GGAL NASDAQ Week ended 24 Jul 2026

Weekly Investor Report

Grupo Financiero Galicia SA ADR · Financial Services · Banks - Regional

Latest close 49.30 USD
-1.3% latest week
Weekly setup

Mixed setup

The weekly trend is active. Price is 3.9% above the Trend Line and sits at 68.6% of its 52-week range. The latest completed week returned -1.3%, after a -1.3% four-week move. The latest factor snapshot indicates quality is middle-of-the-pack; growth is moderate; valuation is neither clearly cheap nor expensive. Options positioning is bullish with 53/100 conviction, while the latest news-sentiment score is 57/100. Near-term considerations: volume confirmation is below normal; earnings are due in 19d.

Setup score 46 out of 100
Latest Close 49.30 USD 24 Jul 2026
1W Return -1.3% latest completed week
4W Return -1.3% short-term follow-through
12W Return 25.1% quarterly tape
Trend Breadth 21.2% 11 of 52 weeks active
Volume Ratio 0.8x vs 13-week average
What is working
  • The trend backdrop is active with a 1-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.
  • Activity pressure is positive on the latest completed week.
What could go wrong
  • No major top-level risk cluster is currently dominant.
What to watch next
  • Trend Line remains the key weekly regime level.
  • Activity pressure is the gauge to monitor for confirmation or fade.
  • A volume ratio above 1.5x would show stronger participation in the next move.
01 · Price action

Where price is—and whether the trend supports it

The weekly trend is active. Price is 3.9% above the Trend Line and sits at 68.6% of its 52-week range. The latest completed week returned -1.3%, after a -1.3% four-week move.

Study the full chart

52-week price path

Price vs Trend Line and Fair Value
Price Trend Line Fair Value
02 · Volume and demand

Is real participation confirming the move?

Latest weekly volume is 0.8x the 13-week average. Participation is below its recent norm, so price strength is not receiving full volume confirmation.

26-week volume confirmation

Bar height shows volume; colour shows the weekly price direction
30 Jan 6 Feb 13 Feb 20 Feb 27 Feb 6 Mar 13 Mar 20 Mar 27 Mar 3 Apr 10 Apr 17 Apr 24 Apr 1 May 8 May 15 May 22 May 29 May 5 Jun 12 Jun 19 Jun 26 Jun 3 Jul 10 Jul 17 Jul 24 Jul
Up week Down week
Demand beneath price

Activity pressure and institutional-style signals

These indicators assess whether participation is improving beneath the headline price move. They are supporting evidence, not proof of institutional buying.

Activity pressure path

Latest 0.4912-week average 0.22

12-week confirmation

Trend active1/12Active trend-backdrop weeks in the latest 12-week window.
Positive pressure8/12Weeks with constructive activity pressure in the latest 12-week window.
Positive leadership4/12Weeks with positive relative leadership in the latest 12-week window.
Activity pressure0.49Current proprietary activity-pressure read.
Buy signals0Accumulation signal count in the latest 12 weeks.
Reversal markers0No reversal markers

No recent accumulation markers. No reversal markers.

03 · Momentum and leadership

Is performance persistent—and is the stock leading?

Performance is -1.3% over four weeks, 25.1% over 12 weeks, and -0.1% over one year. The current trend has remained active for 1 consecutive weeks.

Performance by holding period

1W-1.3%
4W-1.3%
12W25.1%
26W-5.6%
52W-0.1%
Active trend streak1 weeks
Active weeks in one year11
Trend breadth21.2%

Activity pressure vs relative leadership

Activity pressureRelative leadership
Pressure0.49Latest activity-pressure read.
Pressure change-49.6%Four-week change in activity pressure.
Leadership0.11Latest relative-leadership reading.
RS change103.5%Four-week change in relative leadership.
04 · Fundamentals and valuation

What investors are paying for—and the quality behind it

The latest factor snapshot indicates quality is middle-of-the-pack; growth is moderate; valuation is neither clearly cheap nor expensive.

Open full factor analysis
Factor week 26 Jul 2026 Financial statements through 31 Dec 2025 Field coverage 97% Model confidence 93%

Relative factor standing

Higher display scores are better. Each score is converted from the underlying universe rank, where rank 1 is best.

Overall factor strength59/100Blend of value, momentum, and quality. Underlying universe rank 42; rank 1 is best.
Value53/100Relative valuation strength. Underlying universe rank 48; rank 1 is best.
Quality52/100Profitability and accounting quality. Underlying universe rank 49; rank 1 is best.
Momentum54/100Medium-term price momentum. Underlying universe rank 47; rank 1 is best.
Growth54/100Revenue and earnings growth. Underlying universe rank 47; rank 1 is best.
How to read this

Quality and valuation are separate questions

A strong company can still carry a demanding valuation. This report shows profitability, growth, balance-sheet strength, and the price paid for those characteristics separately.

Valuation

How much investors are paying for earnings, sales, and cash flow.

P/E
-
Price divided by trailing earnings.
Price / sales
-
Market value relative to trailing revenue.
EV / EBITDA
-
Enterprise value relative to operating cash earnings.
Free-cash-flow yield
-
Free cash flow as a share of enterprise value.

