, operating internationally by offering asset management and advisory solutions on public and private markets. The company provides discretionary portfolio management services, UCITS-compliant mutual funds, alternative investment funds, corporate investment banking and advisory services. It also offers insurance products, unit linked insurance plans, and pension solutions for individuals and companies.
Description generated automatically from public sources; it may be inaccurate or out of date.
Closing values for September 2, 2026, computed on the last 12 months of prices.
21 sessions
38.53 €
−1.64%
50 sessions
37.05 €
+2.29%
200 sessions
34.49 €
+9.90%
s2
37.65
Support
s1
38.10
Support
pivot
38.40
Pivot
r1
38.85
Resistance
r2
39.15
Resistance
In the September 2, 2026 session Azimut Holding S.p.A. closed lower at 37.90 €, −1.69% versus the previous session.
The price sits mixed against its moving averages: −1.64% against the 21-session average, +2.29% against the 50 and +9.90% against the 200.
The 14-period RSI reads 48.7, in neutral territory.
MACD stands at 0.413 against a signal line at 0.535: the histogram is negative (−0.122).
ADX reads 22.6, indicating weak directionality.
Levels computed on the latest session place supports at 38.10 and 37.65 € and resistances at 38.85 and 39.15 €, around a pivot of 38.40.
The average daily range (ATR) is 0.688 €, or 1.81% of price.
Turnover was 567.5K shares, 142% of the 20-session average.
Over the last twelve months the price ranged between 29.02 and 39.55 €, and today stands −4.17% from the period high.
Measures computed on closing prices. They describe the past; they are not forecasts.
Score, Elliott Waves, moving averages and technical indicators — free, no card
If you're not registered we'll ask you to sign in (free), then open the AZM.MI analysis.
Montbon analyses markets with Elliott Waves, multi-timeframe moving averages and a 0–100 score summarising the technical setup. It is an informational screening tool.
Elliott Waves
Wave counting to frame the price structure.
MTF moving averages
Moving averages across timeframes to read the trend.
0–100 score
A technical summary of the setup, updated daily.
How is Azimut Holding S.p.A. analysed technically?
Technical analysis of Azimut Holding S.p.A. is based on price charts and indicators such as moving averages, RSI and MACD, to observe trend, momentum and volatility across different time horizons.
Which timeframes are used for Azimut Holding S.p.A.?
The daily and weekly charts are typically used for medium-to-long-term trends, while intraday charts (for example 1-hour or 15-minute) are used for short-term movements.
What are Elliott Waves applied to Azimut Holding S.p.A.?
Elliott Wave theory describes price moves as sequences of impulsive and corrective waves; applied to Azimut Holding S.p.A. it helps frame the technical structure of the historical chart and is not a forecast.
Disclaimer. For informational purposes only; not financial advice or a recommendation. Montbon Analytics is not an authorised financial intermediary.
Are you an issuer and want a correction or removal? Write to info@montbon.com.