Palantir shares closed at $136.88 on May 22 amid continued volatility following the May 4 Q1 2026 earnings release, which featured 85% year-over-year revenue growth to $1.28 billion in U.S. revenue and an upward revision to full-year guidance of 71% growth with U.S. commercial revenue now targeted above $3.22 billion. Trader-implied probabilities remain tightly clustered across the $132–$146 ranges, reflecting uncertainty over whether recent momentum from commercial contract acceleration and margin expansion can sustain a near-term rebound or if broader tech-sector rotation and valuation concerns will cap gains. Key near-term swing factors include trading volume trends, any follow-through analyst revisions, and macroeconomic signals affecting risk appetite ahead of the week’s close.
Polymarketデータを参照したAI生成の実験的な要約。これは取引アドバイスではなく、このマーケットの解決方法には一切関係ありません。 · 更新日$140-$142 49%
>$146 48%
$138-$140 47%
$134-$136 47%
<$128
45%
$128-$130
45%
$130-$132
45%
$132-$134
46%
$134-$136
47%
$136-$138
46%
$138-$140
47%
$140-$142
49%
$142-$144
45%
$144-$146
45%
>$146
48%
$140-$142 49%
>$146 48%
$138-$140 47%
$134-$136 47%
<$128
45%
$128-$130
45%
$130-$132
45%
$132-$134
46%
$134-$136
47%
$136-$138
46%
$138-$140
47%
$140-$142
49%
$142-$144
45%
$144-$146
45%
>$146
48%
If the reported value falls exactly between two brackets, then this market will resolve to the higher range bracket.
If the final session of the week is shortened (for example, due to a market-holiday schedule), the official closing price published for that shortened session will still be used for resolution.
If no official closing price is published for that session (for example, due to a trading halt into the close, system issue, delisting, or other disruption), the market will use the last valid on-exchange trade price of the regular session as the effective closing price.
In the event of a stock split, reverse stock split, or similar corporate action affecting the listed company during the listed time frame, this market will resolve based on split-adjusted prices as displayed on Yahoo Finance.
The target price will be adjusted proportionally to reflect any stock splits. Resolution will be based on the historical price data as shown on Yahoo Finance after any adjustments have been applied.
The resolution source for this market is Yahoo Finance, specifically the Palantir (PLTR) "Close" prices available at https://finance.yahoo.com/quote/PLTR/history, published under "Historical Prices."
マーケット開始日: May 22, 2026, 6:09 PM ET
If the reported value falls exactly between two brackets, then this market will resolve to the higher range bracket.
If the final session of the week is shortened (for example, due to a market-holiday schedule), the official closing price published for that shortened session will still be used for resolution.
If no official closing price is published for that session (for example, due to a trading halt into the close, system issue, delisting, or other disruption), the market will use the last valid on-exchange trade price of the regular session as the effective closing price.
In the event of a stock split, reverse stock split, or similar corporate action affecting the listed company during the listed time frame, this market will resolve based on split-adjusted prices as displayed on Yahoo Finance.
The target price will be adjusted proportionally to reflect any stock splits. Resolution will be based on the historical price data as shown on Yahoo Finance after any adjustments have been applied.
The resolution source for this market is Yahoo Finance, specifically the Palantir (PLTR) "Close" prices available at https://finance.yahoo.com/quote/PLTR/history, published under "Historical Prices."
Palantir shares closed at $136.88 on May 22 amid continued volatility following the May 4 Q1 2026 earnings release, which featured 85% year-over-year revenue growth to $1.28 billion in U.S. revenue and an upward revision to full-year guidance of 71% growth with U.S. commercial revenue now targeted above $3.22 billion. Trader-implied probabilities remain tightly clustered across the $132–$146 ranges, reflecting uncertainty over whether recent momentum from commercial contract acceleration and margin expansion can sustain a near-term rebound or if broader tech-sector rotation and valuation concerns will cap gains. Key near-term swing factors include trading volume trends, any follow-through analyst revisions, and macroeconomic signals affecting risk appetite ahead of the week’s close.
Polymarketデータを参照したAI生成の実験的な要約。これは取引アドバイスではなく、このマーケットの解決方法には一切関係ありません。 · 更新日
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