Article published Aug 14, 2026. Prices below use latest available snapshots.
Editorial Note: SOFI has continued its recovery and extended it materially. At the May 29 refresh (RSI 64.3, $18.22, +13.17% 30D, weak-up, -44.33% from 52wk high), the read was "inflected but fragile — the recovery is recent." As of 2026-06-16, SOFI is at $17.71, RSI 57.2 — a moderate -2.8% pullback from the prior $18.22 peak, RSI cooled from 64.3 to 57.2 (still in the bullish zone), and the SMA20 ($16.63) has risen significantly from the prior $16.05, meaning SOFI is now +6.5% above SMA20. The 3M +1.96% confirms the 90-day trend is barely positive — all the recent momentum has been concentrated in the 30D window (+12.73%). The 30D +12.73% and 7D +2.15% show momentum is intact if cooling slightly. The -45.89% from 52wk high is still the structural reality — significant damage to repair. The setup now: weak-up trend with healthy RSI 57, SMA20 rising, near the prior $16.50-$17 ideal re-entry zone from May 29. This is the holding zone — the recovery hasn't broken, but it hasn't accelerated either.
2026-07-11 tape note: SOFI $18.78 (07-10), RSI 60.5 — up +6.0% from the $17.71 (06-16) checkpoint. SMA20 rose again to $17.73 (+5.9% above, similar spread to prior). 30D essentially flat at +12.66%; 3M turned materially positive at +10.15% (from +1.96%) — this directly answers the "does 3M turn materially positive (>10%) over the next 30 days" open question from 06-16 in the affirmative. -42.62% from 52wk high (improved from -45.89%). Trend "weak-up" though summary regime reads "downtrend" (death cross persists, no golden cross) — same mixed-signal pattern as the 06-16 read, not a new contradiction.
2026-07-17 tape note: The recovery has reversed. SOFI $17.28 (07-16), RSI 45.9 (down from 60.5) — down -8.0% from the $18.78 checkpoint, now -3.5% below SMA20 ($17.91) for the first time in this file's recent history, though still +1.5% above SMA50. 7D -7.99%, 30D -3.52% (flipped negative from +12.66%), 3M -11.38% (flipped negative from +10.15%). -47.2% from 52wk high (widened from -42.62%). No new fundamentals re-researched; this reverses the constructive momentum flagged 07/11 — worth a closer look at what drove the pullback.
2026-07-25 tape note: The pullback has extended. SOFI $16.46 (07-24), RSI 40.7 (down from 45.9) — down -4.75% from the $17.28 checkpoint, now -7.6% below SMA20 ($17.81) and -3.8% below SMA50 ($17.12) for the first time in this file's recent history, a new SMA50 breach. 7D -4.75%, 30D -4.91% (worsened from -3.52%), 3M -10.74% (modestly improved from -11.38%). -49.13% from 52wk high (widened from -47.2%). No new fundamentals re-researched; this extends the reversal flagged 07/17, not a stabilization.
2026-07-28 tape note: A modest bounce, still below both moving averages. SOFI $16.74 (07-28), RSI 44.4 (up from 40.7) — up +1.7% from the $16.46 checkpoint, now -5.3% below SMA20 (narrowed from -7.6%) and -2.5% below SMA50 (narrowed from -3.8%, still breached). 7D -5.1% (roughly flat vs -4.75%), 30D -7.97% (worsened from -4.91%), 3M has swung to +7.86% (from -10.74%, a base-effect move as the window rolls). -48.85% from 52wk high (narrowed slightly from -49.13%). No new fundamentals re-researched; this reads as a modest bounce within the ongoing pullback, not a stabilization. 2026-07-31 tape note: SOFI $16.31 (-2.57% vs $16.74), RSI 44 (roughly flat from 44.4). 7D -0.91% (moderated from -5.10%), 30D -11.55% (deepened from -7.97%), 3M -0.73% (turned negative from +7.86%). From the 52-week high, the gap is -50.17% (widened from -48.85%). Per the tape: trend "strong-down", regime "downtrend", no golden cross. No new fundamentals re-researched. Per the full-scan summaries (2026-07-31 close). 2026-08-08 tape note: SOFI $18.38 (+12.69% vs $16.31), RSI 56.5 (warmed from 44.0). 7D +12.69% (turned positive from -0.91%), 30D +3.67% (turned positive from -11.55%), 3M +16.70% (turned positive from -0.73%). From the 52-week high, the gap is -44.24% (narrowed from -50.17%). Per the tape: trend "weak-up", regime "downtrend", death cross confirmed. No new fundamentals re-researched. Per the full-scan summaries (2026-08-07 close). 2026-08-14 tape note: SOFI $18.29 (-0.49% vs $18.38), RSI 55.6 (cooled from 56.5). 7D -0.49% (turned negative from +12.69%), 30D +2.35% (moderated from +3.67%), 3M +17.17% (roughly flat from +16.70%). From the 52-week high, the gap is -43.69% (narrowed from -44.24%). Per the tape: trend "weak-up", regime "downtrend", death cross confirmed. No new fundamentals re-researched. Per the full-scan summaries (2026-08-14 close).
