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Localiza Rent A Car: 9% double bottom bounce, but the decline is not over yet

Localiza Rent A Car — week 6 of a sell signal. A double bottom in the 39 area has produced a 9% bounce, but negative MACD and negative CMF point to a decline still underway. Technical analysis of a swing short setup.

Localiza Rent A Car: 9% double bottom bounce, but the decline is not over yet
Sell signal · week 6
Localiza Rent A Car: 9% double bottom bounce, but the decline is not over yet
June 26, 2026
Sell signal · week 6
In Summary
Localiza Rent A Car is in week 6 of a sell signal. The week closed with a strong bounce (+7.4%) driven by heavy buy volume, but this is the technical response of a double bottom in the 39 area — not a trend reversal. MACD remains negative and CMF stays in distribution territory: the technical picture remains fragile.
Ongoing decline ·6th week from start ·Rest of the World stocks ·T2 ★ See Gold version →
IQS Phase
57
ordinary
Signal Strength
4
indecisive week
Sizing
MINIMUM
Ranking
#21 / 25
Rest of the World stocks
Trade P&L %
-0.28%
from signal to today
Chart · Weekly — EMA50 · MACD · VWAP
Weekly chart · EMA50 · MACD · VWAP · Source: TradingView
How to read this pageA visual guide to the post, card by card
The full analysis, operating plan and detailed levels on this asset are reserved for clients ★ PLATINUM
restricted Platinum content
Rank position

ranks 21st among the 25 sell signals for titoli resto del mondo in our ranking, with a signal strength of 57 out of 100.

Sector context
SectorFinancials
Benchmark ETFXLF
Sector regimein strong phase
Performance1W +0.00% · 1M +4.18%

RENT3 belongs to the financials sector (reference ETF XLF). The sector is classified in strong phase according to our weekly reading.

Confirmation week three observation weeks closed sideways, sell signal not confirmed by the market

the sell signal did not get confirmed over the three observation weeks: the picture calls for caution and a wait-and-see stance before considering new operations

Setup qualityTrading not recommended
Opening at elevated risk per our model; the asset continues to be analyzed week by week.
Range trapped (position 0.28)
DLPrice Action · Last 4 weeks
bullish with warnings (1 segnali di attenzione su 11 componenti)
Score75/ 100

Bullish weekly reading, structure still positive but with one attention signal.

⚠ Attention signals (1)
PA10 · distribution phase underway
Daily pattern Double bottomStrong

Double bottom in the 39 area with an intermediate rebound of 9%.

Reference levels: 39.05 · 39.68
DLIQS · Setup phase
57/ 100
ordinary
compressed · accumulation ordinary stretched · mature
3-week slope: coming soon
DLSignal Strength4 / 100
4/ 100
Low
shallow dropmoderate dropsharp drop
indecisive week
DLNo-Trade Zone
No-Trade Zone · operational range Zone shaded by prevailing regime
close
30.73
55.55
42.79
43.49
DLDistance from all-time highs0.00%
71/ 100
Ample headroom
limited · near highsordinaryample · clear above
Distance from ATH: 0.00% · Tests on highs (last 10w): 0
DLSupport & Resistance
Resistances
43.31Day50-day moving averagerejected 4× · 22/06 · broken 3× · 04/05+0.49%
43.49Day7-day highrejected 3× · 22/06+0.90%
43.54Week50-week moving averagerejected 2× · 22/06 · broken 1× · 04/05+1.01%
43.76Week100-week moving averagerejected 3× · 22/06 · broken 2× · 04/05+1.53%
43.78Day200-day moving averagerejected 2× · 22/06 · broken 1× · 04/05+1.58%
44.27Week20-week moving averagerejected 4× · 22/06 · broken 3× · 04/05+2.71%
Supports
42.80Daydaily upper Bollinger Bandrejected 1× · 22/06 · broken 1× · 15/06-0.71%
41.70Day20-day moving averagerejected 4× · 22/06 · broken 3× · 15/06-3.24%
41.03Daydaily VWMArejected 4× · 22/06 · broken 3× · 15/06-4.80%
41.00Daydaily Bollinger Band midlinerejected 4× · 22/06 · broken 3× · 15/06-4.87%
39.68Day7-day lowrejected 2× · 22/06-7.94%
39.21Daydaily lower Bollinger Bandrejected 3× · 22/06 · broken 1× · 09/03-9.03%
Operational plan · summary
Week 6 of the sell signal on Localiza Rent A Car, and the week closed with a sharp bounce: +7.4%, with buy volume at 89%. Context explains the move: price action has formed a double bottom in the 39 area, with 2 closely spaced lows and an intermediate rebound of 9%. This is a recognizable technical bounce, not a structural reversal. MACD remains negative at -0.7 while the signal line is still positive at 0.22: the 2 values have not yet crossed. The histogram, at -0.92, shows a slight recovery from -1.15 the prior week but remains firmly in negative territory, describing a bearish momentum that is still active. CMF, at -0.154, has now been negative for 3 consecutive weeks despite the bounce — flows do not support the upward move. Momentum worsening to -8.8 from -7.5 reinforces this reading. Next week, the key observation points are the double bottom's hold in the 39 area and the direction of CMF: if it fails to turn positive even as prices recover, the bounce remains distributive in nature. Those managing an existing short position will find the critical reference at the resistance cluster in the 43-44 area.
Operational levelsTrade P&L -0.28%Opened May 15, 2026

