SOYB – Teucrium Soybean Fund

ETF

Commodities Focused | Inception: 2011-09-16

Quick Stats

Trend Signal
$27.59
Last Close
Official EOD price – basis for all calculations
▲ Long
Swing Trend
Moving average structure confirms uptrend – bulls in control
11.7
Trend Strength (ADX)
Weak / ranging – trend signals less reliable
Last Trendchange Signal
07.07.26
Date
Signal entry date
$25.34
Entry Price
Closing price at signal date
18d
Days Held
Trading days since signal
+2.13%
+10d
Return after 10 trading days
-0.51%
+20d
Return after 20 trading days
-0.51%
+30d
Return after 30 trading days
-0.51%
+60d
Return after 60 trading days

Trend Overview

Volatility Compression – Wait for Breakout Composite Score: -1 / 7

SOYB has been in a volatility compression for 8 consecutive sessions. Price is coiling and the range is contracting. This kind of structure typically resolves with an expansion in one direction – and the underlying trend bias is still positive, which tilts the probability toward an upside resolution. The key question is not if the move happens, but when and which way.

What to watch

This is a waiting game. Define the breakout level in advance, set alerts at the range boundaries, and let the market make the first move.

SOYB Price Chart

Technical Trend Analysis

As of 07.10.2026  ·  Close: $27.59  ·  ATR14: $1.23

Volatility Compression – Wait for Breakout Composite Score: -1 / 7

SOYB has been in a volatility compression for 8 consecutive sessions. Price is coiling and the range is contracting. This kind of structure typically resolves with an expansion in one direction – and the underlying trend bias is still positive, which tilts the probability toward an upside resolution. The key question is not if the move happens, but when and which way.

What to watch

This is a waiting game. Define the breakout level in advance, set alerts at the range boundaries, and let the market make the first move.

Indicator Signal Detail
Swing Trend ▲ Long Primary directional bias
Momentum ▼ Down · -9d Strength: -0.24 – Rising
Trend Strength (ADX) 11.7 – Weak ADX38: 34.9
Volatility (HV30) 16.0% – Rising HV90: 15.7% | HV180: 14.3%
Vola Compression 8 days active Potential breakout building
MA Structure Golden Cross ✓ Stack: Fully aligned – bullish stack
EMA21 Distance ~0 ATR – Near line EMA21: $27.37
GD200 Extension 9.5 ATR – Extended GD20: -0.4 | GD50: 2.5 | GD100: 5.5
📉 Downside Momentum Intensifying
Downward momentum active for -9 days and still building (-0.24). Selling pressure is not easing.
⚪ Trend Strength – ADX14: 11.7 (Weak)
Weak or ranging market. ADX38: 34.9. Trend-following signals carry lower reliability.
🔺 Volatility Rising
HV30: 16.0% | HV90: 15.7% | HV180: 14.3%. Short-term vol is running above its 90-day average. Wider stops and reduced size may be appropriate.
🗜️ Volatility Compression – 8 Days Active
Price has been compressing for 8 sessions. The longer the compression, the more powerful the potential breakout.
⭐ Golden Cross – Long-term Bullish
Golden Cross in place. GD50 $26.76 above GD200 $24.71 by 8.30%. Long-term structure is bullish. MA stack: Fully aligned – bullish stack.
🎯 EMA21 – Reaction Zone
Price is within 0.5 ATR of the EMA21 at $27.37. Watch for a decisive bounce or break.
📏 Extended Move
9.5 ATR from the 200-day SMA. The trend may be maturing. Disciplined stop management becomes increasingly important.
📐 Key Price Levels & ATR Distance
GD20: $27.71 (-0.4 ATR) | GD50: $26.76 (2.5 ATR) | GD100: $25.83 (5.5 ATR) | GD200: $24.71 (9.5 ATR). ATR14: $1.23.