Price Data
| Metric | Value |
|---|---|
| Price | $18.29 |
| RSI (14) | 55.6 |
| SMA20 | $17.44 (+4.9%) |
| SMA50 | $17.49 (+4.6%) |
| SMA200 | $20.82 (-12.1%) |
| Trend | weak-up |
| Golden cross | No |
| Regime | downtrend |
| 7D | -0.49% |
| 30D | +2.35% |
| 3M | +17.17% |
| From 52wk High | -43.69% |
Key Changes vs 2026-07-28
| Metric | 2026-07-28 (data 07-28) | 2026-07-31 | Δ |
|---|---|---|---|
| Price | $16.74 | $16.31 | down |
| RSI | 44.4 | 44.0 | roughly flat |
| SMA20 | $17.68 | $-6.00 | reversed to below |
| vs SMA20 | -5.3% | -6.0% | widened |
| vs SMA50 | -2.5% | -5.1% | widened |
| 7D | -5.1% | -0.9% | moderated |
| 30D | -7.97% | -11.55% | deepened |
| 3M | +7.86% | -0.73% | turned negative |
| From 52wk Hi | -48.85% | -50.17% | widened |
Δ Since April 10 Refresh (full context)
| Metric | Apr 10 | May 29 | Jun 16 | Jul 11 | Jul 17 | Jul 25 | Jul 28 | Trend |
|---|---|---|---|---|---|---|---|---|
| Price | $16.17 | $18.22 | $17.71 | $18.78 | $17.28 | $16.46 | $16.74 | Modest bounce within pullback |
| RSI | 39.2 | 64.3 | 57.2 | 60.5 | 45.9 | 40.7 | 44.4 | Warming off the lows |
| Trend | Strong-down | Weak-up | Weak-up | Weak-up | Weak-up | Strong-down | Strong-down | Digesting → breaking down |
| 30D | -11.6% | +13.17% | +12.73% | +12.66% | -3.52% | -4.91% | -7.97% | Negative, worsening |
| From 52wk Hi | -50.6% | -44.33% | -45.89% | -42.62% | -47.2% | -49.13% | -48.85% | Roughly flat |
Action Matrix
| Action | Level | Why |
|---|---|---|
| Current | RSI 44, strong-down | downtrend, -50.2% from 52wk high |
| Entry Zone | $16.00-$17.00 | Near current SMA50 ($17.12); price is now testing this zone |
| Stop | $13.50 (-24%) | Below the April base; thesis-killer |
| Target | $24-$26 | Re-rate toward prior consolidation zone if rate-cycle thesis normalizes |
Context
At the April 10 refresh, SOFI was approaching oversold (RSI 39.2), strong-down, death cross active, -50.6% from 52wk high. At May 29 (RSI 64.3, $18.22), the trend had fully reversed to weak-up. Now at June 16 (RSI 57.2, $17.71), the recovery has paused: a -2.8% pullback from the May peak, RSI cooling toward neutral-bullish (57 vs 64 prior), but critically the SMA20 has risen from $16.05 to $16.63 — which means the trend is consolidating with a rising floor, not breaking down.
The 3M +1.96% is the key read for the medium-term frame: essentially flat over 90 days means all the recovery came in the most recent 30-45 day window. This is a stock in a short-term recovery, not a confirmed multi-month uptrend. The -45.89% from 52wk high is still the ceiling; SOFI needs to prove the weak-up trend holds before adding conviction.
