BCO · GER combines 92.0% value, 94.0% quality, and 68.0% momentum inside the Germany - EUR factor universe.
Germany Market Radar
Germany sectors, industries, tickers, signals, factors, predictions, and risk.
Opportunities
Strong current setups from structure, price action, factors, and events.
Breakouts
Weekly charts with improving trend, levels, and confirmation.
Value + Quality
Stocks with strong value, quality, momentum, and confidence.
Rotation
Sectors and industries where breadth and weekly returns are moving.
Predictions
Relevant probability moves from prediction markets.
Risk
Weak, fragile, or stretched readings that need caution.
Hot and Cold
Where local breadth, weekly return, and industry pressure are concentrating now.
Germany Factor Read
Published factor snapshots are available, so the country radar prioritises value, quality, momentum, and SVQF evidence alongside price action.
No country-specific prediction markets yet.
Opportunities
PNE3 · GER combines 91.0% value, 96.0% quality, and 88.0% momentum inside the Germany - EUR factor universe.
SJJ · GER combines 91.0% value, 93.0% quality, and 86.0% momentum inside the Germany - EUR factor universe.
RDC · GER combines 77.0% value, 99.0% quality, and 93.0% momentum inside the Germany - EUR factor universe.
IJ8 · GER combines 78.0% value, 100.0% quality, and 17.0% momentum inside the Germany - EUR factor universe.
H2A · GER combines 71.0% value, 100.0% quality, and 97.0% momentum inside the Germany - EUR factor universe.
Risk
CFC · GER looks statistically cheap, but quality or confidence is weak. Treat it as a value-risk candidate until price action and fundamentals improve.
TTO · GER looks statistically cheap, but quality or confidence is weak. Treat it as a value-risk candidate until price action and fundamentals improve.
AMM · GER looks statistically cheap, but quality or confidence is weak. Treat it as a value-risk candidate until price action and fundamentals improve.
VEZ · GER looks statistically cheap, but quality or confidence is weak. Treat it as a value-risk candidate until price action and fundamentals improve.