{"ticker": {"uuid": "42d23ef1-9986-4985-bd11-61e22b93f19c", "symbol": "COP", "name": "ConocoPhillips", "exchange": "MEX", "asset_type": "equity"}, "latest_week": "2026-06-12", "summary": "COP closed the latest completed week at 2,107 MXN. The 4-week return is -0.2% and the 12-week return is -7.3%. Trend Signal is active, Market Dynamics is -0.53.", "description": "ConocoPhillips explores for, produces, transports, and markets crude oil, bitumen, natural gas, liquefied natural gas (LNG), and natural gas liquids. It operates in five segments: Alaska; Lower 48; Canada; Europe, Middle East and North Africa; and Asia Pacific. The company's portfolio includes unconventional plays in North America; conventional assets in North America, Europe, Asia, and Australia; global LNG developments; oil sands assets in Canada; and an inventory of global exploration prospects. It serves in the United States, Canada, China, Equatorial Guinea, Libya, Malaysia, Norway, Singapore, the United Kingdom, and internationally. ConocoPhillips was founded in 1917 and is headquartered in Houston, Texas.", "setup_signature": "Balanced read", "composite_score": "48", "kpis": [{"label": "Latest Close", "value": "2,107 MXN", "hint": "2026-06-12"}, {"label": "1W Return", "value": "1.9%", "tone": "positive", "hint": "latest completed week"}, {"label": "4W Return", "value": "-0.2%", "tone": "negative", "hint": "short-term follow-through"}, {"label": "12W Return", "value": "-7.3%", "tone": "negative", "hint": "quarterly tape"}, {"label": "Trend Breadth", "value": "34.6%", "hint": "18 of 52 weeks active"}, {"label": "Volume Ratio", "value": "1.5x", "hint": "vs 13-week average"}], "classification": {"exchange": "MEX", "country": "MX", "sector": "Energy", "industry": "Oil & Gas E&P", "currency": "MXN", "market_cap": "2421.4B"}, "price": {"trend_line": "1,947 MXN", "fair_value": "1,957 MXN", "vs_trend": "8.2%", "vs_fair_value": "7.7%", "high_52": "2,451 MXN", "low_52": "1,595 MXN", "drawdown": "-14.0%", "range_position": "59.8%"}, "momentum": {"returns": [{"label": "1W", "value": 1.9351717464925013, "value_label": "1.9%", "tone": "positive", "width": 5.529062132835718}, {"label": "4W", "value": -0.18948365703458078, "value_label": "-0.2%", "tone": "negative", "width": 4}, {"label": "12W", "value": -7.304417937696218, "value_label": "-7.3%", "tone": "negative", "width": 20.869765536274908}, {"label": "26W", "value": 20.50541703706021, "value_label": "20.5%", "tone": "positive", "width": 58.58690582017202}, {"label": "52W", "value": 17.27024401547849, "value_label": "17.3%", "tone": "positive", "width": 49.34355432993854}], "trend_streak": 18, "active_weeks": 18, "active_breadth": "34.6%", "peer": {"scope": "MX Energy", "count": 27, "rank": 1, "percentile": 100.0, "avg_weekly_return": -0.5901928341156107}}, "setup": {"scores": [{"label": "Trend", "value": 64.03846153846155, "value_label": "64", "width": 64.03846153846155, "tone": "neutral", "description": "Persistence of active Trend Signal over the last 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with a 18-week active streak.", "Price is above the Trend Line, keeping the weekly tape constructive.", "Price is above Fair Value, showing premium demand versus the model.", "Volume is elevated versus the 13-week average, confirming attention.", "Latest weekly return ranks in the strongest part of its sector group."], "risks": ["Market Dynamics is negative, which weakens the current setup."], "watch_points": ["Trend Line remains the key weekly regime level.", "Market Dynamics is the pressure gauge to monitor for confirmation or fade.", "A volume ratio above 1.5x would show stronger participation in the next move."], "recent_rows": [{"week": "2026-06-12", "close": "2,107 MXN", "weekly_return": 1.9351717464925013, "weekly_return_label": "1.9%", "weekly_return_tone": "positive", "trend_line": "1,947 MXN", "fair_value": "1,957 MXN", "market_dynamics": "-0.53", "relative_strength": "7.20", "volume": "1.2K", "trend_signal": "On"}, {"week": "2026-06-05", "close": "2,067 MXN", 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