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Entity & Brand

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CompanyKebNi AB (publ)
TickerKEBNI-B
ExchangeSTO
Weeks Used8

Signals Snapshot

8-week window ?
Threshold Breach (Sell) Mon, 25 Aug 2025
Source: market_cycle
Signal close ?:
2.525
At the signal (week of Mon, 25 Aug 2025)
  • Week change: -2.88%
  • Close sits at/above the short-term trend.
  • Above the intermediate trend backdrop.
  • Participation improving (volume trend rising).
  • Since signal (perf): +9.90% over 4w; MFE +9.90% (0w), MAE -0.00% (4w).
Since the signal (to present)
MFE ? MAE ?
Elapsed
4w
Current return
-9.90%
MFE
0.00% (0w)
MAE
-9.90% (4w)
ST: Below MT: Below
Summary
At the threshold breach (sell) week (Mon, 25 Aug 2025) you saw the bullet points above. Since then, price is -9.90% over 4 weeks. Peak move [MFE]: 0.00% (0w); worst dip [MAE]: -9.90% (4w).
Current situation since SELL
Elapsed: 4w
Close then → now: 2.5252.275
Δ: -0.25 (-9.90%)
Now vs trend: ST Below, MT Below
Weekly snapshots
Date Close % from Signal ST MT Wk %
Mon, 25 Aug 2025 2.525 0.00% Above Above -2.88%
Mon, 1 Sep 2025 2.515 -0.40% Above Above -0.40%
Mon, 8 Sep 2025 2.355 -6.73% Below Above -1.46%
Mon, 15 Sep 2025 2.38 -5.74% Below Above -0.21%
Mon, 22 Sep 2025 2.275 -9.90% Below Below -1.94%
How to read this section
Left column describes the week the signal was generated (historical context). Right column shows performance and posture since that signal to the present. MFE ? and MAE ? quantify upside capture vs downside risk after the signal.

Price Overview

Tiles ?
Metric Signal Value Notes
Price Window Positive 4.36% over 8w Endpoint return across the selected window.
Return Volatility Positive 1.57% Std dev of weekly returns — low is steadier, high is whipsaw-prone.
Volume Trend Negative Falling Slope of weekly volume across the window.
Vs 8w High Negative -9.90% Distance to the prior-window high (latest week excluded).

Trend Overview

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Metric Signal Value Notes
Gauge Reading Neutral 78.4/100
Direction Negative Falling
Acceleration Negative decelerating
Trend State Neutral Uptrend at Risk
Trend State: Uptrend at Risk — gauge 78.4/100 — 8w slope -0.14; ST slope -1.24 pts/wk ?
Distribution at highs 2/3 (66.7%) High-regime breakdown (from ≥0.80)

Weekly Price Action

8 weeks ?
Week ending Open High Low Close Change % Volume (MA) Trend
Mon, 22 Sep 2025 2.32 2.33 2.25 2.28 -1.94%
Mon, 15 Sep 2025 2.39 2.43 2.35 2.38 -0.21%
Mon, 8 Sep 2025 2.39 2.39 2.32 2.36 -1.46%
Mon, 1 Sep 2025 2.53 2.60 2.49 2.52 -0.40%
Mon, 25 Aug 2025 2.60 2.68 2.34 2.53 -2.88%
Mon, 18 Aug 2025 2.23 2.26 2.18 2.21 -0.90%
Mon, 11 Aug 2025 2.22 2.24 2.12 2.18 -1.81%
Mon, 4 Aug 2025 2.31 2.44 2.10 2.18 -5.42%

Price Narrative

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Stands OutNo highlights available.
What to WatchNo watch items available.

Trend Narrative

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Stands Out Trend focus for week ending Mon, 22 Sep 2025. Gauge: 78.4/100; slope -0.14 pts/wk; short-term -1.24 pts/wk; decelerating. Gauge volatility: normal. Momentum drawdown from 8w peak: 7.7 pts. Recent breakdown from ≥80. High-regime (0.80–1.00) downticks 2/3 (66.7%), bias: Distributing.
What to Watch How to read this — Gauge is elevated but momentum is rolling over; topping risk is rising. Notable breakdown from ≥0.80 weakens trend quality.

