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UK Technical Analysis Report

FTSE All-Share Index Trades Above 21-Period SMA: Can NCC Benefit From The Positive Setup?

Jun 02, 2026

  • NCC:LSE
  • Investment Type
    Small-Cap
  • Risk Level
  • Action
  • Rec. Price (GBX)

Company Overview: NCC Group PLC (LON: NCC) is a United Kingdom-based cybersecurity and business resilience company. The company's solutions include cloud security & transformation, cyber governance & assurance, digital identity, operational technology (OT) security, proactive security, securing artificial intelligence (AI), supply chain & third-party cyber risk, and threat detection & response. This report covers the Price Action and Technical Indicators Analysis along with the Target Levels, Stop Loss, Support Levels, Resistance Levels, and Recommendations on the stock.

FTSE All-Share Index (.FTAS) Market Round-Up

Last week, The FTSE All-Share Index (.FTAS) ended the week at 5,604.30, declining 0.35% for the week ended May 29th,2026. as weakness in global equity markets weighed on risk appetite and led to broad-based selling. Despite the volatile backdrop, UK equities showed relative resilience, with the FTSE market holding comparatively steady versus several global peers. However, investor sentiment remained cautious, limiting aggressive positioning. The near-term structure stays balanced but remains sensitive to global cues and external developments.

From a technical perspective, The FTSE All-Share Index continues to trade above its 20-Periods and 50-periods moving averages near 5,564.51 and 5,287.37, respectively, indicating that the broader positive trend remains intact despite recent market fluctuations. The index remains positioned near its recent highs, reflecting sustained medium-term resilience and a stable price structure. Momentum indicators remain balanced, with the 14-week RSI near 54.75, suggesting stable momentum conditions without entering overbought territory. Recent price action points toward a period of consolidation following the earlier advance, while the index remains influenced by global equity sentiment, commodity price movements, and evolving macroeconomic expectations.

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