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Week Ending
Mon, 22 Sep 2025
Open
35.8500
Close
35.2200
High
35.8900
Low
35.2200
Trend
0.67416
Rating
★★⯪☆☆
Sharemaestro [Charts]
TELIA weekly Smart Money chart, closing 2025-09-22.
TELIA weekly Market Snapshot chart, closing 2025-09-22.
TELIA weekly Market Cycle chart, closing 2025-09-22.
TELIA weekly Market Demand chart, closing 2025-09-22.
TELIA weekly Market Strength chart, closing 2025-09-22.
TELIA weekly Activity chart, closing 2025-09-22.
TELIA weekly Market Dynamics chart, closing 2025-09-22.
TELIA weekly Market Threshold chart, closing 2025-09-22.

Weekly Summary

Telia Company AB (publ) (TELIA) Week Ending: Mon, 22 Sep 2025 ★★⯪☆☆
Weekly Report
Price
Weekly Close

Telia Company AB (publ) closed at 35.2200 (-1.76% WoW) . Data window ends Mon, 22 Sep 2025.

Return Volatility0.73%
Volume TrendFalling
Vs w High-1.84%
What stands out

How to read this — Price slope is upward, indicating persistent buying over the window. Low weekly volatility favours steadier follow-through. Volume trend diverges from price — watch for fatigue or rotation. Returns are negatively correlated with volume — strength may come on lighter activity.

What to watch

Up-slope supports buying interest; pullbacks may be contained if activity stays firm. Because liquidity isn’t confirming, prefer evidence of fresh demand before chasing moves.

Trend
Sharemaestro Trend Line

Gauge maps the trend signal to a 0–100 scale.

Gauge Reading67.4/100
DirectionFalling
Accelerationaccelerating
Trend StateRange / Neutral
What stands out

How to read this — Range-bound conditions; conviction is limited until a break or acceleration emerges.

What to watch

Wait for a directional break or improving acceleration.

Valuation Model Snapshot Wed, 24 Sep 2025
Target Positive
Current35.06
RatingExtremely Undervalued
Interpretation

The flag is positive: favourable upside skew with supportive conditions.

Conclusion

Negative ★★⯪☆☆

Negative setup. ★★⯪☆☆ confidence. Trend: Range / Neutral · 1.97% over window · vol 0.73% · liquidity divergence · posture mixed · leaning negative

Strengths
  • Low return volatility supports durability
Watch-outs
  • Momentum is weak/falling
  • Price is not above key averages
  • Liquidity diverges from price

Why: Price window 1.97% over w. Close is -1.84% below the prior-window high. Return volatility 0.73%. Volume trend falling. Liquidity divergence with price. Trend state range / neutral. Momentum bullish and falling. Valuation stance positive.

Price Window Endpoint return over the last N weeks using weekly closes: (Closelast − Closefirst)/Closefirst × 100.
Return Volatility Std-dev of weekly returns (%). Higher = choppier.
Volume Trend Slope of weekly volume across the window (rising / falling / flat).
Vs N-week High % distance of latest close from the highest close in the window.
Accumulation Weeks Weeks price rose on higher volume than the prior week.
Distribution Weeks Weeks price fell on higher volume than the prior week.
MA Stack Relative order of short/intermediate/long MAs. Short > long is constructive.
4–8 Crossover Latest cross of 4-week vs 8-week MA (bullish / bearish / none).
Price vs MAs Whether the close is above/below key averages (8w & 26w).
Baseline Deviation % distance from the market-cycle baseline (fair-value track).
Gauge Reading Smoothed trend signal mapped to 0–100.
Direction Slope sign of the gauge across the window (rising / falling).
Acceleration Change in the slope of the gauge (accelerating / decelerating).
Gauge Volatility Variability of the gauge (low / normal / high).
Zone Label Classification by level (Bullish / Neutral / Bearish).
Target Price (Flag) If flagged: Positive/Negative stance. Otherwise: numeric fair value.
Rating Model’s verdict for the snapshot.
Weekly Close Sparkline of the last 52 weekly closing prices.
Trend Line Sparkline of the smoothed trend signal over the last 52 weeks.

Tip: Most metrics include a hover tooltip where they appear in the report.

Week Ending: September 22, 2025
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