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27.04.26 - 08:03
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Starkes IPO und starke Entwicklung: Wie geht ... (Ariva)
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Dies ist ein automatisiert generierter Hinweis auf die neueste News zu "GE Vernova Inc" aus der ARIVA.DE Redaktion.ASTA Energy Solutions hat ein bemerkenswertes Börsendebüt hingelegt und kurz darauf starke Zahlen für 2025 präsentiert. Der Kupferspezialist wächst, verdient deutlich mehr und baut seine Kapazitäten aus. Doch nach dem gelungenen IPO beginnt die eigentliche Bewährungsprobe: Kann ASTA ... -ARIVA.DE
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21.04.26 - 19:03
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Q1 (Ariva)
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https://de.marketscreener.com/boerse-nachrichten/general-electric-company-veroeffentlicht-ergebniszahlen-fuer-das-erste-quartal-zum-31-maerz-2026-ce7f59dbd88ff42c -Tamakoschy
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20.04.26 - 18:18
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Siemens-Energy-Aktie: Das sieht jetzt ganz ... (Ariva)
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Dies ist ein automatisiert generierter Hinweis auf die neueste News zu "GE Vernova Inc" aus der ARIVA.DE Redaktion.Bei der Aktie von Siemens Energy zeichnet sich nach den jüngsten Verlusten ein Doppel-Top ab. Das könnte der Auftakt zu einer nachhaltigen Trendwende sein.Lesen Sie den ganzen Artikel: -ARIVA.DE
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01.04.26 - 18:18
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Nordex-Aktie: Darum stehen die Zeichen jetzt ... (Ariva)
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Dies ist ein automatisiert generierter Hinweis auf die neueste News zu "GE Vernova Inc" aus der ARIVA.DE Redaktion.Bei der Aktie des Herstellers von Windkraftanlagen Nordex ist eine Top-Bildung in Gange. Die könnte jetzt in erhebliche Kursverluste für Anleger münden.Lesen Sie den ganzen Artikel: -ARIVA.DE
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23.03.26 - 18:03
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Siemens Energy: Aktie mit brachialem ... (Ariva)
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Dies ist ein automatisiert generierter Hinweis auf die neueste News zu "GE Vernova Inc" aus der ARIVA.DE Redaktion.Am Montagmorgen gehörte Siemens Energy noch zu den größten Verlierern im Leitindex DAX, nach einem spektakulären Comeback sah das am Abend völlig anders aus.Lesen Sie den ganzen Artikel: -ARIVA.DE
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16.11.25 - 06:15
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GEV Projection (TradingView)
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Multiple confluences signaling towards an expanding diagonal correction for GEV to complete Wave 4 and then up to Wave 5.
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03.11.25 - 18:51
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$GEV Technical and Position Update (TradingView)
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NYSE:GEV Support and Trading Strategy Overview
Earnings and Revenue Performance
On October 22nd, NYSE:GEV missed earnings expectations. However, despite the miss, the company's earnings still grew by 368%. Additionally, revenue rose by 11.8% during the same period.
Support Area and Technical Indicators
An important area of support has been identified in the current price action for $GEV. The stock has remained above this support level for the past two trading days. Technically, NYSE:GEV has also regained its 5-day and 10-day moving averages (DMA) and is presently trading just below the 20-day exponential moving average (EMA).
Position Initiation and Risk Management
A half-size position was initiated at $587. A price alert is set on the horizontal support area, which is being monitored as a potential point to close the position if necessary. The actual stop is placed below the most recent low recorded on October 28th, at $565.00. Both the horizontal support area and the recent low represent attract
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20.10.25 - 14:42
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GEV | Long Earning Setup + DZ Rejection +TL Breackout (TradingView)
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GEV has been chopping sideways in a high-volatility consolidation after a major uptrend. The current drop into a clear Demand Zone around $584–$570 was met with an immediate reaction, suggesting institutional absorption and a potential base forming.
Price has wicked into this Demand Zone, The reaction looks impulsive and we may be setting up for a leg higher targeting the previous Supply Zone.
? Earnings
Last Earnings (Jul 23): EPS $1.862 (beat by 16.48%), Revenue $9.11B (beat by 3.44%)
Next Earnings (Oct 22): EPS Est. $1.715, Revenue Est. $9.15B
Watch for pre-earnings run-up or volatility spike around Oct 22.
Supply Zone: $652–$665 (key resistance for sellers)
Demand Zone: $570–$584 (institutional bid zone)
RSI: Bullish divergence forming – lower lows on price, higher lows on RSI
? Trade Idea: Long Setup
Entry: $607.00 (confirmation bounce off Demand)
Stop Loss: $584.45(below Demand zone)
Take Profit: $658.53 (prior Supply)
Risk/Reward: 1:2.3
? Risk Management
Max Risk: 1–3% of capital per posi
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29.07.25 - 19:42
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GEV High Risk $380 (TradingView)
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GEV has a high risk of $380 at the moment. Obviously don't bet against the trend, especially while the S&P still has a lot of room to run, but it's an easy area to open some insurance for a potential fall to $380.
Good luck!
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22.07.25 - 18:00
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7/22/25 - $gev - Great backlog... valuation not 4 me (TradingView)
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7/22/25 :: VROCKSTAR :: NYSE:GEV
Great backlog... valuation not 4 me
- literally demand for as long as the eye can see
- is that worth 2% fcf yield? probably
- 50x next year PE? probably
- i'd dip buy this. but honestly i think results/ comms are +ve and stock all else equal goes higher. i just don't care b/c that valuation in this toppy (ST) tape is just too much. if there's anything -ve you'd see this down 10-20%, up maybe is 5-10% max... so that's not good r/r
- i'd also point out here you can dip buy this w conviction, so i'd rather sideline and if/does dip, it will get bid and so that's a risk free look
- gl to the longs. amazing story/ spin
V
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