TOTAL VOLUME:
$134.1b
24H VOL:
$113,466,932
24H TRANSACTIONS:
2,388,728,490
OPEN INTEREST:
$1,423,222,590
402,751
Markets across
30,217
events
MATCHED EVENTS:
2,632
PLATFORM COVERAGE:
5
Polymarket:
39%
VS.
Kalshi:
61%
Closed: May 29, 4:00 PM EST
Limitless
This market will resolve to "Up" if the Close price for General Electric (Pyth GE/USD) on May 29, 2026, is strictly higher than the Close price for General Electric (Pyth GE/USD) on the most recent prior trading day. Otherwise, this market will resolve to "Down". The Close price for General Electric (Pyth GE/USD) captured on May 22, 2026, was $302.59. Resolution source: Pyth GE/USD price feed. Other exchanges, spot markets, and oracles will not be used. For example, a Monday market would ordinarily compare Monday's Close price with the previous Friday's Close price, unless that Friday was a market holiday. In that case, it would compare against Thursday's Close price, or the next most recent trading day. If General Electric (GE) does not trade at all during the regular session on May 29, 2026, this market will resolve to "Down". For a standard full trading session, the Close price refers to the "Close" value of the 1-minute Pyth candle corresponding to the final minute of regular trading hours on the primary exchange. If either relevant trading day has no valid Pyth Close value for the 1-minute candle corresponding to the end of regular trading hours on the primary exchange, the last valid Pyth price during that day's regular trading hours will be used as the effective Close price. If no valid Pyth price exists for that trading day due to a system outage, data failure, or other technical disruption, the official closing price published by the primary exchange on which GE is listed will be used to determine the Close price for that day. In the event of a stock split, reverse stock split, or similar corporate action affecting GE during the relevant time frame, this market will resolve based on split-adjusted prices as displayed on Pyth.
GE's weekly direction can be influenced by quarterly earnings announcements, changes in industrial production data, shifts in energy sector sentiment, or major corporate news such as leadership changes or strategic partnerships. Macroeconomic indicators like interest rates and inflation expectations also affect conglomerate valuations. Short-term technical levels, options expiry activity, and sector rotation flows can create volatility within the week. Geopolitical developments affecting supply chains or energy markets may trigger rapid repricing. Traders on Limitless monitor these catalysts closely; significant news often causes sharp probability swings as the market reprices its directional outlook before May 29, 2026.