-
NYSE
Constellium SE (France) (CSTM)
week endingFriday Feb 27, 2026 Trading Stats for the Week$US
Close
24.89
Range
24.59 - 26.06
1 week %change
-2.2%
13 week %change
+48.1%
13 week MA
21.57
40 week MA
16.83
52-week range
7.33 - 27.25
Share Volume
15,167,100
Relative Volume
11.2%
Total traded value
$377,509,119
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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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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. -
Stock Trends Mid-Quarter Review: How the Year-End 2025 Themes Are Performing in Q1 2026
14 February 2026 Read more...
Halfway through Q1 2026, the question is no longer theoretical: Did the year-end institutional momentum and ST-IM Alpha themes actually guide investors effectively? With the updated February 13, 2026 Stock Trends dataset now in hand, we can measure the outcome directly — not against headlines, but against trend structure, relative strength, and momentum persistence. The short answer: the framework largely held — but leadership rotated exactly where the model suggested it might. -
Stock Trends Year-End Analysis: Institutional Momentum, ST-IM Alpha, and the Road Into Q1 2026
29 December 2025 Read more...
As 2025 comes to a close, investors naturally ask whether the strongest trends visible at year-end represent durable opportunity—or merely seasonal noise. The Stock Trends framework addresses this question not by forecasting headlines, but by examining how trend structure, momentum and participation, and ST-IM forward opportunity align across different classes of capital. This year-end outlook integrates three complementary lenses that Stock Trends users can carry directly into Q1 2026: Large-cap institutional momentum — where capital can deploy at scale Top Trending momentum leadership — where price discovery is happening fastest Stock Trends Inference Model (ST-IM) — where forward return expectations and risk dispersion suggest true alpha opportunity
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