-
NYSE
Range Global Coal Index ETF (COAL)
week endingFriday Mar 13, 2026 Trading Stats for the Week$US
Close
26.74
Range
25.18 - 27.48
1 week %change
+4.5%
13 week %change
+17.3%
13 week MA
25.21
40 week MA
22.30
52-week range
13.85 - 27.57
Share Volume
585,000
Relative Volume
42.0%
Total traded value
$15,642,900
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- Subscribers - Please login with your email address and password:
Stock Trends Weekly Reporter, ST Data History, ST Portfolio, premium ST Report content and premium editorial are exclusive content available only to subscribers.
- Subscribers - Please login with your email address and password:
Stock Trends Weekly Reporter, ST Data History, ST Portfolio, premium ST Report content and premium editorial are exclusive content available only to subscribers.
- Subscribers - Please login with your email address and password:
Stock Trends Weekly Reporter, ST Data History, ST Portfolio, premium ST Report content and premium editorial are exclusive content available only to subscribers.
Stock Trends Editorial
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When Headlines Darken but the Probability Structure Holds
14 March 2026 Read more...
The recent Stock Trends editorials argued that hard assets had become structural leaders and that capital was rotating across themes rather than collapsing into a simple risk-on or risk-off binary. This week’s data adds a new layer. The market’s probability structure has improved even as the macro headlines have become more hostile. That is a distinct signal, and it is coming directly from the Stock Trends Inference Model. -
War, Inflation, and Rotation: What Stock Trends Reveals After the Middle East Shock
07 March 2026 Read more...
This week's market headlines have been dominated by war, oil, and inflation fears. However, the Stock Trends context indicates that this is not a broad liquidation. It is a disciplined rotation into sectors tied to scarcity, resilience, and security. Markets do not move from a blank slate. They rotate, they re-price, and they reveal where capital was already preparing to move before the headlines become obvious. This past week’s escalation in the Middle East has undeniably shaken investor confidence, but the latest Stock Trends dataset suggests that the deeper message is not indiscriminate panic. It is a reordering of leadership. -
Not Risk-On. Not Risk-Off. Rotation.
02 March 2026 Read more...
Not Risk-On. Not Risk-Off. Rotation. In our recent editorial, The Hard Asset Regime Is Not a Trade — It’s a Structure, we examined the persistent leadership emerging in gold and materials and argued that real assets were no longer functioning as short-term hedges, but as structural participants in the market. The current Stock Trends dataset extends that thesis — but in a different direction. The 13-week ST-IM probability model is no longer pointing to a narrow leadership cluster. It is identifying a market redistributing capital across multiple durable themes simultaneously. This is not a simple “risk-on” environment. It is not a defensive “risk-off” retreat. It is rotation. -
The Hard-Asset Regime Is Not a Trade — It’s a Structure
21 February 2026 Read more...
Markets rarely move randomly. They rotate. They reallocate. They transition from one leadership regime to another. And when that transition is real, it shows up not in headlines — but in breadth. This week’s Stock Trends universe reveals something decisive. When we measure common stocks only (removing ETFs that duplicate underlying holdings), two sectors stand apart: Materials and Energy.
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