WEEK — Roundhill Weekly T-Bill ETF
Is WEEK overbought or oversold? Here is the current MarketMoodz read.
Roundhill Weekly T-Bill ETF (WEEK) currently reads Neutral on the MarketMoodz overbought/oversold meter, as of October 3, 2026. The stock last closed at $100.04. The rating moved from Overbought to Neutral on September 30, 2026.
- Public ratingNeutral (as of October 3, 2026)
- Last close$100.04
- Last changeMoved from Overbought to Neutral on September 30, 2026
AI analysis
Roundhill Weekly T-Bill ETF (WEEK) provides a cash-like, liquid vehicle for short-term Treasury exposure with very low credit and duration risk. Given recent defensive flows and safe-haven demand amid geopolitical uncertainty, the ETF should maintain NAV stability and modest positive total return driven by weekly bill yields.
Key factors
- Exposure to U.S. Treasury bills with weekly maturities provides very low duration and credit risk
- Typical NAV stability around par reduces principal volatility relative to longer-duration instruments
- Attractive relative safety amid recent risk-off flows and geopolitical safe-haven rotations
- High liquidity profile for cash-management use and short-term parking of assets
- Low structural complexity and predictable roll mechanics reduce operational uncertainty
- Rate environment: short-term yields reflect Fed policy expectations, offering yield pickup vs zero-interest cash accounts
Risks
- Limited upside: capital appreciation potential is minimal; total return driven primarily by the short-term yield
- Interest-rate moves can cause small mark-to-market price changes despite very short duration
- In periods of extreme market stress, bid-ask spreads and temporary discounts/premiums to NAV may widen
- Inflation risk erodes real return if short-term yields do not keep pace with rising consumer prices
- Sponsor/ETF operational risk (liquidity management, tracking error) though typically low for T-bill ETFs
- Regulatory or tax changes affecting treatment of Treasury income could alter attractiveness
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