📈 PARR Price Movement Analysis Report for Retail Investors
🏢 Company Overview
Par Pacific Holdings, Inc. | Sector: Energy | Industry: Oil & Gas Refining & Marketing
This report provides a simplified overview of the adaptive price movement analysis for PARR. Using historical price data up to 2025-11-13, it identifies stock-specific trading zones based on distances from 1-month highs, tailored to PARR’s unique behavior. The analysis accounts for volatility relative to the S&P 500, recent price patterns, and broader market trends. This is not financial advice—always conduct your own research and consult a professional advisor. Past performance does not guarantee future results.
📊 Key Data Points
- Symbol: PARR
- Analysis Date: 2025-11-13
- Current Price: $41.07
- 1-Month High: $44.52
- Distance from High: 7.7%
- Price Trajectory: FALLING_FROM_HIGH (NORMAL pace) – 0.8% 5-day momentum
📉 Volatility and Market Context
PARR’s price movements are classified as “Very High (Small-caps, biotech)” with an annualized volatility of 51.6% and a typical daily price swing of 3.25% ($1.33). This means PARR can move about 3.25% daily, which is high compared to other stocks.
- 🎯 Relative Volatility: PARR’s current volatility ranks in the 100th percentile compared to the historical volatility of the S&P 500 (SPY). This means PARR’s price swings are larger than those of the broader market on 100% of historical trading days, indicating higher risk than the market.
- 🌍 Market Environment: The analysis identifies a bull market, with the S&P 500 (SPY) trading at $683.38, 2.4% above its 50-day moving average ($667.53). Bull markets often support easier breakouts for stocks like PARR, but its high relative volatility suggests caution.
| Metric | Value | Explanation |
|---|---|---|
| 📊 Stock Volatility | 51.6% (annualized) | Yearly price fluctuations; higher means more risk/reward |
| 📅 Daily Movement | 3.25% ($1.33) | Typical daily price change for stop-loss levels |
| 🎯 Volatility vs. SPY | 100th percentile | higher risk than the market |
| 📈 Market Trend | bull (2.4% vs. SMA50) | Positive market conditions; zones are slightly tighter, expecting stronger breakouts. |
🎯 Price-Based Trading Zones
This analysis uses PARR’s historical price patterns to define trading zones based on percentage distances from its 1-month high ($44.52). These zones are adjusted for PARR’s high volatility (widened for larger swings), recent price behavior (emphasizing data from the last ~3.4 years), and the bull market environment (tighter near-high zones). The zones are based on 55 historical reversal points (21 resistance, 34 support), with recent patterns weighted more heavily (average weight: 0.11).
| Zone | Distance (%) | Price Level | Trading Insight |
|---|---|---|---|
| 🔴 Resistance | 2.7 | $43.32 | Avoid buying; strong selling pressure likely |
| 🟡 Caution | 6.8 | $41.49 | Reduce positions or hedge; watch for reversals |
| 🟢 Sweet Spot | 15.7 | $37.53 | Optimal buy zone with 52.0% success rate |
| 💎 Value | 24.6 | $33.57 | Attractive buy on pullback; strong bounce zone |
| 🔵 Deep Value | 68.3 | $14.11 | Potential reversal, but risky; confirm with catalysts |
📈 Historical Performance: At the optimal distance (15.7% from high), PARR has historically broken out (made new highs) 52.0% of the time, with a 30.0% chance of crashing (dropping 10%+). The risk/reward ratio is 1.7:1, making the sweet spot favorable.
