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TeamViewer

TeamViewer

TeamViewer

2026 Q1 -tulosraportti
43 päivää sitten

Tarjoustasot

Määrä
Osto
-
Myynti
Määrä
-

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----

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

Datan lähde: FactSet, Quartr
Seuraava tapahtuma
2026 Q2 -tulosraportti
28.7.
Menneet tapahtumat
2026 Q1 -tulosraportti
6.5.
2025 Q4 -tulosraportti
10.2.
2025 Q3 -tulosraportti
22.10.2025
2025 Q2 -tulosraportti
29.7.2025
2025 Q1 -tulosraportti
6.5.2025

Asiakkaat katsoivat myös

Foorumi

Liity keskusteluun Nordnet Socialissa
  • 4.6.
    ·
    4.6.
    ·
    Why these huge fluctuations.? Surely it's not the iran war that determines here.
  • 3.6.
    ·
    3.6.
    ·
    Also out again at 6.05
  • 3.6.
    ·
    3.6.
    ·
    and then we go down again
  • 1.6. · Muokattu
    ·
    1.6. · Muokattu
    ·
    TeamViewer (TMV) – Week 23 Evaluation of June 1st June 1st was the day TeamViewer went from a potential reversal to a technical breakout. The stock had already shown signs of strength at the end of May, but it was only on Monday that the market truly began to accept higher prices. I bought the first tranche at 6.14 EUR today after a reclaim signal with strong volume and a technical structure that gradually strengthened throughout the day. Since the purchase, the market has provided exactly the information one would like to see: • Reclaim of VWAP. • Break above the falling resistance line around 6.18. • Acceptance above the breakout level. • Continued high volume. • New intraday highs. This means that the case has become stronger after the purchase – not weaker. The technical picture now RSI is in the strong end without being extremely overbought. ADX is above 30, which indicates that the trend has gained real strength. Volume has been significantly above normal and confirms that the movement is not merely driven by short-term speculators. The structure now looks like this: • Bottom formation around 5.0–5.2. • Stabilization above MA20. • Reclaim of previous resistance area. • Breakout above 6.18. • Acceptance above the breakout level. • Continued trend extension towards 6.30+. Key areas in week 23 Support • 6.18–6.22 (previous resistance, now potential support). • 6.10–6.15 (VWAP area). • 6.00–6.05 (first stronger technical support). Resistance • 6.35–6.40. • 6.50. • 6.80–7.00. As long as the stock stays above 6.18 on a closing basis, the breakout scenario remains intact. Risk / Reward Entry: 6.14 EUR Stop Loss: 6.05 EUR Target: 9.11 EUR Risk per share: 6.14 − 6.05 = 0.09 EUR Potential return: 9.11 − 6.14 = 2.97 EUR R/R ratio: 33:1 This is unusually attractive asymmetry, but also requires the case to develop from a technical breakout into a longer-term trend over the coming months. At the purchase at 6.14, the asymmetry was attractive because the risk was limited, while the potential was significantly higher. Now the question is no longer whether the first tranche was correct. The question is whether the market has provided enough evidence to justify a second tranche. On the other hand, the stock has already moved quickly in a short time, which speaks for patience. My approach in week 23 I now own the first tranche bought at 6.14 EUR. Stop Loss is placed at 6.05 EUR. This is the level where the original reclaim thesis is no longer intact. The position is established, and the risk is accepted. I am now closely following the development to determine whether a second tranche should be bought, or if the market first needs to provide further information. The most likely course of events, in my assessment, is: • Consolidation above 6.18. • Possible test of 6.35–6.40. • Then an assessment of whether a new base can be established. If 6.18 is broken down again with volume, the breakout case is significantly weakened. Conclusion TeamViewer has taken an important step from potential reversal to confirmed breakout. The first tranche is in place at 6.14 EUR. Stop Loss is at 6.05 EUR. The long-term target is 9.11 EUR. Now it's not about chasing the price, but about letting the market prove whether 6.18 becomes a new foundation or merely a temporary breakout. The trend has started to live. 😎 And remember I am a happy amateur with too much time.
  • 1.6.
    ·
    1.6.
    ·
    what is the reason for the large increase today
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Nordnet Socialin 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

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

2026 Q1 -tulosraportti
43 päivää sitten

Uutiset

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.