Monthly Performance History

Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2011 -9.86 2.26 -6.17 6.31 -10.14
2012 -3.99 -0.47 3.17 0.49 -8.72 9.47 8.21 7.00 -7.87 -0.46 -6.09 -2.90 7.99
2013 4.19 -3.09 0.50 1.73 7.28 -7.25 -3.73 8.98 -7.07 -0.91 3.67 -2.10 -4.52
2014 -0.75 8.42 0.37 2.08 0.59 -6.24 -5.89 -3.38 -11.35 11.13 -1.85 -0.29 -8.43
2015 -4.69 5.95 -3.68 -1.76 -3.68 10.70 -8.42 -4.84 1.98 0.28 0.11 -3.45 -15.26
2016 1.16 -2.06 5.63 7.14 1.52 5.59 -9.74 -1.57 1.54 2.86 3.62 -3.14 10.85
2017 2.43 -0.51 -8.53 0.22 -4.32 2.97 2.10 -1.80 1.83 1.65 -0.43 -3.87 -5.55
2018 2.90 4.54 -1.35 -0.21 T
-1.95
-13.62 4.72 T
-5.22
0.57 T
-2.50
T
1.49
-2.35 -9.86
2019 1.22 -2.05 -3.08 -5.33 3.00 T
1.61
-2.07 0.27 T
3.61
0.32 -5.64 T
6.46
-3.36
2020 -8.13 -0.27 -4.81 0.15 -0.58 T
2.42
-0.35 6.10 4.83 1.45 10.07 10.37 22.68
2021 2.96 4.00 3.30 8.00 2.10 -0.50 T
-2.74
-2.93 -1.26 -0.50 T
-2.57
7.01 16.19
2022 8.07 5.74 -2.94 8.01 0.11 -4.04 5.19 T
1.63
-0.84 2.63 T
1.43
5.36 23.59
2023 0.57 T
-1.93
-2.04 T
-4.08
-9.51 T
11.85
-0.98 T
1.97
-5.08 0.93 T
2.75
-3.46 -3.64
2024 -3.09 -5.61 T
4.11
-1.64 T
1.94
-4.79 -6.67 -1.17 T
3.97
-6.49 -1.40 2.19 -19.10
2025 T
2.93
-4.01 0.33 T
-1.29
-0.05 T
1.21
-2.64 T
5.56
-3.16 T
6.49
0.55 -6.86 1.53
2026 1.92 T
7.69
3.00 1.68 0.80 -2.94 T
2.61
7.92 -0.97 1.43 26.44

T A T badge marks a Trendchange signal in that month. Hover for entry price.

SOYB - Trendchange Chart

StockBotty Trendchange SOYB Chart

Trendchange Signal History

The last 10 Trendchange signals for SOYB:

Date Entry Price Days Held +10d +20d +30d +60d
07.07.26 $25.34 18d +2.13% -0.51% -0.51% -0.51%
03.02.26 $22.25 57d +5.39% +7.6% +8.18% +11.96%
23.10.25 $22.26 30d +5.21% +5.44% +5.26% +5.26%
15.08.25 $22.18 12d +0.6% -0.41% -0.41% -0.41%
13.06.25 $22.29 12d -3.21% -3.21% -3.21% -3.21%
16.04.25 $21.71 13d -1.11% +2.35% +0.32% +0%
06.01.25 $21.19 26d +5.8% +7.31% +5.1% +5.1%
18.09.24 $22.24 20d +3.6% +0.22% +0.22% +0.22%
02.05.24 $25.30 16d +0.91% +0.51% +0.51% +0.51%
18.03.24 $25.10 9d -0.16% +0.08% +0.08% +0%

Signal Statistics - Historical Edge

Calculated edge for SOYB: 0%

Range N 10d 20d 30d 60d Signal
5-7% 3 +5.47% +6.78% +6.18% +7.44% Close
3-5% 5 +3.5% +3.92% +4.37% +4.28% Close
1-3% 13 +1.82% +1.01% +1.63% +1.89% Close
0-1% 4 +0.63% -0.27% -0.27% -0.27% Close
-1-0% 6 -0.55% -0.52% -0.18% +0.03% Neg
-3-1% 13 -1.56% -0.09% -0.16% +0.05% Neg
-5-3% 4 -3.48% -3.11% -3.11% -3.11% Neg
Exit Rules: Stoploss: -10% | Close if below 7% after 10 days
📊

No Options Data Available

Options flow data for SOYB is not yet tracked. Check back after the next market session.

About Teucrium Soybean Fund

The fund seeks to achieve its investment objective by investing in Benchmark Component Futures Contracts. Under normal market conditions, the manager expects that 100% of the fund’s assets will be invested in Benchmark Component Futures Contracts and in cash and cash equivalents.

Fund Overview

MetricValue
Assets under Management$55.50 M
Expense Ratio1.00%
Dividend Yield0.00%
Portfolio Turnover0%
YTD Return11.47%
3-Year Return-3.52%
5-Year Return2.55%

Top 10 Holdings

Symbol Company Weight
FGTXX GOLDMAN SACHS FS GOVERNMENT INSTL 27.37%

Frequently Asked Questions – Teucrium Soybean Fund (SOYB)

Disclaimer: All trade history on this page reflects the author's personal trading activity only. This is not financial advice. Past performance is not indicative of future results. See our full Disclaimer.