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EUR 187.49 pre-market 02 Feb 2026: 0P0000VG7C.F stock XETRA Celerius Fd short-term bounce

February 2, 2026
5 min read
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The fund is trading at €187.49 in XETRA pre-market on 02 Feb 2026, presenting an oversold bounce setup for 0P0000VG7C.F stock. Price sits below the recent close of €190.68, but above the 50-day and 200-day averages near €176.27 and €176.74, which supports a short-term mean-reversion trade. Liquidity data is limited; intraday volume is not reported. We examine valuation, technicals, sector context and a cautious trading plan for a bounce play in Germany’s Financial Services listings.

Short-term setup: 0P0000VG7C.F stock oversold bounce

The immediate setup on 0P0000VG7C.F stock is a classic oversold bounce in pre-market trading at €187.49. The fund fell €3.19 or -1.67% from the previous close of €190.68, but remains above the 50-day and 200-day averages, suggesting buyers could step in for a mean-reversion move. Traders should watch whether price reclaims the year high area at €190.68 as the first validation of a bounce.

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Price action and valuation metrics for Celerius Fd – VI Multi Asset Fd P

Key hard facts: current price €187.49, day high/low both €187.49, year high €190.68, year low €161.90, market cap €83,772,032.00, and shares outstanding 446,808. The fund’s 50-day average is €176.27 and 200-day average is €176.74, indicating the recent move sits above multi-month trend support. Reported EPS and P/E are not available, consistent with fund structures, so valuation comparisons should focus on NAV if available and peer fund returns rather than standard earnings multiples.

Technical indicators, liquidity and Meyka AI grade

Technical reads are limited for this fund: RSI is reported as 0.00 and several momentum values are not available, reflecting sparse intraday data. Keltner channel middle is €183.93, which places the current price modestly above the channel centre and inside short-term volatility bands. Volume data is not reported, creating liquidity risk and wider spreads for traders.

Meyka AI rates 0P0000VG7C.F with a score of 62.59 out of 100 — Grade B, HOLD. This grade factors S&P 500 and sector comparisons, financial growth, key metrics and analyst consensus. Grades are informational only and not investment advice.

Sector context and risks in Germany Financial Services

Celerius Fd – VI Multi Asset Fd P is listed on XETRA in Germany and sits in the Financial Services sector, where YTD sector performance is +1.82%. Asset management names have shown modest gains recently; that background supports selective fund inflows. Key risks: limited trading volume, fund-specific NAV moves, wider spreads and the absence of standard earnings data. These increase execution risk for short-term bounce trades.

Trading plan and price targets for an oversold bounce strategy

For a disciplined oversold bounce trade, consider a scaled entry near €186.00–€188.50 with an initial target at €195.00 and a secondary target at €205.00 if momentum confirms. Use a protective stop below the recent swing area near €180.00 or a more conservative stop below the year low €161.90 to limit downside. Position sizes should reflect liquidity limits given missing volume data.

Where to find official data and monitoring tools

Confirm NAV and fund documents on the fund manager site before trading: Axxion. For market quotes and trading on XETRA use the exchange pages and our monitoring tools on Meyka: Meyka stock page. Always cross-check live XETRA quotes before execution because reported intraday stats may lag for funds.

Final Thoughts

Key takeaways: 0P0000VG7C.F stock trades at €187.49 pre-market on 02 Feb 2026 and shows a short-term oversold bounce setup after a -1.67% intraday move from €190.68. Limited liquidity and missing earnings metrics raise execution risk, but the price sits above the 50-day and 200-day averages near €176.27 and €176.74, supporting a measured mean-reversion approach. Meyka AI’s forecast model projects a near-term target of €195.00 (implied upside 4.01%) and a medium-term target of €205.00 (implied upside 9.35%) versus the current price of €187.49. Forecasts are model-based projections and not guarantees. Traders should confirm NAV data on the manager site, use tight risk controls, and scale positions to account for thin trading on XETRA and fund structure constraints.

FAQs

Is 0P0000VG7C.F stock a buy for an oversold bounce?

0P0000VG7C.F stock shows a short-term bounce setup at €187.49, but limited liquidity and missing earnings data increase execution risk. Use a scaled entry and tight stops. This is not investment advice; confirm NAV data first and size positions to liquidity.

What price targets does Meyka give for 0P0000VG7C.F stock?

Meyka AI’s forecast model projects a near-term target of €195.00 (up 4.01%) and a medium-term target of €205.00 (up 9.35%) from the current €187.49. Forecasts are model-based projections and not guarantees.

How liquid is 0P0000VG7C.F stock on XETRA?

Volume for 0P0000VG7C.F stock is not reported, indicating potential low liquidity and wider spreads. Traders should expect execution risk and confirm real-time quotes on XETRA before entering positions.

What does Meyka AI rate 0P0000VG7C.F with respect to peers?

Meyka AI rates 0P0000VG7C.F 62.59/100, Grade B, HOLD, based on benchmark, sector, growth and analyst factors. This grade is informational and not financial advice.

Disclaimer:

Stock markets involve risks. This content is for informational purposes only. Past performance does not guarantee future results. Meyka AI PTY LTD provides market analysis and data insights, not financial advice. Always conduct your own research and consider consulting a licensed financial advisor.
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