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HomeStock GuidesHRL
Consumer Staples / Packaged FoodsTechnical Analysis Guide
Hormel Foods Corporation logo

HRL Stock Analysis

Hormel Foods Corporation

💡 Quick Answer

Across 4 APEX technical signals, HRL is currently split between bullish and bearish readings0 bullish, 0 bearish as of 2026-06-11. Run a live analysis to see the current composite score.

HRL runs ATR of 1.5-2.5% and trades as a defensive staple and dividend-king on protein costs, turkey-market dynamics, and volume trends. It is low-beta and income-oriented.

RSI Behavior: Defensive 40-66MACD Pattern: Slow trend signalsMoving Average: 200-day reversion

Hormel makes branded protein and pantry products (Spam, Skippy, Jennie-O turkey, Applegate, Planters). Earnings track protein input costs (turkey, pork), foodservice demand, and the value-added branded mix.

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Why Do Traders Watch HRL?

HRL runs ATR of 1.5-2.5% and trades as a defensive staple and dividend-king on protein costs, turkey-market dynamics, and volume trends. It is low-beta and income-oriented. Commodity protein swings and volume drive the reaction.

Is HRL a Buy Right Now? Current Signal Readings

📊RSI BehaviorDefensive 40-66

RSI dips toward 40 on turkey-market or volume worries have been entries given the dividend-king status. Recoveries follow protein-cost normalization.

📈MACD PatternSlow trend signals

MACD is muted; the weekly trend is the useful read. Protein-cost cycles shape the medium-term direction.

📊Moving Average200-day reversion

Price mean-reverts to the 200-day. Sustained moves need a protein-cost or volume inflection.

📦Volume ProfileEarnings-concentrated

Volume centers on earnings where protein costs, turkey results, and branded volume drive the move.

📋 HRL Key Stats for Traders

ATR (14-day)1.5-2.5% of price
📦Avg daily volume~2-3 million shares
🎯Key metricProtein costs + branded volume
⚠️Risk levelLow (defensive)

🔗 Related Stocks

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APEX combines RSI, MACD, Fibonacci, Volume, and 4 more signals into one composite score in under 30 seconds.

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💬 Frequently Asked Questions. HRL

QIs HRL a good stock to buy right now?
AWhether HRL is a buy depends on its current technical positioning. HRL runs ATR of 1.5-2.5% and trades as a defensive staple and dividend-king on protein costs, turkey-market dynamics, and volume trends. It is low-beta and income-oriented. Commodity protein swings and volume drive the reaction. Run a live APEX analysis at apexstockintel.com to see the current composite score, RSI, and MACD signals. Updated every trading day.
QWhat are the most important technical signals for HRL?
AThe four key signals for HRL are: RSI Behavior (Defensive 40-66). RSI dips toward 40 on turkey-market or volume worries have been entries given the dividend-king status. Recoveries follow protein-cost normalization.. MACD Pattern (Slow trend signals). MACD is muted; the weekly trend is the useful read. Protein-cost cycles shape the medium-term direction.. Moving Average (200-day reversion). Price mean-reverts to the 200-day. Sustained moves need a protein-cost or volume inflection.. Volume Profile (Earnings-concentrated). Volume centers on earnings where protein costs, turkey results, and branded volume drive the move.
QWhat is HRL's RSI telling traders right now?
ARSI dips toward 40 on turkey-market or volume worries have been entries given the dividend-king status. Recoveries follow protein-cost normalization. APEX scores HRL's RSI as part of its 8-factor composite signal. Updated daily.
QHow does HRL behave technically compared to other Consumer Staples / Packaged Foods stocks?
AHRL is in the Consumer Staples / Packaged Foods sector. Hormel makes branded protein and pantry products (Spam, Skippy, Jennie-O turkey, Applegate, Planters). Earnings track protein input costs (turkey, pork), foodservice demand, and the value-added branded mix. Key stats: ATR (14-day): 1.5-2.5% of price, Avg daily volume: ~2-3 million shares, Key metric: Protein costs + branded volume, Risk level: Low (defensive).
QWhat MACD signals work best for HRL?
AMACD is muted; the weekly trend is the useful read. Protein-cost cycles shape the medium-term direction.
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