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Gevo

Gevo

2,44USD
−6,51% (−0,17)
Päätöskurssi
0,00% (0,00)
2,44Pre-market
2,44
0,00% (0,00)
Pre-market
2,44USD
−6,51% (−0,17)
Päätöskurssi
0,00% (0,00)
2,44Pre-market
2,44USD
0,00% (0,00)
Pre-market
Ylin-
Alin-
Vaihto-

Gevo

Gevo

2,44USD
−6,51% (−0,17)
Päätöskurssi
0,00% (0,00)
2,44Pre-market
2,44
0,00% (0,00)
Pre-market
2,44USD
−6,51% (−0,17)
Päätöskurssi
0,00% (0,00)
2,44Pre-market
2,44USD
0,00% (0,00)
Pre-market
Ylin-
Alin-
Vaihto-

Gevo

Gevo

2,44USD
−6,51% (−0,17)
Päätöskurssi
0,00% (0,00)
2,44Pre-market
2,44
0,00% (0,00)
Pre-market
2,44USD
−6,51% (−0,17)
Päätöskurssi
0,00% (0,00)
2,44Pre-market
2,44USD
0,00% (0,00)
Pre-market
Ylin-
Alin-
Vaihto-
Q2-osavuosiraportti
72 päivää sitten49 min

Tarjoustasot

Määrä
Osto
100
Myynti
Määrä
220

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----
Ylin
-
VWAP
-
Alin
-
Vaihto ()
-
VWAP
-
Ylin
-
Alin
-
Vaihto ()
-

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt

Yhtiötapahtumat

Seuraava tapahtuma
Sijoittajakalenteri ei ole saatavilla
Menneet tapahtumat
2025 Q2-osavuosiraportti11.8.
2025 Yhtiökokous21.5.
2025 Q1-osavuosiraportti13.5.
2024 Q4-osavuosiraportti27.3.
2024 Vuosiraportti27.3.
Datan lähde: Morningstar, Quartr

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 2 päivää sitten · Muokattu
    ·
    2 päivää sitten · Muokattu
    ·
    I expect Gevo to enter this week with stabilization and renewed buying interest after last week's correction. The technical structure remains intact, and the price is still comfortably above both the MA50 ($2.44) and MA200 ($2.10), confirming that the long-term uptrend is still valid. My focus this week is on the support area of $2.46–$2.52, where clear accumulation from major players was observed on Friday. I expect this zone to act as a starting point for a possible new impulse move upwards. A confirmed break above $2.78 with volume over 8 million shares will trigger a new short-term buy signal, and in that case I assess the potential at $2.90–$3.00 within a few trading days. Should the market open weakly and test 2.40–2.45, I will wait for an intraday stabilization before considering new purchases. The RSI is in the neutral zone, allowing room for new strength, and the MACD is still positive. I therefore keep my position long at $2.06 with the stop loss unchanged at $2.33, and only plan to add a smaller tranche upon a confirmed rebound above $2.53 or a break above $2.78 later in the week. I expect the week to see gradual upside and the beginning of momentum building towards the end of the week, driven by technical resumption of the trend and continued institutional interest. In short: I see week 43 as a turning point where the correction is over and the next rise can begin. But it will be exciting.
  • 16.10.
    ·
    16.10.
    ·
    I see Gevo continuing its strong uptrend again with a healthy technical structure. After a brief consolidation around 2.50, the stock is now trading around 2.73, supported by increasing volume and continued positive momentum. The RSI is around 66, which shows that the stock is approaching overbought levels, but with no signs of weakening. Today's trading is characterized by natural profit taking, where I assess that institutional investors continue to accumulate actively in the support zone 2.65–2.70. The volume profile clearly shows increased activity on green candles, which confirms confidence in the underlying trend. I did not buy yesterday, as I did not have time to trade before the price ran away from me. My holding is therefore still only the original position bought at 2.06, and my stop-loss is unchanged at 2.33. Based on both volume and trend strength, I assess that the market supports new buying on a break above 2.78 later in the session, which would confirm continued strength and open up for a test of the 2.90 level in the coming days.
  • 15.10.
    ·
    15.10.
    ·
    Can anyone tell me how it can suddenly dive so much? It doesn't make sense unless they have announced something?
    15.10.
    ·
    15.10.
    ·
    I believe that Gevo stock entered a natural profit-taking phase after several days of strong gains. The price fell from the peak around 2.95 USD to the support zone at 2.45 USD. Although the move could be interpreted as weakness at first glance, the volume pattern clearly shows that institutional players added positions during the decline. Therefore, I assess that today's development represents a healthy technical correction within a continued uptrend, rather than the beginning of a new downturn. Considering buying 15% more shares before closing at 2.48–2.52. My SL is raised to 2.33.
    15.10.
    ·
    15.10.
    ·
    Yes, interesting observation. I'm crossing my fingers that you're right. And as Razztorback writes, it will be interesting with their upcoming financial statements :-)
  • 15.10.
    15.10.
    GEVO Short Shares 1 hour ago 2025-10-15 11:57:48.83 350,000 4 hours ago 2025-10-15 09:22:34.336 1,600,000 7 hours ago 2025-10-15 06:47:42.705 1,700,000 8 hours ago 2025-10-15 05:45:37.481 1,400,000 21 hours ago 2025-10-14 16:41:35.982 1,600,000 1 day ago 2025-10-14 13:35:08.942 1,700,000 1 day ago 2025-10-14 12:32:55.13 1,300,000 1 day ago 2025-10-14 12:01:40.034 1,200,000 1 day ago 2025-10-14 11:42:22.112 1,300,000 1 day ago 2025-10-14 10:40:02.933 350,000
    15.10.
    ·
    15.10.
    ·
    So I promise for anyone who wants to make money short, loose hands are the most expensive (stop loss)
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Uutiset ja analyysit