💰 Price Targets and Risk Management
These price levels translate the percentage zones into actionable dollar amounts, with stop-loss suggestions based on PARR’s daily volatility (ATR).
| Target Type | Price Level | Notes |
|---|---|---|
| 🟢 Optimal Buy | $37.53 | Enter in sweet spot for best risk/reward. |
| 🟢 Good Value | $33.57 | Strong buy opportunity on deeper pullback. |
| 🟢 Deep Value | $14.11 | Oversold; wait for reversal signals (e.g., high volume, news). |
| 🔴 Reduce Position | $41.49 | In caution zone—scale back exposure. |
| 🔴 Exit/Hedge | $43.32 | Near resistance—consider selling or hedging. |
| 🚀 Breakout Confirmation | $44.97 | 1% above high—signals new uptrend. |
| 🚀 Strong Breakout | $45.86 | 3% above high—confirms bullish momentum. |
| 🛡️ Tight Stop | $39.74 | -$1.33 (3.2%) below current price. |
| 🛡️ Normal Stop | $38.41 | -$2.66 (6.5%) below current price. |
| 🛡️ Wide Stop | $37.08 | -$3.99 (9.7%) below current price. |
| 📊 Position Sizing | 100% (Sweet spot) | High confidence due to SWEET_SPOT_ZONE. |
🎯 Current Analysis
Current Position: PARR is in the SWEET_SPOT_ZONE at $41.07, 7.7% below its high.
📋 Recommendation: WAIT_FOR_CONSOLIDATION
💡 Explanation: Price in SWEET_SPOT_ZONE zone – declining from recent high – Market regime: Extreme parabolic move – historical patterns unreliable – Historical: 59% breakout, 26% crash probability – Parabolic regime (100% gain)
🔍 Confidence: MEDIUM
📈 Historical Success: 0.59
⚖️ Risk/Reward: 2.31
💼 Investment Considerations
- 🏦 Long-Term Investors: Consider buying near $33.57-$14.11 with wide stops ($37.08) to manage downside. Monitor upcoming earnings or sector news for catalysts.
- ⚡ Short-Term Traders: Wait for a breakout above $44.97 or a confirmed bounce in the deep value zone. Track Oil & Gas Refining & Marketing sector trends.
- 🌍 Market Context: The bull market supports potential upside, but PARR’s high relative volatility (100th percentile) suggests bigger swings—diversify and stay cautious.
🔬 Methodology
This analysis uses the Adaptive Peak Distance Analyzer, a proprietary tool that studies PARR’s historical price movements to identify optimal trading zones. It calculates:
– 📊 Price Zones: Based on distances from 52-week highs where PARR historically breaks out or reverses, using 1254 days of data (since ~2021).
– 📈 Volatility Adjustment: Compares PARR’s 30-day volatility (51.6%) to SPY’s historical distribution, ranking at the 100th percentile, widening zones for safety.
– ⏰ Time Decay: Weights recent price reversals (~3.4 years) more heavily (average weight: 0.11) to reflect current behavior.
– 🌍 Market Regime: Adjusts zones based on SPY’s position (2.4% vs. 50-day SMA), tighter near-high zones.
– 📏 Metrics: Uses ATR (3.25%) for stop-losses and risk/reward ratios (1.7:1 at sweet spot). Does not include volume indicators or other technicals (e.g., RSI, MACD).
The analysis is robust (1254 samples, “High (Robust dataset)” quality) but focuses on price patterns, not fundamentals or volume trends. For broader context, check financial news or analyst reports.
🏢 About Par Pacific Holdings, Inc.
Sector: Energy | Industry: Oil & Gas Refining & Marketing
Par Pacific Holdings, Inc. owns and operates energy and infrastructure businesses. The company operates through three segments: Refining, Retail, and Logistics. The Refining segment owns and operates three refineries that produces ultra-low sulfur diesel, gasoline, jet fuel, marine fuel, distillate, asphalt, low sulfur fuel oil, and other associated refined products primarily for consumption in Hawaii, Pacific Northwest, Wyoming, and South Dakota. The Retail segment operates 119 fuel retail outl…
⚠️ Disclaimer
This report is for informational purposes only and does not constitute financial advice. Investing in stocks like PARR involves risks, including loss of principal. The analysis relies on historical price data and may not predict future performance. Always conduct your own research, consider your financial situation, and consult a licensed financial advisor before making investment decisions.
Report generated on November 13, 2025