NCC Group plc (NCC.L) Anomalies

Check historical price trends and seasonality for NCC Group plc (NCC.L).

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NCC Group plc (NCC.L) average YTD return over the past 10 years is -4.29%.

Over the past 10 years, the return for the specified period (Jul 7 for 30 days) is +8.98%.

6 wins 1 losses with a win rate of 85.71%.

AI Analysis (Past 10 Years YTD)

NCC Group plc (NCC.L) Anomaly Analysis

1) Overview:

NCC Group plc (NCC.L) exhibits a distinct bearish tendency, particularly from January through April. The stock tends to decline significantly from January, reaching its lowest point around April 4 with an average drop of -19.3%. A recovery phase typically begins in May, leading to a period of consolidation through the summer months and into early Autumn. The year concludes with a slight downward trend into December, ending with an average decline of -4.3% on December 31.

2) Buy-the-dip points:

The most significant pullback period appears between January and early April, offering a potential buying opportunity as the stock approaches its seasonal low. The steepest declines are generally observed from late January through March, with the lowest point historically occurring around April 4. A secondary, less pronounced dip occurs in late October, continuing through November and into December, providing another possible entry point before the end of the year. The rebound from the April lows typically begins in May, suggesting a potential holding period from April to the summer months.

3) Summary:

Based on historical seasonality, a strategic approach to NCC Group plc (NCC.L) might involve accumulating shares during the significant dip between January and April, particularly around April 4. Investors could then consider holding through the summer months, capitalizing on the recovery phase. Another entry point could be considered in late October through November, before the end-of-year decline into December 31.