Ei uutisia tällä hetkellä
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Tuotteita joiden kohde-etuutena tämä arvopaperi

Q2-osavuosiraportti
72 päivää sitten49 min

Uutiset ja analyysit

Ei uutisia tällä hetkellä
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 2 päivää sitten · Muokattu
    ·
    2 päivää sitten · Muokattu
    ·
    I expect Gevo to enter this week with stabilization and renewed buying interest after last week's correction. The technical structure remains intact, and the price is still comfortably above both the MA50 ($2.44) and MA200 ($2.10), confirming that the long-term uptrend is still valid. My focus this week is on the support area of $2.46–$2.52, where clear accumulation from major players was observed on Friday. I expect this zone to act as a starting point for a possible new impulse move upwards. A confirmed break above $2.78 with volume over 8 million shares will trigger a new short-term buy signal, and in that case I assess the potential at $2.90–$3.00 within a few trading days. Should the market open weakly and test 2.40–2.45, I will wait for an intraday stabilization before considering new purchases. The RSI is in the neutral zone, allowing room for new strength, and the MACD is still positive. I therefore keep my position long at $2.06 with the stop loss unchanged at $2.33, and only plan to add a smaller tranche upon a confirmed rebound above $2.53 or a break above $2.78 later in the week. I expect the week to see gradual upside and the beginning of momentum building towards the end of the week, driven by technical resumption of the trend and continued institutional interest. In short: I see week 43 as a turning point where the correction is over and the next rise can begin. But it will be exciting.
  • 16.10.
    ·
    16.10.
    ·
    I see Gevo continuing its strong uptrend again with a healthy technical structure. After a brief consolidation around 2.50, the stock is now trading around 2.73, supported by increasing volume and continued positive momentum. The RSI is around 66, which shows that the stock is approaching overbought levels, but with no signs of weakening. Today's trading is characterized by natural profit taking, where I assess that institutional investors continue to accumulate actively in the support zone 2.65–2.70. The volume profile clearly shows increased activity on green candles, which confirms confidence in the underlying trend. I did not buy yesterday, as I did not have time to trade before the price ran away from me. My holding is therefore still only the original position bought at 2.06, and my stop-loss is unchanged at 2.33. Based on both volume and trend strength, I assess that the market supports new buying on a break above 2.78 later in the session, which would confirm continued strength and open up for a test of the 2.90 level in the coming days.
  • 15.10.
    ·
    15.10.
    ·
    Can anyone tell me how it can suddenly dive so much? It doesn't make sense unless they have announced something?
    15.10.
    ·
    15.10.
    ·
    I believe that Gevo stock entered a natural profit-taking phase after several days of strong gains. The price fell from the peak around 2.95 USD to the support zone at 2.45 USD. Although the move could be interpreted as weakness at first glance, the volume pattern clearly shows that institutional players added positions during the decline. Therefore, I assess that today's development represents a healthy technical correction within a continued uptrend, rather than the beginning of a new downturn. Considering buying 15% more shares before closing at 2.48–2.52. My SL is raised to 2.33.
    15.10.
    ·
    15.10.
    ·
    Yes, interesting observation. I'm crossing my fingers that you're right. And as Razztorback writes, it will be interesting with their upcoming financial statements :-)
  • 15.10.
    15.10.
    GEVO Short Shares 1 hour ago 2025-10-15 11:57:48.83 350,000 4 hours ago 2025-10-15 09:22:34.336 1,600,000 7 hours ago 2025-10-15 06:47:42.705 1,700,000 8 hours ago 2025-10-15 05:45:37.481 1,400,000 21 hours ago 2025-10-14 16:41:35.982 1,600,000 1 day ago 2025-10-14 13:35:08.942 1,700,000 1 day ago 2025-10-14 12:32:55.13 1,300,000 1 day ago 2025-10-14 12:01:40.034 1,200,000 1 day ago 2025-10-14 11:42:22.112 1,300,000 1 day ago 2025-10-14 10:40:02.933 350,000
    15.10.
    ·
    15.10.
    ·
    So I promise for anyone who wants to make money short, loose hands are the most expensive (stop loss)
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Tarjoustasot

Määrä
Osto
100
Myynti
Määrä
220

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----
Ylin
-
VWAP
-
Alin
-
Vaihto ()
-
VWAP
-
Ylin
-
Alin
-
Vaihto ()
-