The rate macro thesis hasn't changed: SOFI's lending business (student loan refi, personal loans, mortgage) is sensitive to Fed rate policy. Any hawkish pivot re-pressures the name. The 3M barely positive (+1.96%) suggests the macro tailwind hasn't been confirmed yet — the recovery is more technical than fundamental.
Key questions:
- Did Q1 2026 show lending volume growth and improved net interest margins?
- Is the SMA20 ($16.63) holding as support on any further pullback?
- Does the 3M turn materially positive (>10%) over the next 30 days, confirming the trend?
Research Log
| Date | Update |
|---|---|
| 2026-04-10 | Initial deep dive — $16.17 RSI 39.2, strong-down, death cross, -50.6% from 52wk high, -11.6% 30D. "Approaching oversold. Fintech thesis under pressure." |
| 2026-05-29 | SOFI $18.22, RSI 64.3, weak-up; +13.17% 30D vs -11.6% prior; 1D +7.37%; from52wkHi -44.33% vs -50.6% prior. Trend fully reversed from strong-down to weak-up. RSI inflected from 39.2 to 64.3. No new fundamentals re-researched. |
| 2026-06-16 | SOFI $17.71, RSI 57.2; vs SMA20 +6.5% ($16.63); 7D +2.15%, 30D +12.73%, 3M +1.96%; -45.89% from 52wk high. -2.8% pullback from May 29 peak; RSI cooled from 64.3 to 57.2; SMA20 rising (+$0.58 vs prior). Recovery intact; weak-up trend; consolidating. 3M barely positive — recovery is recent. Ideal re-entry at SMA20 ($16.63) if pullback occurs. No new fundamentals re-researched. |
| 2026-07-11 | Data as of 2026-07-10 close: SOFI $18.78, RSI 60.5, weak-up (regime "downtrend," death cross persists); +6.0% from 06-16 checkpoint, +5.9% above rising SMA20 ($17.73). 30D flat at +12.66%; 3M turned materially positive at +10.15% (from +1.96%), answering the prior refresh's open question. -42.62% from 52wk high (recovered further). No new fundamentals re-researched. |
| 2026-07-17 | Data as of 2026-07-16 close: SOFI $17.28, RSI 45.9, weak-up (regime "downtrend"); -8.0% from 07-11 checkpoint, -3.5% below SMA20 ($17.91) — recovery reversed. 30D -3.52%, 3M -11.38% (both flipped negative). -47.2% from 52wk high (widened). No new fundamentals re-researched. |
| 2026-07-25 | Data as of 2026-07-24 close: SOFI $16.46, RSI 40.7, strong-down (regime "downtrend"); -4.75% from 07-17 checkpoint, -7.6% below SMA20 and -3.8% below SMA50 (new breach) for the first time in this file's recent history. 30D -4.91% (worsened), 3M -10.74% (modestly improved). -49.13% from 52wk high (widened). No new fundamentals re-researched. |
| 2026-07-28 | Data as of 2026-07-28 close: SOFI $16.74, RSI 44.4, strong-down (regime "downtrend"); +1.7% from 07-25 checkpoint, -5.3% below SMA20 (narrowed) and -2.5% below SMA50 (narrowed, still breached). 30D -7.97% (worsened), 3M +7.86% (swung positive, base effect). -48.85% from 52wk high (narrowed slightly). No new fundamentals re-researched. |
| 2026-07-31 | SOFI $16.31, RSI 44, strong-down; 7D -0.91%; 30D -11.55%; 3M -0.73%; -50.17% from 52wk high. No new fundamentals re-researched. |
| 2026-08-08 | SOFI $18.38, RSI 56.5, weak-up; 7D +12.69%; 30D +3.67%; 3M +16.70%; -44.24% from 52wk high. No new fundamentals re-researched. |
| 2026-08-14 | SOFI $18.29, RSI 55.6, weak-up; 7D -0.49%; 30D +2.35%; 3M +17.17%; -43.69% from 52wk high. No new fundamentals re-researched. |
Sources
- Tape data (price/RSI/SMA/returns): full-scan pre-computed summaries as of the 2026-07-31 close — *.
- Prior-cycle history: this file's dated update log (refreshed each full scan).