All Price Analysis

Complete dump of monthly_analysis.series & monthly_analysis.diagnostics
Series
Close Price Change Pct: 4.357798165137603, Slope: 0.02535714285714284
Change Percent Vol: 1.5674880382318712, Slope: 0.3947619047619047
Volume Slope: -1086728.0357142857, Z Last: -0.660841334439236
Deviation From Baseline Last: 0.63921, Z Last: -1.6514205562838895, Slope: -0.04814261904761906
Diagnostics
Volume Trend falling
Close Vs Recent High Pct -9.900990099009901
Conv Div divergence
Momentum Trend weakening
Last Trend Label Bullish
Close Vs Recent Low Pct 4.597701149425292
Ma Stack mixed
Cross 4 8 none
Price Vs Ma mixed
Baseline Deviation 0.63921
Baseline Dir narrowing
What does it mean?
  1. 8-week price move: 4.36%. Weekly return volatility: 1.57%. Close is 9.90% below the prior-window 8-week high. and 4.60% above the prior-window 8-week low. Volume trend: falling. Latest week’s volume is -0.66σ from its 8-week average. Price/volume correlation (returns vs volume): -0.74. Price/volume correlation (returns vs volume change): -0.68. 26-week move: 71.05%. 52-week move: 103.49%. Price sits 0.64% above its medium-term baseline, and the distance is narrowing.
  2. 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. Distance to baseline is narrowing — reverting closer to its fair-value track.
  3. 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.

All Trend Analysis

Complete dump of trend_analysis.series & trend_analysis.diagnostics
Series
Trend Pos Avg: 80.78325, Med: 79.4135, Rng: (78.335, 86.129), Vol: 2.680537387819841, Slope: -0.13797619047619, Last: 78.414
Diagnostics
Last Pos 78.414
Vol Band normal
Acceleration Label Decelerating
Last Label Neutral
State Label Uptrend at Risk
Slope 8W -0.13797619047619
Slope Short -1.2418000000000007
Accel Value -0.6882142857142856
Drawdown From Peak Pts 7.715000000000003
Time In Bull 8
Time In Bear 0
Time In Mid 0
High Breakdown Recent True
Midline Failure Recent False
Bear Control Recent False
Recovery Mid Recent False
Recovery Bull Recent False
Acc Upticks 0
Acc Opportunities 0
Acc Rate None
Acc Longest Streak 0
Dist Downticks 2
Dist Opportunities 3
Dist Rate 0.6666666666666666
Dist Longest Streak 1
Low Regime Bias Mixed/None
High Regime Bias Distributing
What does it mean?
  1. Trend focus for week ending Mon, 22 Sep 2025. Gauge: 78.4/100; slope -0.14 pts/wk; short-term -1.24 pts/wk; decelerating. Gauge volatility: normal. Momentum drawdown from 8w peak: 7.7 pts. Recent breakdown from ≥80. High-regime (0.80–1.00) downticks 2/3 (66.7%), bias: Distributing.
  2. How to read this — Gauge is elevated but momentum is rolling over; topping risk is rising. Notable breakdown from ≥0.80 weakens trend quality.
  3. Stay alert: protect gains or seek confirmation before adding risk.

Final Conclusion

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VerdictNegative
Stars ★★☆☆☆
SummaryPrice window: 4. Trend: Uptrend at Risk; gauge 78. In combination, liquidity diverges from price.
Strengths
  • Low return volatility supports durability
Watch-outs
  • High-level but rolling over (topping risk)
  • Momentum is weak/falling
  • Price is not above key averages
  • Liquidity diverges from price
Disclaimer. This report is provided for educational and informational purposes only and does not constitute investment advice, an offer, or a solicitation to buy or sell any security. Past performance is not indicative of future results. Markets involve risk, including possible loss of principal. Always perform your own research and consider consulting a qualified financial professional before making investment decisions.
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