Business quality

Margins and the return generated on invested capital.

Gross margin
42.9%
Gross profit retained from each unit of revenue.
Operating margin
1.2%
Operating profit retained from revenue.
Free-cash-flow margin
33.5%
Free cash flow generated from revenue.
Return on invested capital
2.9%
Operating return generated on invested capital.

Growth and financial strength

Recent business growth and accounting strength.

Revenue growth
59.3%
Latest one-year revenue growth.
EPS growth
-94.4%
Latest one-year earnings-per-share growth.
Free-cash-flow growth
-
Latest one-year free-cash-flow growth.
Piotroski F-score
1/9
Nine-point accounting-strength checklist.

Shareholder return and balance sheet

Cash returned to owners and financial leverage.

Dividend yield
4.3%
Cash dividends relative to market value.
Buyback yield
-
Net share repurchases relative to market value.
Shareholder yield
-
Dividend yield plus net buyback yield.
Net debt / EBITDA
-8.9x
Balance-sheet debt relative to operating cash earnings.
05 · Ownership, options, and sentiment

What other market participants are doing

Options, insider transactions, market sentiment, and activity-pressure signals can confirm or challenge the price story. None should be used alone.

Options positioningBullish

GGAL shows bullish options pressure with a 53/100 conviction score, put-call volume ratio of 0.08, expected move of 9.3%, and Sharemaestro trend signal active.

Conviction53/100
Expected move9.3%
Put/call volume0.08
Pressure83
Speculation41
Volatility69
Trend agreement8
Open options detail
Insider activity-

No recent insider transactions are stored for this company.

News sentiment57/100

Weighted news tone is neutral across 51 relevant articles.

23 positive · 21 neutral · 7 negative
Patient CapitalQuiet

Activity-pressure buy-signal evidence highlights potential institutional accumulation windows.

No recent buy signal
06 · Catalysts and risk

What can move the shares—and how volatile the path has been

Event timing, options-implied movement, drawdown, and weekly return distribution frame the risk around the current setup.

Next earnings19dNext report is scheduled for 18 Aug 2026; event risk rises as the date approaches.
Options expected move9.3%Nearest-chain priced movement where available.
52-week drawdown-18.5%Distance below the 52-week high.
13-week volatility8.1%Standard deviation of weekly returns.

Weekly gains and losses

Latest 26 completed weeks

Each bar is one week. Gains rise above the zero line; losses fall below it. Taller bars mean a larger weekly move.

Weeks higher12 of 2614 weeks finished lower.
Best week+16.4%Week of 29 May.
Worst week-11.4%Week of 26 Jun.
Latest week-1.3%Week of 24 Jul.

Shape of recent returns

Strong gains9
Modest gains3
Flat weeks0
Modest losses5
Sharp losses9
Recent vol8.1%13-week weekly-return volatility.
Base vol12.6%52-week weekly-return volatility.
Up/down split23/29Count of positive and negative weeks in the 52-week window.
Average skew10.1% / -6.8%Average positive week versus average negative week.
07 · Sector and peer context

Is this stock leading—or simply moving with its group?

Sector and industry breadth distinguish company-specific strength from a broad group move.

08 · Evidence and weekly data

The underlying research record

Every top-level statement above should be traceable to a stored market, fundamental, event, or positioning observation.

WeekCloseReturnTrend LineFair ValuePressureLeadershipVolumeTrend
24 Jul 202649.30 USD-1.3%47.43 USD38.68 USD0.490.114.7MOn
17 Jul 202649.94 USD-7.1%47.59 USD38.46 USD0.60-0.625.9MOff
10 Jul 202653.73 USD6.7%47.67 USD38.24 USD0.772.235.8MOff
3 Jul 202650.37 USD0.8%47.45 USD37.98 USD0.93-2.613.5MOff
26 Jun 202649.97 USD-11.4%47.39 USD37.75 USD0.97-2.994.9MOff
19 Jun 202656.37 USD2.2%47.45 USD37.52 USD1.133.975.2MOff
12 Jun 202655.16 USD15.4%47.06 USD37.25 USD0.853.969.2MOff
5 Jun 202647.81 USD-5.7%46.92 USD36.99 USD0.26-8.365.0MOff
29 May 202650.69 USD16.4%47.12 USD36.77 USD-0.15-7.9810.0MOff
22 May 202643.55 USD6.8%47.33 USD36.51 USD-0.65-19.445.6MOff
15 May 202640.79 USD-1.4%47.02 USD36.29 USD-0.81-24.724.6MOff
8 May 202641.37 USD4.9%46.70 USD36.09 USD-0.72-24.964.8MOff
1 May 202639.42 USD-7.0%46.39 USD35.89 USD-0.57-25.597.1MOff
24 Apr 202642.39 USD-9.9%46.00 USD35.70 USD-0.53-19.845.0MOff
How to use this report

This is a completed-week research summary. It explains the available evidence and its conflicts; it does not predict a guaranteed outcome or replace your own risk assessment. Fundamental figures may refer to an earlier financial reporting period, which is shown above.