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt

Yhtiötapahtumat

Seuraava tapahtuma
Sijoittajakalenteri ei ole saatavilla
Menneet tapahtumat
2025 Q2-osavuosiraportti11.8.
2025 Yhtiökokous21.5.
2025 Q1-osavuosiraportti13.5.
2024 Q4-osavuosiraportti27.3.
2024 Vuosiraportti27.3.
Datan lähde: Morningstar, Quartr

Tuotteita joiden kohde-etuutena tämä arvopaperi

Q2-osavuosiraportti
72 päivää sitten49 min

Uutiset ja analyysit

Ei uutisia tällä hetkellä
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Yhtiötapahtumat

Seuraava tapahtuma
Sijoittajakalenteri ei ole saatavilla
Menneet tapahtumat
2025 Q2-osavuosiraportti11.8.
2025 Yhtiökokous21.5.
2025 Q1-osavuosiraportti13.5.
2024 Q4-osavuosiraportti27.3.
2024 Vuosiraportti27.3.
Datan lähde: Morningstar, Quartr

Tuotteita joiden kohde-etuutena tämä arvopaperi

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 2 päivää sitten · Muokattu
    ·
    2 päivää sitten · Muokattu
    ·
    I expect Gevo to enter this week with stabilization and renewed buying interest after last week's correction. The technical structure remains intact, and the price is still comfortably above both the MA50 ($2.44) and MA200 ($2.10), confirming that the long-term uptrend is still valid. My focus this week is on the support area of $2.46–$2.52, where clear accumulation from major players was observed on Friday. I expect this zone to act as a starting point for a possible new impulse move upwards. A confirmed break above $2.78 with volume over 8 million shares will trigger a new short-term buy signal, and in that case I assess the potential at $2.90–$3.00 within a few trading days. Should the market open weakly and test 2.40–2.45, I will wait for an intraday stabilization before considering new purchases. The RSI is in the neutral zone, allowing room for new strength, and the MACD is still positive. I therefore keep my position long at $2.06 with the stop loss unchanged at $2.33, and only plan to add a smaller tranche upon a confirmed rebound above $2.53 or a break above $2.78 later in the week. I expect the week to see gradual upside and the beginning of momentum building towards the end of the week, driven by technical resumption of the trend and continued institutional interest. In short: I see week 43 as a turning point where the correction is over and the next rise can begin. But it will be exciting.
  • 16.10.
    ·
    16.10.
    ·
    I see Gevo continuing its strong uptrend again with a healthy technical structure. After a brief consolidation around 2.50, the stock is now trading around 2.73, supported by increasing volume and continued positive momentum. The RSI is around 66, which shows that the stock is approaching overbought levels, but with no signs of weakening. Today's trading is characterized by natural profit taking, where I assess that institutional investors continue to accumulate actively in the support zone 2.65–2.70. The volume profile clearly shows increased activity on green candles, which confirms confidence in the underlying trend. I did not buy yesterday, as I did not have time to trade before the price ran away from me. My holding is therefore still only the original position bought at 2.06, and my stop-loss is unchanged at 2.33. Based on both volume and trend strength, I assess that the market supports new buying on a break above 2.78 later in the session, which would confirm continued strength and open up for a test of the 2.90 level in the coming days.
  • 15.10.
    ·
    15.10.
    ·
    Can anyone tell me how it can suddenly dive so much? It doesn't make sense unless they have announced something?
    15.10.
    ·
    15.10.
    ·
    I believe that Gevo stock entered a natural profit-taking phase after several days of strong gains. The price fell from the peak around 2.95 USD to the support zone at 2.45 USD. Although the move could be interpreted as weakness at first glance, the volume pattern clearly shows that institutional players added positions during the decline. Therefore, I assess that today's development represents a healthy technical correction within a continued uptrend, rather than the beginning of a new downturn. Considering buying 15% more shares before closing at 2.48–2.52. My SL is raised to 2.33.
    15.10.
    ·
    15.10.
    ·
    Yes, interesting observation. I'm crossing my fingers that you're right. And as Razztorback writes, it will be interesting with their upcoming financial statements :-)
  • 15.10.
    15.10.
    GEVO Short Shares 1 hour ago 2025-10-15 11:57:48.83 350,000 4 hours ago 2025-10-15 09:22:34.336 1,600,000 7 hours ago 2025-10-15 06:47:42.705 1,700,000 8 hours ago 2025-10-15 05:45:37.481 1,400,000 21 hours ago 2025-10-14 16:41:35.982 1,600,000 1 day ago 2025-10-14 13:35:08.942 1,700,000 1 day ago 2025-10-14 12:32:55.13 1,300,000 1 day ago 2025-10-14 12:01:40.034 1,200,000 1 day ago 2025-10-14 11:42:22.112 1,300,000 1 day ago 2025-10-14 10:40:02.933 350,000
    15.10.
    ·
    15.10.
    ·
    So I promise for anyone who wants to make money short, loose hands are the most expensive (stop loss)
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Tarjoustasot

Määrä
Osto
100
Myynti
Määrä
220

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----
Ylin
-
VWAP
-
Alin
-
Vaihto ()
-
VWAP
-
Ylin
-
Alin
-
Vaihto ()
-

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt