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ID25.SW iShares iBonds Dec25 (SIX) pre-market Feb 26 2026: volume spike signal

CH Stocks
5 mins read

A sharp pre-market volume spike has pushed the ID25.SW stock into focus at CHF111.78 on the SIX exchange. Traders recorded 4,500 shares traded versus an average daily volume of 39.00, giving a relative volume of 115.38. That surge is the key driver of the move and signals increased liquidity ahead of the fund’s December 2025 maturity. We examine price context, technical cues and what the spike means for short-term trading and portfolio use of the iShares iBonds Dec 2025 Term $ Corp UCITS ETF USD Acc.

Pre-market volume snapshot for ID25.SW stock

The immediate fact is a large volume pick-up: Volume 4,500.00 versus Avg Volume 39.00. Price remained at CHF111.78 during the spike, matching the previous close. The day’s high and low were both CHF111.78, highlighting that the spike occurred pre-open and concentrated in a single trade window.

This high relative volume suggests short-term liquidity improvement for traders seeking entry or exit ahead of the fund’s December 2025 maturity. Watch bid-ask spreads on the SIX listing before executing large orders.

Price context and moving averages: ID25.SW stock technicals

ID25.SW sits at CHF111.78, near its 50-day average CHF111.44 and above the 200-day average CHF110.01. The one-year range is CHF107.09 low to CHF111.84 high, showing limited volatility around the current level.

Momentum indicators show an RSI 62.30 and ADX 30.41, indicating a firm short-term trend. ATR is CHF0.25, so price moves remain narrow. These reads support the view that the volume spike is more about liquidity than a sudden re-rating.

Meyka AI grade and technical analysis for ID25.SW stock

Meyka AI rates ID25.SW with a score out of 100: 66.66 — Grade B, Suggestion: HOLD. This grade factors in S&P 500 benchmark comparison, sector and industry performance, financial growth, key metrics, forecasts and analyst consensus.

Technically, the fund shows modest upside potential given proximity to short- and long-term averages. MACD histogram is 0.03, signaling mild bullish momentum. Traders should combine the grade with liquidity data when sizing positions. These grades are informational and not financial advice.

Fund profile and sector context for ID25.SW stock

The iShares iBonds Dec 2025 Term $ Corp UCITS ETF USD Acc targets the Bloomberg MSCI December 2025 Maturity USD Corporate ESG Screened Index. It is listed on the SIX exchange in Switzerland and reported a market cap of CHF198,465,614.00 with 2,276,399 shares outstanding.

Within the Financial Services sector, fixed-income ETF flows can shift quickly when corporate spreads move. Sector performance recently shows cautious flows, so the volume spike on ID25.SW likely reflects tactical rebalancing rather than a structural change in credit outlook.

Trading liquidity, risks and strategy for ID25.SW stock

The standout risk is concentration: price is stable but liquidity typically low (Avg Volume 39.00). The pre-market 4,500.00 volume spike temporarily improves execution, but spreads may widen again on lower-volume sessions. Use limit orders and stagger execution for orders above CHF50,000.00 notional.

For short-term traders, a volume-driven entry works if confirmed by continued volume and tighter spreads during regular hours. For long-term ETF users, the fund’s maturity profile and credit exposure matter more than intraday spikes.

Price forecast and short-term outlook for ID25.SW stock

Meyka AI’s forecast model projects a quarterly level of CHF113.39 and a one-year target of CHF117.43. That implies a short-term upside of 1.44% to the quarterly model and 5.06% to the one-year model from the current CHF111.78.

Forecasts are model-based projections and not guarantees. Traders should weigh predicted price moves against credit spread changes and the ETF’s maturity-driven yield profile.

Final Thoughts

The pre-market volume spike on ID25.SW stock at CHF111.78 with 4,500.00 shares traded is a clear liquidity event on the SIX exchange on Feb 26 2026. Technicals point to mild bullish momentum with RSI 62.30 and proximity to the 50- and 200-day averages. Meyka AI rates the ETF 66.66 out of 100 (Grade B, HOLD) and flags that the move likely reflects short-term rebalancing rather than a structural credit shift. Meyka AI’s forecast model projects CHF117.43 in one year, an implied upside of 5.06% versus the current price. Forecasts are model-based and not guarantees. For traders, treat the spike as a temporary improvement in execution conditions and manage order size; for investors, prioritise maturity and credit exposure over intraday volume signals. For more details see the fund page on iShares and SIX, and view our live feed on the Meyka AI platform for real-time signals and order-book depth.

FAQs

What caused the pre-market volume spike in ID25.SW stock?

The spike was a concentrated pre-market trade of 4,500.00 shares versus an average of 39.00. That raised relative volume to 115.38, indicating temporary liquidity rather than a price re-rating. Market makers and rebalancing flows likely drove the trade.

How does Meyka AI evaluate ID25.SW stock?

Meyka AI rates ID25.SW with a score out of 100: 66.66 (Grade B, HOLD). The grade uses sector and benchmark comparisons, forecasts, and technicals. It is informational and not a recommendation.

What is the short-term price outlook for ID25.SW stock?

Meyka AI’s forecast model projects CHF113.39 over a quarter and CHF117.43 in one year. From CHF111.78, that implies about 1.44% near-term upside and 5.06% one-year upside. Projections are not guarantees.

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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