Stock Analysis

GE Vernova (GEV)

$1,004.53 -6.9% today · NYQ

62/ 100
KC Score B
Firm trend — momentum and price structure are constructive.

The snapshot

Price
$1,004.53
3-month return
-0.7%
6-month return
+22.9%
From 52w high
-16.0%
50-day avg
$1,031.27
Volatility (ann.)
52%

52-week range

$530.16$1,195.94

The four factors

Momentum61
3-month -0.7%, 6-month +22.9%.
Trend64
Price is below its 50-day and above its 200-day average; 50DMA above 200DMA.
Range strength71
Trading 16% below its 52-week high — 71% of the way up its yearly range.
Stability48
Annualised volatility ~52% — highly volatile.

The KC Score is a transparent, rules-based read of price behaviour — momentum, trend, range position and volatility. It describes what the price has done; it says nothing about whether a company is a good business or a good buy. Not financial advice. Capital at risk.

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