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SPAR Group Inc. Common Stock Forecasts for Tomorrow, Week, Month and 5 Years

Updated: May 17, 2026 at 10:59 UTC
• 0.00%Market Cap $14.44M · Technical analysis Bearish · Focus area Price + volatility

Forecast Summary

TimeframePredicted PricePastHistoricalInsight
Tomorrow$0.6449 -4.46%Yesterday$0.6750 0.00%Tomorrow's SPAR Group Inc. Common Stock (SGRP) setup is anchored to $0.6750 and targets $0.6449 (-4.46%). The near-term read is downside; watch $0.7074 / $0.6426 because daily realized volatility is about 7.53%.
Tomorrow's SPAR Group Inc. Common Stock (SGRP) setup is anchored to $0.6750 and targets $0.6449 (-4.46%). The near-term read is downside; watch $0.7074 / $0.6426 because daily realized volatility is about 7.53%.
Week$0.6129 -9.20%Last Week$0.6750 0.00%The 7-day SPAR Group Inc. Common Stock model moves from $0.6750 to $0.6129 (-9.20%). It gives downside momentum context for this stock, so breaks around $0.7074 / $0.6426 matter more than a single tick.
The 7-day SPAR Group Inc. Common Stock model moves from $0.6750 to $0.6129 (-9.20%). It gives downside momentum context for this stock, so breaks around $0.7074 / $0.6426 matter more than a single tick.
Month$0.5873 -12.99%Last Month$0.6750 0.00%The 1-month SPAR Group Inc. Common Stock target is $0.5873 (-12.99%), compared with the live reference near $0.6750. This horizon blends current trend pressure with price momentum, liquidity, and company-specific risk.
The 1-month SPAR Group Inc. Common Stock target is $0.5873 (-12.99%), compared with the live reference near $0.6750. This horizon blends current trend pressure with price momentum, liquidity, and company-specific risk.
Year$0.5610 -16.89%Last Year$0.6750 0.00%The 1-year SPAR Group Inc. Common Stock scenario points to $0.5610 (-16.89%). Confidence is lower than short-term rows, so treat it as cycle context and re-check it after major market-data updates.
The 1-year SPAR Group Inc. Common Stock scenario points to $0.5610 (-16.89%). Confidence is lower than short-term rows, so treat it as cycle context and re-check it after major market-data updates.
5 Years$0.5067 -24.93%5 Years Ago$0.6750 0.00%The 5-year SPAR Group Inc. Common Stock view is $0.5067 (-24.93%). It is a directional scenario built from bounded drift and volatility, not a guaranteed path.
The 5-year SPAR Group Inc. Common Stock view is $0.5067 (-24.93%). It is a directional scenario built from bounded drift and volatility, not a guaranteed path.
Tomorrow$0.6449 -4.46%
Yesterday$0.6750 0.00%
Tomorrow's SPAR Group Inc. Common Stock (SGRP) setup is anchored to $0.6750 and targets $0.6449 (-4.46%). The near-term read is downside; watch $0.7074 / $0.6426 because daily realized volatility is about 7.53%.
Week$0.6129 -9.20%
Last Week$0.6750 0.00%
The 7-day SPAR Group Inc. Common Stock model moves from $0.6750 to $0.6129 (-9.20%). It gives downside momentum context for this stock, so breaks around $0.7074 / $0.6426 matter more than a single tick.
Month$0.5873 -12.99%
Last Month$0.6750 0.00%
The 1-month SPAR Group Inc. Common Stock target is $0.5873 (-12.99%), compared with the live reference near $0.6750. This horizon blends current trend pressure with price momentum, liquidity, and company-specific risk.
Year$0.5610 -16.89%
Last Year$0.6750 0.00%
The 1-year SPAR Group Inc. Common Stock scenario points to $0.5610 (-16.89%). Confidence is lower than short-term rows, so treat it as cycle context and re-check it after major market-data updates.
5 Years$0.5067 -24.93%
5 Years Ago$0.6750 0.00%
The 5-year SPAR Group Inc. Common Stock view is $0.5067 (-24.93%). It is a directional scenario built from bounded drift and volatility, not a guaranteed path.
Risk notice:This forecast is informational only, not financial advice; accuracy depends on volatility, liquidity, macro events, and other external factors.

Price Chart

HistoricalForecastBullishBearish
$0.6886$0.6581$0.6275$0.5969$0.56641W AgoNow7D F

Technical Analysis

SellNeutralBuy
Bearish
0
Bullish
4
Neutral
1
Bearish

Key Indicators

IndicatorValueSignal
RSI 1449.3 Neutral
MACD-0.10 Bearish
SMA 50$0.6450 Mid
SMA 200$0.6550 Mid
EMA 20$0.6437 Mid

Historical Data

Opening Price$0.6750
Start Date2021-05-17
Day Range$0.6420 – $0.7080
Market Cap$14.44M
Monthly Range$0.5342 – $0.7360
24h Volumen/a
90D Range$0.5165 – $0.7563
Circulatingn/a
52W Range$0.4723 – $0.7818
Max Supplyn/a
Opening Price$0.6750Start Date2021-05-17
Day Range$0.6420 – $0.7080Market Cap$14.44M
Monthly Range$0.5342 – $0.736024h Volumen/a
90D Range$0.5165 – $0.7563Circulatingn/a
52W Range$0.4723 – $0.7818Max Supplyn/a

Support & Resistance Levels

$0.7560R3 — major ceiling
$0.7317R2 — swing resistance
$0.7074R1 — near-term resistance
$0.6750Current PriceSGRP
$0.6426S1 — near-term supportSupport
$0.6183S2 — structure support
$0.5940S3 — deep support
Nearest resistance sits near $0.7074; breaks above this area would improve continuation odds.
Nearest support is around $0.6426; repeated failures below this zone would increase downside risk.
Levels are derived from observed rolling highs/lows with 7.53% daily realized volatility.