Disclaimer: This analysis is generated by AI (Gemini) based on historical statistical trends. It does not guarantee future performance. Investment decisions are your own responsibility.
YearStart DateStart PriceEnd DateEnd PriceReturnRate (%)
2025 2025-07-07 144.2000 2025-08-05 146.8000 2.6000 1.80
2023 2023-07-07 96.8000 2023-08-05 95.5000 -1.3000 -1.34
2022 2022-07-07 190.6000 2022-08-05 221.0000 30.4000 15.95
2021 2021-07-07 309.0000 2021-08-05 314.5000 5.5000 1.78
2020 2020-07-07 170.0000 2020-08-05 180.0000 10.0000 5.88
2017 2017-07-07 165.5000 2017-08-05 195.0000 29.5000 17.82
2016 2016-07-07 279.0000 2016-08-05 337.6000 58.6000 21.00
Avg 193.5857 212.9143 19.33 8.98
365 Days (Prev Close Change) Average (Past 10 Years) [Horz=Month / Vert=Day]
Negative Zero/Flat Positive ※ Change from prev day close. Excl Feb 29.
Mode:
Day \ Month Jan Total -7.31% Feb Total -6.25% Mar Total -5.25% Apr Total +6.64% May Total +4.26% Jun Total -0.01% Jul Total +8.08% Aug Total -0.57% Sep Total +3.79% Oct Total -7.03% Nov Total +2.50% Dec Total +2.39%
1 Avg +0.26% 0.00% +0.74% +0.37% 0.00% -0.39% +0.32% +0.56% +0.23% +0.38% -0.22% +0.70% +0.45%
2 Avg -0.16% -0.25% -0.70% -0.92% +1.01% -0.55% -0.57% -0.34% +0.59% -0.27% -0.33% +0.23% +0.17%
3 Avg +0.05% +0.42% +0.21% -0.38% -1.52% +0.29% -0.03% +0.29% -0.08% +0.78% +0.45% +0.06% +0.10%
4 Avg +0.13% +0.92% +0.77% -1.32% -0.41% +0.63% -0.09% -0.29% +0.26% +0.36% +0.11% +0.62% -0.03%
5 Avg -0.08% +0.33% -0.67% +0.32% +0.17% -0.14% -0.20% +0.16% -0.55% -0.80% -0.01% +0.64% -0.26%
6 Avg -0.03% -1.28% -0.14% +0.20% +0.93% +0.09% +0.17% +0.27% -0.15% +0.08% +0.16% -0.39% -0.28%
7 Avg +0.35% -0.09% +0.15% -0.24% +0.11% -0.11% +0.38% +0.39% +0.70% +1.67% +0.07% +0.29% +0.84%
8 Avg +0.12% +0.71% -0.47% -0.03% +0.45% +0.66% -0.67% +0.80% +0.02% -0.25% -0.11% -0.27% +0.54%
9 Avg -0.10% -0.47% +0.06% +0.20% +0.17% +0.08% -0.40% -0.06% +0.30% -0.14% -0.07% -0.47% -0.36%
10 Avg -0.27% -0.34% -0.09% -0.64% +0.16% +0.36% -0.14% -0.37% -0.39% -0.64% +0.23% -0.08% -1.27%
11 Avg +0.06% -0.11% -0.10% +0.77% +0.44% -0.71% +0.55% +0.39% -0.09% -0.18% -0.36% +0.14% 0.00%
12 Avg +0.37% -0.16% -0.04% +0.15% +0.44% +0.05% +0.24% +0.48% +0.86% +2.35% +0.14% -0.63% +0.59%
13 Avg -0.26% -0.45% -1.54% -0.83% +0.74% +1.21% -0.28% +0.67% -0.39% -0.40% -0.38% -0.68% -0.79%
14 Avg -0.07% -0.05% +0.02% +0.75% -0.07% -0.21% -0.66% -1.14% +0.02% -0.77% +0.09% +0.67% +0.55%
15 Avg +0.36% -0.18% +0.93% +0.26% +0.56% +0.91% -0.29% +0.82% +0.16% +1.46% -0.08% +0.27% -0.52%
16 Avg -0.02% -0.32% -0.18% -0.79% +0.46% +0.06% -0.06% -0.31% -0.47% +1.26% +0.26% -0.45% +0.26%
17 Avg +0.32% -0.56% -0.11% -1.13% +1.34% +1.31% +0.49% +1.53% +0.06% -0.28% +0.07% +0.67% +0.46%
18 Avg +0.03% -1.01% +0.13% -1.35% -0.73% +0.82% +0.57% +0.76% -0.37% +0.57% -0.06% +0.30% +0.71%
19 Avg +0.14% +0.22% 0.00% +0.85% +0.19% -0.24% -1.36% +0.93% +0.24% +0.25% -0.43% +0.09% +0.87%
20 Avg -0.19% +0.40% -0.57% -0.39% -0.65% +1.00% +1.37% -0.02% +0.30% +0.07% -4.47% +0.13% +0.58%
21 Avg -0.29% -0.13% -2.85% +0.34% -0.05% +0.78% -0.30% +0.53% +0.21% -1.69% -0.22% +0.75% -0.83%
22 Avg -0.09% +0.19% -1.61% -0.38% -0.04% -0.05% +0.79% +0.65% -0.38% -0.72% +0.82% -0.89% +0.55%
23 Avg +0.00% +0.59% +0.63% +0.05% -0.11% -0.33% +1.49% -0.75% -0.49% -0.70% -0.54% +0.09% +0.11%
24 Avg -0.35% -3.02% -0.60% +1.01% +0.35% -0.26% -0.72% -0.08% -0.32% -0.03% -0.75% +0.26% +0.02%
25 Avg -0.11% -1.07% -0.45% +0.12% +0.32% 0.00% -0.13% +0.14% +0.06% -0.13% -0.16% -0.09% 0.00%
26 Avg +0.18% +0.62% +0.08% +0.64% +0.68% +0.72% -0.46% +0.29% +0.06% -0.09% -0.23% -0.09% 0.00%
27 Avg -0.12% -0.97% +0.01% -0.67% +0.54% -0.47% -1.01% +0.60% -0.20% +0.24% -0.27% +0.32% +0.42%
28 Avg +0.19% -0.67% +0.10% +0.63% +1.03% -0.43% +1.14% +0.56% -0.49% +0.29% +0.05% +0.25% -0.15%
29 Avg +0.05% -1.04% - +0.17% +0.17% -0.64% -0.08% +0.40% +0.44% +0.59% -0.21% +0.24% +0.53%
30 Avg -0.10% +0.19% - -0.30% -0.06% -0.41% -0.06% +0.31% -0.18% +0.53% -0.60% -0.17% -0.32%
31 Avg -0.49% +0.28% - -2.71% - +0.24% - -0.09% -0.55% - +0.01% - -0.56%

Past 10 Years 1-Month [Jul 7 - Aug 5] Return Ranking

Rank Stock Avg Return (%) Wins Losses