Foorumi

Liity keskusteluun Nordnet Socialissa
  • 4.6.
    ·
    4.6.
    ·
    Why these huge fluctuations.? Surely it's not the iran war that determines here.
  • 3.6.
    ·
    3.6.
    ·
    Also out again at 6.05
  • 3.6.
    ·
    3.6.
    ·
    and then we go down again
  • 1.6. · Muokattu
    ·
    1.6. · Muokattu
    ·
    TeamViewer (TMV) – Week 23 Evaluation of June 1st June 1st was the day TeamViewer went from a potential reversal to a technical breakout. The stock had already shown signs of strength at the end of May, but it was only on Monday that the market truly began to accept higher prices. I bought the first tranche at 6.14 EUR today after a reclaim signal with strong volume and a technical structure that gradually strengthened throughout the day. Since the purchase, the market has provided exactly the information one would like to see: • Reclaim of VWAP. • Break above the falling resistance line around 6.18. • Acceptance above the breakout level. • Continued high volume. • New intraday highs. This means that the case has become stronger after the purchase – not weaker. The technical picture now RSI is in the strong end without being extremely overbought. ADX is above 30, which indicates that the trend has gained real strength. Volume has been significantly above normal and confirms that the movement is not merely driven by short-term speculators. The structure now looks like this: • Bottom formation around 5.0–5.2. • Stabilization above MA20. • Reclaim of previous resistance area. • Breakout above 6.18. • Acceptance above the breakout level. • Continued trend extension towards 6.30+. Key areas in week 23 Support • 6.18–6.22 (previous resistance, now potential support). • 6.10–6.15 (VWAP area). • 6.00–6.05 (first stronger technical support). Resistance • 6.35–6.40. • 6.50. • 6.80–7.00. As long as the stock stays above 6.18 on a closing basis, the breakout scenario remains intact. Risk / Reward Entry: 6.14 EUR Stop Loss: 6.05 EUR Target: 9.11 EUR Risk per share: 6.14 − 6.05 = 0.09 EUR Potential return: 9.11 − 6.14 = 2.97 EUR R/R ratio: 33:1 This is unusually attractive asymmetry, but also requires the case to develop from a technical breakout into a longer-term trend over the coming months. At the purchase at 6.14, the asymmetry was attractive because the risk was limited, while the potential was significantly higher. Now the question is no longer whether the first tranche was correct. The question is whether the market has provided enough evidence to justify a second tranche. On the other hand, the stock has already moved quickly in a short time, which speaks for patience. My approach in week 23 I now own the first tranche bought at 6.14 EUR. Stop Loss is placed at 6.05 EUR. This is the level where the original reclaim thesis is no longer intact. The position is established, and the risk is accepted. I am now closely following the development to determine whether a second tranche should be bought, or if the market first needs to provide further information. The most likely course of events, in my assessment, is: • Consolidation above 6.18. • Possible test of 6.35–6.40. • Then an assessment of whether a new base can be established. If 6.18 is broken down again with volume, the breakout case is significantly weakened. Conclusion TeamViewer has taken an important step from potential reversal to confirmed breakout. The first tranche is in place at 6.14 EUR. Stop Loss is at 6.05 EUR. The long-term target is 9.11 EUR. Now it's not about chasing the price, but about letting the market prove whether 6.18 becomes a new foundation or merely a temporary breakout. The trend has started to live. 😎 And remember I am a happy amateur with too much time.
  • 1.6.
    ·
    1.6.
    ·
    what is the reason for the large increase today
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Nordnet Socialin 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
-
Myynti
Määrä
-

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----

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

Asiakkaat katsoivat myös

Yhtiötapahtumat

Datan lähde: FactSet, Quartr
Seuraava tapahtuma
2026 Q2 -tulosraportti
28.7.
Menneet tapahtumat
2026 Q1 -tulosraportti
6.5.
2025 Q4 -tulosraportti
10.2.
2025 Q3 -tulosraportti
22.10.2025
2025 Q2 -tulosraportti
29.7.2025
2025 Q1 -tulosraportti
6.5.2025

