Citigroup Inc. against UniCredit S.p.A. — live side-by-side technical comparison.
Prices as of 2026-09-23T20:03:56+00:00 UTC · updates daily
UCG.MI leads 4 of the 5 windows we measure — over 1 month C is +0.2% and UCG.MI -0.8%; over year to date C is +13.1% and UCG.MI +17.7%.
| C | UCG.MI | |
|---|---|---|
| Price | $131.93 | $83.47 |
| 1 day | -0.4% | +0.2%lead |
| 5 days | -0.8% | +0.7%lead |
| 1 month | +0.2%lead | -0.8% |
| 6 months | +18.2% | +35.5%lead |
| Year to date | +13.1% | +17.7%lead |
| 52-week position | 70% of range | 90% of range |
| 52-week range | $93.66–$147.96 | $57.36–$86.42 |
| vs 50-day average | below $134.10 | above $83.40 |
| vs 200-day average | above $125.18 | above $74.27 |
| RSI (14) | 44 | 46 |
| Next earnings | 2026-10-13 | 2026-10-22 |
C trades at $131.93, below its 50-day average of $134.10, and above the 200-day at $125.18. It sits at 70% of its 52-week range ($93.66–$147.96); 14-day RSI is 44, in neutral territory; an average session moves it about 3.0%. For levels, the first level overhead is $134.10 (1.6% away) and the first support below is $129.90 (1.5% down). On the checklist the page runs for every asset, 2 of 6 checks read bullish — the lean is bearish.
UCG.MI trades at $83.47, above its 50-day average of $83.40, and above the 200-day at $74.27. It sits at 90% of its 52-week range ($57.36–$86.42); 14-day RSI is 46, in neutral territory; an average session moves it about 2.3%. For levels, the first level overhead is $83.70 (0.3% away) and the first support below is $83.40 (0.1% down). On the checklist the page runs for every asset, 4 of 6 checks read bullish — the lean is bullish.
C is the more volatile of the two — an average session moves it 3.0% against 2.3% for UCG.MI, so an identical position size carries roughly 1.3× the daily risk.
The comparison turns on those levels: C clearing $134.10 or losing $129.90; UCG.MI clearing $83.70 or losing $83.40. Until one of them gives way, the relative reading above stands.