GEV

GE Vernova Inc.

CA

Latest week
17 Jul 2026
Close
71.230003
Fair value
61.198609
Next-week expectancy
Positive 62.50%
Sharemaestro

GEV Chart Pack

GE Vernova Inc.

Exchange
TOR
Latest week
17 Jul 2026
Close
71.230003
Fair value
61.198609
Next-week expectancy
Positive 62.50%
Generated
23 Jul 2026 06:44

Chart Summary

Over the latest 12 completed weeks ending 2026-07-17, GEV fell 0.99%, moving from 71.94 to 71.23. The latest weekly close is above the Trend Line and above Fair Value. Trend Signal is active on the latest week and was active in 1 of the last 12 weeks. Market Dynamics is -0.02 on the latest week. Next-week expectancy is positive at 62.50% based on similar historical setup states.

Key Points

Week Ending
17 Jul 2026
Latest Close
71.23
12-Week Change
-0.99%
Trend Signal
Active
Next-Week Expectancy
Positive 62.50%
Signal Weeks
1 of 12
Vs Trend Line
Above
Vs Fair Value
Above
Market Dynamics
-0.02

Weekly Price

Weekly Close Trend Line Fair Value Activity Lines

Chart Panels

Choose up to 5 panels. Drag panel headers to reorder.

Chart Summary

Key Points

Week Ending
17 Jul 2026
Latest Close
71.23
12-Week Change
-0.99%
Trend Signal
Active
Next-Week Expectancy
Positive 62.50%
Signal Weeks
1 of 12
Vs Trend Line
Above
Vs Fair Value
Above
Market Dynamics
-0.02

Over the latest 12 completed weeks ending 2026-07-17, GEV fell 0.99%, moving from 71.94 to 71.23. The latest weekly close is above the Trend Line and above Fair Value. Trend Signal is active on the latest week and was active in 1 of the last 12 weeks. Market Dynamics is -0.02 on the latest week. Next-week expectancy is positive at 62.50% based on similar historical setup states.

Next-week expectancy

Next-week expectancy is a short-term historical read. It compares the latest completed-week setup with broadly similar past setups and asks whether the following week tended to close higher or lower.

It is not a trend call, a price target, or a guarantee. A positive read can appear while price is below trend or activity pressure is weak, because it is measuring short-term follow-through odds for the current setup state.

Use it as one context layer beside Trend Line, Relative Strength, Market Dynamics, Fair Value, and the visible price structure.