Price Milestones

Key levels & historical context
Recent$0.6750Current
Current reference level from live market feed.
24h High$0.7080Local High+4.90%
Observed day high from latest market session.
24h Low$0.6420Local Low-4.90%
Observed day low from latest market session.
30D Target$0.5873Model 1M-12.99%
Forecast engine medium-horizon projection.
1Y Target$0.5610Model 1Y-16.89%
Forecast engine long-horizon projection.
5Y Scenario$0.5067Model 5Y-24.93%
Long-cycle continuation scenario, not a guaranteed path.

Forecast Accuracy

How our model has performed
75%
Directional
Forecast Accuracy
Based on live volatility regime (7.53% daily), near-term direction remains more stable than long horizons.
📊
Our algorithm is re-calibrated weekly using the latest price action, volatility regime, and indicator signals. Accuracy varies by timeframe — short-term momentum is more reliable than long-term projections.
Tomorrow
78%
Direction hit rate
7 Days
76%
Direction hit rate
30 Days
73%
Direction hit rate
1 Year
68%
Direction hit rate
Avg. Price Error (30D)
±12.4%
Mean absolute deviation
Last Correct Signal
Recent
Directional signal ✓

Investment Scenarios

If you invest $1,000 in SGRP today
Bullish Scenario
$1210.89
+21.09% from current
Target Price$0.8173
ScenarioBreakout continuation
Probability32%
Base Scenario
$870.07
-12.99% from current
Target Price$0.5873
ScenarioTrend-following baseline
Probability37%
Bearish Scenario
$864.43
-13.56% from current
Target Price$0.5835
ScenarioVolatility drawdown
Probability31%
Basis: Scenario model combines current 30-day drift (-12.99%) and realized daily volatility (7.53%).

Correlation Matrix

30-day rolling · how SGRP moves with other assets
SGRPASMLCATTSMGOOGLGS
SGRP1.000.580.570.560.420.41
ASML0.581.000.850.820.790.55
CAT0.570.851.000.970.960.88
TSM0.560.820.971.000.940.84
GOOGL0.420.790.960.941.000.84
GS0.410.550.880.840.841.00

Forecast Factors

Market Structure
Price structure reflects the latest momentum regime and support/resistance interaction.
Momentum Bearish · 12/100
24H drift-4.46%
7D drift-9.20%
30D drift-12.99%
Technical Signals
Signals combine RSI, MACD, and moving average stacks to estimate short-term direction.
Bullish Setup · 63/100
RSI50.0 · Neutral
MACD0.00 · Neutral
MA stack3/3 bullish
Macro Context
Rates, dollar strength, and cross-asset risk appetite influence medium-term paths.
Risk-Off Caution · 19/100
1M outlook-12.99%
1Y outlook-16.89%
5Y outlook-24.93%

Frequently Asked Questions

Q What is the SPAR Group Inc. Common Stock (SGRP) forecast for tomorrow?
Using the latest BeCoin market snapshot (May 17, 2026 at 10:59 UTC), SPAR Group Inc. Common Stock is projected near $0.6449 versus the current reference around $0.6750. That implies a modeled move of -4.46% over the next day, with realized prices still sensitive to intraday volatility.
Q What does the 7-day stock outlook suggest for SGRP?
The weekly SPAR Group Inc. Common Stock model points to $0.6129, which maps to an expected drift of -9.20% from current conditions. This horizon reacts quickly to momentum shifts, so support/resistance breaks can change the path faster than long-term targets.
Q How should I read the SPAR Group Inc. Common Stock 1-month and 1-year targets?
The SPAR Group Inc. Common Stock 1-month target is $0.5873 (-12.99%), while the 1-year target is $0.5610 (-16.89%). The monthly view tracks prevailing trend pressure, and the yearly view reflects broader cycle assumptions shaped by price momentum, liquidity, and company-specific risk.
Q Why does the SPAR Group Inc. Common Stock 5-year scenario differ from short-term rows?
The SPAR Group Inc. Common Stock long-horizon scenario sits near $0.5067 with a modeled change of -24.93%. It compounds cycle-continuation assumptions over time, so it should be treated as a scenario envelope rather than a precise endpoint.
Q Where are SGRP support and resistance zones right now?
For SPAR Group Inc. Common Stock, nearest resistance is around $0.7074, while nearest support is around $0.6426. A clean break above resistance improves continuation odds, while repeated closes under support raise downside risk.
Q How fresh is the SPAR Group Inc. Common Stock market snapshot?
The displayed stock snapshot is labeled May 17, 2026 at 10:59 UTC; the latest observed session range is roughly $0.6420 to $0.7080. These checkpoints are rebuilt from the market feed so the FAQ, milestones, and support/resistance context stay tied to the same data refresh.