SHORT

Entry
42.98
SL1
47.80
+11.21%
SL2
48.61
+13.10%
TP1
38.36
10.76%
TP2
36.38
15.36%

LONG (alternative scenario)

Entry
44.70
SL1
39.88
-10.78%
SL2
39.08
-12.57%
TP1
49.73
11.24%
TP2
51.13
14.39%
Legend of recurring terms click to expand
IQS PhaseSetup Quality Indicator (0-100): descriptor of the asset's phase relative to its volatility norm. Toward 0 = compressed/accumulation · ~50 = ordinary · toward 100 = stretched/mature. Descriptive, not predictive.
Signal StrengthCalibrated 0-100 indicator, re-modulated weekly. For buy signals it is the probability that the weekly signal reaches the first target without hitting the Stop Loss: high value = compelling bullish scenario. For sell signals it measures the amplitude of the signal week's drop: high value = very sharp drop, which may signal exhaustion rather than continuation.
Setup qualitySetup grade at trade opening. Full open = aligned conditions · Selective open = limited constraints · Operation not advised = the model flags elevated risk at entry · Watch/Skip = not operational. The asset continues to be analysed weekly anyway.
SizingCapital allocation relative to the standard budget per position. Full = 100% · Standard = 75% · Reduced = 50% · Minimum = 25%. Modulated by Signal Strength and setup quality flags.
Rank positionOrdering by Signal Strength inside the category × state pair (US Stocks or EU-UK Stocks · Open buys or Sell signals). Helps compare the current position with the others alive in the same category.
Inversion PointWeekly structural level fixing the Stop Loss reference. For a buy signal it is below entry (giving up that level invalidates the bullish reading); for a sell signal it is above entry (a breakthrough invalidates the bearish reading).
No-Trade ZonePrice band between resistance below and support above where entry is not immediately operational. When the NTZ is active, trading is suspended inside the zone; entries become valid above the upper extreme (long) or below the lower extreme (short).
Breakeven stopOperational SL stage for active buy trades: after the first-week confirmation and price advance, the stop is moved to the entry level and trade risk is zeroed out. The structural Stop Loss remains as a long-term reference.
6/8/10-week windowsThree statistical active-management moments on stock buy trades, derived from our backtest. At weeks 6, 8 and 10 trimming 10%, 20% and 30% of the position is suggested; the residual capital (the remaining 40%, untrimmed) can be kept and left to run until the inversion, with a trailing stop on the Inversion Point. Suggestions, not automatic system events.
Statistical TPs / Time exitThe TPs are statistical time+value targets: they estimate where price would be at a given week if the trade ran at average speed (ATR), and decay toward entry at the gate. The real price at the target week can be much higher (strong trend) or never reach them (weak trend). Time exit is the actual gain (entry→close of the gate week): it is why we manage by time — trimming the planned share at the set week often captures a far larger margin than the mathematical TP.
Reinforced tradeQualification of the buy trade when the confirmation week candle closes higher than the signal week. The system recognises the setup as confirmed by the price reaction.
Structural alertsPrice conditions the system considers relevant for setup qualification. Examples: above weekly EMA200 (stock far from a structural bearish framework, making a new short less safe); range trapped (stock trapped in a prolonged horizontal range).
Entry triggerType of event that operationally opens the position: breakout = breach of a key level (7-session high for a long, 7-session low for a short); pullback = pullback to the pivot or 20-day moving average after a first move in the signal direction.
Distance from highsPercentage distance from the all-time high (ATH) and frequency of tests on highs over the last 10 weeks. Close to ATH means limited running room; wide distance means room before the first significant ceiling.
Support & ResistanceThe technical levels above (resistances) and below (supports) price: moving averages, Bollinger bands, Ichimoku cloud (Kumo), historical highs and lows. Each level shows recent tests — how many times over the last ~5 months price reached it and was rejected (grazed, clean touch or decisive rejection) or broke through it (breakout/breakdown), with the date of the latest episode. More rejections = a more solid wall; a recent breakthrough = the wall has fallen.
IQS Slope (3 weeks)The direction of the IQS Phase over the last three weeks: whether the setup's tension is rising, falling or staying flat. It helps tell whether the asset is approaching a stretched/mature phase or unwinding, beyond the point-in-time IQS value.
Trade start dateThe week the current signal opened. Together with the percentage gain since start, it shows how long the trade has been running and where it sits along the management path (scale-out windows, breakeven stop).
Disclaimer — The content on this page is published for educational and informational purposes and represents the author's personal opinion and technical analysis. It is not financial advice, a solicitation to invest, or personalised recommendation. Trading financial instruments involves significant risks and may result in the loss of all or part of the invested capital. Every operational decision is the sole responsibility of the user, who acknowledges acting in full autonomy and full awareness of risk.
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