Entry Rationale
In conclusion, based on the extreme oversold condition of 7.9 and the trading volume that has surged by over 200%, I will consider entering with the potential for a rebound around the support level of approximately 190.
Earnings call transcript: Generac tops profit forecasts in Q2 2026 on data center surge
Generac Holdings Inc. (GNRC) reported results that exceeded profit expectations for the second quarter of 2026, driven by a surge in data center demand.
In conclusion, based on the extreme oversold condition of 7.9 and the trading volume that has surged by over 200%, I will consider entering with the potential for a rebound around the support level of approximately 190.
In conclusion, after entering a buy position at the support level of 190, the profit-taking target will be set at $210.0 when it rebounds to the resistance level of 210. If the 190 level or the stop-loss at $185.0 is breached, I will cut losses for risk management.
The RSI(14) is at 7.9, indicating an extreme oversold condition, with the moving averages in a non-aligned state. The trading volume is 2.02 times the 20-day average, and the recent 7-day volatility is -9.0%.
Notable past similar cases include CLSK (2026-07-22, return 24.4%), CRWV (2026-08-12, return 19.3%), and SPXC (2026-07-31, return 15.1%) with overlapping data center keywords.
In conclusion, the actual return exceeded the predicted return of 3.5%, recording a return of 13.0%, resulting in an OVERHIT designation. The strong performance was supported by a surge in data center demand, an extreme oversold condition with an RSI of 7.9, and a trading volume increase of 2.02 times compared to the 20-day average, which justified the expectation of a rebound near the support level. However, the judgment was overly cautious due to the awareness of limiting factors such as the MA misalignment and a -9.0% decline trend over the past seven days, leading to a much stronger rebound than the conservatively set target price.
In conclusion, in the next trading session, if extreme overselling and a surge in trading volume occur, I will adjust my response strategy flexibly to allow for additional upside potential driven by strong momentum, rather than being confined to a simple rebound target.