Tuotteita joiden kohde-etuutena tämä arvopaperi

2026 Q1 -tulosraportti
43 päivää sitten

Uutiset

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

Datan lähde: FactSet, Quartr
Seuraava tapahtuma
2026 Q2 -tulosraportti
28.7.
Menneet tapahtumat
2026 Q1 -tulosraportti
6.5.
2025 Q4 -tulosraportti
10.2.
2025 Q3 -tulosraportti
22.10.2025
2025 Q2 -tulosraportti
29.7.2025
2025 Q1 -tulosraportti
6.5.2025

Tuotteita joiden kohde-etuutena tämä arvopaperi

Foorumi

Liity keskusteluun Nordnet Socialissa
  • 4.6.
    ·
    4.6.
    ·
    Why these huge fluctuations.? Surely it's not the iran war that determines here.
  • 3.6.
    ·
    3.6.
    ·
    Also out again at 6.05
  • 3.6.
    ·
    3.6.
    ·
    and then we go down again
  • 1.6. · Muokattu
    ·
    1.6. · Muokattu
    ·
    TeamViewer (TMV) – Week 23 Evaluation of June 1st June 1st was the day TeamViewer went from a potential reversal to a technical breakout. The stock had already shown signs of strength at the end of May, but it was only on Monday that the market truly began to accept higher prices. I bought the first tranche at 6.14 EUR today after a reclaim signal with strong volume and a technical structure that gradually strengthened throughout the day. Since the purchase, the market has provided exactly the information one would like to see: • Reclaim of VWAP. • Break above the falling resistance line around 6.18. • Acceptance above the breakout level. • Continued high volume. • New intraday highs. This means that the case has become stronger after the purchase – not weaker. The technical picture now RSI is in the strong end without being extremely overbought. ADX is above 30, which indicates that the trend has gained real strength. Volume has been significantly above normal and confirms that the movement is not merely driven by short-term speculators. The structure now looks like this: • Bottom formation around 5.0–5.2. • Stabilization above MA20. • Reclaim of previous resistance area. • Breakout above 6.18. • Acceptance above the breakout level. • Continued trend extension towards 6.30+. Key areas in week 23 Support • 6.18–6.22 (previous resistance, now potential support). • 6.10–6.15 (VWAP area). • 6.00–6.05 (first stronger technical support). Resistance • 6.35–6.40. • 6.50. • 6.80–7.00. As long as the stock stays above 6.18 on a closing basis, the breakout scenario remains intact. Risk / Reward Entry: 6.14 EUR Stop Loss: 6.05 EUR Target: 9.11 EUR Risk per share: 6.14 − 6.05 = 0.09 EUR Potential return: 9.11 − 6.14 = 2.97 EUR R/R ratio: 33:1 This is unusually attractive asymmetry, but also requires the case to develop from a technical breakout into a longer-term trend over the coming months. At the purchase at 6.14, the asymmetry was attractive because the risk was limited, while the potential was significantly higher. Now the question is no longer whether the first tranche was correct. The question is whether the market has provided enough evidence to justify a second tranche. On the other hand, the stock has already moved quickly in a short time, which speaks for patience. My approach in week 23 I now own the first tranche bought at 6.14 EUR. Stop Loss is placed at 6.05 EUR. This is the level where the original reclaim thesis is no longer intact. The position is established, and the risk is accepted. I am now closely following the development to determine whether a second tranche should be bought, or if the market first needs to provide further information. The most likely course of events, in my assessment, is: • Consolidation above 6.18. • Possible test of 6.35–6.40. • Then an assessment of whether a new base can be established. If 6.18 is broken down again with volume, the breakout case is significantly weakened. Conclusion TeamViewer has taken an important step from potential reversal to confirmed breakout. The first tranche is in place at 6.14 EUR. Stop Loss is at 6.05 EUR. The long-term target is 9.11 EUR. Now it's not about chasing the price, but about letting the market prove whether 6.18 becomes a new foundation or merely a temporary breakout. The trend has started to live. 😎 And remember I am a happy amateur with too much time.
  • 1.6.
    ·
    1.6.
    ·
    what is the reason for the large increase today
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Nordnet Socialin 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
-
Myynti
Määrä
-

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----

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

Asiakkaat katsoivat myös