• TSX

    Evolve Ether ETF   (ETHR)

    week ending
    Friday Oct 24, 2025
       
    Trend
    Indicator
     
    Weak Bullish Trend. The closing price is below the lower limit of the 13-week MA envelope. This indicates that the short-term bullish trend is weakening, and will ultimately result in a Bearish Crossover unless the stock's price can recover above the 13-week MA envelope. Trading implication: generally still considered positive in terms of holding, although it can be a strong exit signal. At the minimum, this alert calls for a review of the holding. 
     
    Trend/Category
    3/ 12
    weeks in
    13-wk Current Wk
    99           +
    vs. S&P/TSX Composite
     

    n/a
     
    Trading Stats for the Week

    $CDN

    Close

    18.33

    Range

    17.62 - 19.18

    1 week %change

    +2.6%

    13 week %change

    +9.8%

    13 week MA

    19.53

    40 week MA

    14.10

    52-week range

    6.94 - 22.43

    Share Volume

    357,500

    Relative Volume

    6.6%

    Total traded value

    $6,552,975

  • 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.
  • 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

  • Positioning for Opportunity: Trade Detente and Stock Trends Momentum
    Positioning for Opportunity: Trade Detente and Stock Trends Momentum The easing of tensions between the world’s two largest economies has given markets a fresh narrative. By stepping back from new export restrictions and cutting key tariffs, the United States and China have removed some of the most disruptive threats hanging over global supply chains. For investors, this détente creates a backdrop of relative stability in which powerful price trends can resume and new trend…
    Read more...
  • From Flash Crash to Rotation: The Probability–Payoff Map of a Rebuilding Market
    From Flash Crash to Rotation: The Probability–Payoff Map of a Rebuilding Market The market’s October tremor—an abrupt but short-lived flash crash—has given way to a familiar pattern in the Stock Trends framework: the rapid repair of breadth and the birth of new trends. Where panic once pressed prices indiscriminately, order is returning through a disciplined sequence of new bullish signals, rebuilding sectors, and the subtle reorganization of leadership beneath the surface.
    Read more...
  • Random Portfolios as a Benchmark: A Smarter Yardstick for Performance
    Random Portfolios as a Benchmark: A Smarter Yardstick for Performance Investors often compare performance to market indexes like the S&P 500, but traditional benchmarks have built-in biases. The S&P 500, for example, is heavily skewed toward large-cap stocks and “is not a good benchmark for measuring alpha” – it reflects a size-factor bias rather than pure manager skill. All major indexes systematically tilt toward certain factors (size, sector, value/growth, etc.), meaning they’re not truly passive…
    Read more...
  • Using the Stock Trends Reports in Market Corrections
    Using the Stock Trends Reports in Market Corrections Sharp market selloffs are stressful… and useful. They create a live-fire laboratory where leadership quality is revealed in real time. In the Stock Trends framework, the most informative sequence is a stock that registers a New Weak Bullish () during the shock — a pullback statement in a bullish primary trend — and then, within a week, flips back to a Return to Strong Bullish (). That…
    Read more...
View all Stock Trends Editorials
 
 

Subscription Plans

STWR - Monthly

$19.95/Month

Monthly subscription plan to Stock Trends Weekly Reporter - pay your monthly subscription fees by having them automatically charged (PayPal only). Free 7-day trial period. Subscribers may cancel before the end of any subscription month.

STWR - 1 Year Prepaid Subscription

$199/Year

1 Year Prepaid subscription to Stock Trends Weekly Reporter. Save 16% off monthly rate!

STWR - 2 Year Prepaid Subscription

$299/2 Years

2 Year Prepaid subscription to Stock Trends Weekly Reporter. Save 37% off monthly rate!

STWR - 3 Year Prepaid Subscription

$399/3 Years

3 Year Prepaid subscription to Stock Trends Weekly Reporter. Save 44% off monthly rate!