BK - The Bank of New York Mellon Corporation

Stock Analysis

Data: 2026-06-19
Last updated: Jun 21, 2026 at 1:05 PMFresh

show_chart Price & Trend 135.98 • 52W 87.41 - 139.15

Volume
Close
EMA9
MA50
MA150
MA200
Breakout
MA50 Touch
Pocket Pivot
PB Bounce
EMA9 Cross

auto_graph Pattern Recognition

info
info

Moderate pattern consistency: 57% win rate.

Signal Success Rate
57%
152 total signals
Avg Gain on Winners
+4.8%
86 wins
Avg Loss on Losers
-2.5%
66 losses
Recurring Behaviors
trending_up Tendency to go on win streaks (longest: 18 signals in a row)
trending_down Warning: Can experience losing streaks (longest: 14 signals)
rocket_launch Pullbacks outperform breakouts (66% vs 35% win rate)
Best Signal Type
MA50Touch
13 signals • 77% win rate
Avg gain: +2.1%
Worst Signal Type
Breakout
26 signals • 35% win rate
Avg loss: -0.1%
All Signal Types (Best ? Worst)
MA50Touch 77%
13 signals +2.1%
MA200Reclaim 67%
3 signals +3.0%
PocketPivot 59%
91 signals +2.0%
PullbackBounce 58%
19 signals +1.6%
Breakout 35%
26 signals -0.1%
Trading Insights
lightbulb Favorable risk/reward - winners (4.8%) outpace losers (-2.5%).
lightbulb Focus on MA50Touch signals - 77% win rate.
lightbulb Avoid Breakout signals - only 35% successful.

Swing Cycle Analysis

Dominant pattern: ±5% every ~2.0 days (strength 0.54)

This stock shows a moderate ±5% swing pattern approximately every 2.0 days, though timing variability reduces reliability.

This stock exhibits a moderate ±5% swing about every ~2.0 days, suggesting downward / accumulation bias with more troughs than peaks and some repeatability but still variable timing.

Swing Avg Days Strength Pattern?
5% 2.0 0.54 Moderate ?
3% 2.0 0.48 Moderate ?
???????????????????????????????????????????????????????????????????137.919998168945373.3099975585937510-0912-1903-0605-1607-3010-0912-1903-0505-14
? Trough ? Peak(turning points)

This stock shows a moderate ±5% swing pattern approximately every 2.0 days, though timing variability reduces reliability.

assessment Key Metrics Universe Updated

Price
$135.98
Score U
0.784
RS 6M U
78
RS 3M U
83

description Recommendation Summary

Strong Buy Confidence: 10/10 Performance: A Strong R/C: 0.31:1

STRONG BUY (Confidence: 10/10) - Tight Base Breakout (VCP) | Strong Uptrend (Stage 2) | Strong Momentum (Sustained) | R/R 0.31:1 (Risk 7.5%) | Avoid/Extended

Trend

Strong Uptrend (Stage 2)

Momentum

Strong Momentum (Sustained)

Setup Type

Tight Base Breakout (VCP)

grade Absolute Rating

Hold Standalone Technical Quality
check_circle Trend Strength (Price > MA50, proper stack) (2 points)
cancel 13W Return ? +20% (0 points)
cancel 4W Return ? +8% (0 points)
check_circle Up/Down Volume ? 1.10 (1 points)
check_circle ATR(20) ? 3.5% (1 points)
cancel Within 5%-25% of 52W High (0 points)
cancel Risk/Reward ? 2:1 (R/R 0.31:1) (0 points)
Total Points: 4 out of 9
Future Analytics

Coming soon...

security Risk Management

Suggested Stop Loss

$125.73

7.5% risk
Potential Upside

+2.3%

R/R: 0.3:1
Expected Move (20 d, ATR Proxy)
±$12.02 (8.8%)
Range: $123.96 - $148.00

insights What It Means

The stock shows a mix of technical characteristics with strong relative strength and a solid composite score. Risk/Reward moderate (~0.3:1); catalysts or consolidation may improve it.

Positives
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Strong relative strength (RS6M 78, RS3M 83)

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High composite score 0.784

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Perfect moving average stack (healthy uptrend)

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Accumulation (Up/Down Vol 2.42)

Negatives / Risks
No major technical risks

thumb_up Bullish Factors 10

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Strong 6m RS: 78th percentile

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Elite 3m RS: 83th percentile (top 17%)

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Accelerating momentum (3m > 6m RS)

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Perfect MA stack (MA50 > MA150 > MA200)

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Price above all major MAs (strong trend)

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Strong accumulation: 2.42x up/down volume

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Tight base: 8th percentile ATR (low volatility)

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Strong 1-week gain: +4.0%

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Near 52-week high: -2.3% off peak

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Risk/Reward: 0.31:1 (Risk 7.5%, Reward 2.3% )

thumb_down Bearish Factors 1

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Suboptimal R/R (<1:1)

analytics Technical Indicators

Current Price
$135.98
MA 50
$125.73
8.2%
MA 150
$118.51
14.7%
MA 200
$115.09
18.2%

News & Sentiment

Last updated Jun 21 13:05

Sentiment line (?1..+1) with scaled article volume bars (height relative to sentiment range). Rolling 7d average smooths trend.

Positive day
Negative day
Neutral
Sentiment
7d Avg
Avg 7d: +0.07 Articles 7d: 1 Latest: +0.07 (1)Peak: +0.07 Jun 20
BK Technologies: Strong Margins, But 2027 Has To Deliver
BK stock - BingNews Jun 20 10:05 AM +0.10
BK Technologies’ Vision 2030 plan potentially gives the stock long-term upside. Management is targeting $170 million of revenue, 60% gross margin, 35% EBITDA margin, roughly $55 million of free cash ...
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