Quantustik runs a quantum-mechanics-based forecast model on Veeva Systems Inc. (VEEV). Over the next 3 months the model's central path projects a +4.5% rise in price. The Feynman path-integral simulation puts the probability of an upward move over that window at 76%.
The 90% confidence band for the 3-month forecast spans 177.24–222.37, meaning the model expects the realized price to land in that range roughly 9 times out of 10 if its historical calibration holds. These are backtested coverage figures on the committed TOP-20 walk-forward window, not a promise about this specific forecast — see the calibration research page for the full per-ticker breakdown.
Verify the model's real-world performance on our public forecast track record and confidence-band calibration pages.
Looking further out, the same model projects a +6.5% move over 6 months for VEEV.
VEEV is classified in the Healthcare sector. Forecast last generated: 2026-07-20T19:59:02.731462+00:00.
Analysts see 21.5% upside from the current price, a strong bullish signal. No other signals meet the bar for strong conviction.
Want to check this verdict rather than take it on faith? Every VEEV indicator we compute, in plain English — what each one reads, and exactly how much it moved the score.
Sector: Healthcare sector overview.
Related Healthcare tickers: A, ABBV, ABT, ALGN, AMGN, BAX.
Key terms used on this page: What is a swing signal in stock trading?, What is a CI90 confidence interval in a stock forecast?, What is the chance of a gain in a stock forecast?, What is a Feynman path integral in stock forecasting?, What is a GICS sector?, What is expected growth / target price in a stock forecast?, What is a target price in a stock forecast?, What is the per-ticker price-range check (CI90 coverage)?, What is MAPE in a stock forecast accuracy check?, What is beta (β) in stock investing?, What is daily volatility (σ) in a stock forecast?, What is the ML Buy Probability?, What is model confidence in a stock signal?, What is backtest precision (BUY signals)?, What is backtest win rate?, What is backtest average return?, What is Kelly size / recommended position size?, What is risk per trade?, What are stop-loss and take-profit levels?, What is the risk/reward ratio on a stock trade?, What is the ML downside probability?, What is the risk floor in a stock forecast?, What are Q60 / Q75 / Q90 forecast percentiles in a stock forecast?, What is a trailing stop?, What is the invalidation level on a trade plan?, What is Google search interest for a stock?, What is the Social Hype Score for a stock?, What is StockTwits sentiment?, What is analyst rating consensus, and how reliable is it?, What is analyst target upside?, What does Upgrades (30d) mean for a stock?, What is analyst coverage?, What is the average analyst price target?, What is the analyst buy-ratings count?, What is the analyst hold-ratings count?, What is the analyst sell-ratings count?, What is the News Sentiment score for a stock?, What is the put/call ratio?, What is Smart Money Flow in a stock forecast?, What is unusual options activity?, What is short percent of float?, What is the P/E ratio (price-to-earnings)?, What are the Quality, Growth and Value scores?, What is EPS growth (year-over-year)?, What is the debt-to-equity ratio?, What is profit margin?, What is return on equity (ROE)?, What is dividend yield?, What is the dividend payout ratio?, What is the 5-year dividend CAGR?, What is dividend payout frequency?, What is CI90 coverage (band calibration)?, What is max drawdown?, What is the Sharpe ratio (90-day estimate)?, What is the 13F whale amount?, What is an activist investor (SC 13D/13G) alert?.
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Educational research; not investment advice.