← Trading Activity

GATXStock

Peer group: Stock · mcap decile 8

Algorithmic Intensity

Very High

86 / 100

How algorithmically quoted this security is (cancel-to-trade + order-to-trade), ranked against peers of similar size. Higher = more automated market-making/HFT churn.

Institutional Footprint

Elevated

79 / 100

How much of this security's activity happens via hidden (non-displayed) orders, ranked against similar-size peers. Higher = more orders worked quietly.

Retail Fragmentation

Very High

100 / 100

How odd-lot-heavy this security's trading is, ranked against similar-size peers. Often reflects high share price and retail participation.

Order-Flow Metrics · 2026 Q2 · 62 trading days

Cancel-to-Trade Ratio

11.1

49.3% since start

How many orders are cancelled for each executed trade. Higher values indicate heavier algorithmic quoting activity.

Hidden-Order Rate

44.6%

84.7% since start

Share of trades executed against hidden (non-displayed) orders. Higher values suggest more institutional or dark-pool-style activity.

Odd-Lot Rate

93.2%

13.7% since start

Share of trades in odd lots (fewer than 100 shares). Often elevated for high-priced or heavily retail-fragmented names.

Order-to-Trade Volume

32.6

47.1% since start

Ratio of submitted order volume to executed trade volume — a measure of quoting intensity.

Hidden Volume Share

44.3%

50.1% since start

Share of trade volume executed against hidden orders.

History · 22 quarters

QuarterCancel/TradeHidden RateOdd-Lot RateOrder/Trade Vol
2021 Q121.924.2%82.0%61.5
2021 Q220.423.0%84.5%65.4
2021 Q322.823.0%85.8%77.9
2021 Q422.125.3%87.7%82.6
2022 Q117.826.9%90.1%69.1
2022 Q217.525.6%91.2%71.1
2022 Q317.339.5%92.1%75.6
2022 Q412.140.0%94.3%61.8
2023 Q113.733.6%92.2%63.0
2023 Q212.432.8%92.7%59.7
2023 Q312.732.8%94.1%67.7
2023 Q418.030.4%93.9%100.1
2024 Q116.530.3%93.6%84.5
2024 Q216.333.7%93.4%76.9
2024 Q316.737.3%92.8%72.5
2024 Q412.939.7%93.5%58.3
2025 Q113.943.0%95.2%66.6
2025 Q29.447.1%93.9%37.2
2025 Q38.042.9%94.9%28.3
2025 Q49.449.9%94.5%27.0
2026 Q18.948.5%94.6%27.3
2026 Q211.144.6%93.2%32.6

Forecast & Accuracy

Next-quarter estimate for each behavior metric, chosen by whichever simple model has been most accurate for this security in a walk-forward backtest. We show the historical error (MAPE) and how often the trend direction was right, so you can judge how much to trust each number. These forecast trading behavior, not price.

Cancel-to-Trade Ratio

11.1

next quarter · from 11.1

Trend: falling

Backtest accuracy: ±14.8% avg error · direction right 58% of quarters

model: naive · 19 test quarters

Hidden-Order Rate

44.6%

next quarter · from 44.6%

Trend: rising

Backtest accuracy: ±8.6% avg error · direction right 58% of quarters

model: naive · 19 test quarters

Odd-Lot Rate

93.2%

next quarter · from 93.2%

Trend: rising

Backtest accuracy: ±1.2% avg error · direction right 58% of quarters

model: naive · 19 test quarters

Unusual Activity Days

Days when GATX's order-cancellation activity spiked well above its typical range for that quarter (more than two standard deviations). These often line up with earnings, news, or market-wide events.

2026-06-12cancel/trade 18.47 vs avg 11.15+2.45σ
2026-04-17cancel/trade 18.58 vs avg 11.15+2.49σ
2026-04-09cancel/trade 18.8 vs avg 11.15+2.56σ
2026-03-30cancel/trade 16.1 vs avg 9+2.41σ
2026-03-20cancel/trade 16.28 vs avg 9+2.47σ
2026-03-19cancel/trade 15.32 vs avg 9+2.15σ
2026-03-12cancel/trade 14.95 vs avg 9+2.02σ
2026-01-14cancel/trade 17.87 vs avg 9+3.01σ
2025-12-24cancel/trade 58.77 vs avg 9.86+7.1σ
2025-12-23cancel/trade 25.64 vs avg 9.86+2.29σ
2025-08-04cancel/trade 12.38 vs avg 8.17+2.49σ
2025-07-18cancel/trade 12.1 vs avg 8.17+2.33σ

Derived from the SEC's public MIDAS market-structure data. Describes historical order-flow behavior for informational and educational purposes only. Not investment advice and not a forecast of price or return.