Stock Analysis
Data: 2026-06-19Moderate pattern consistency: 56% win rate.
Dominant pattern: ±4% every ~2.0 days (strength 0.53)
This stock shows a moderate ±4% swing pattern approximately every 2.0 days, though timing variability reduces reliability.
This stock exhibits a moderate ±4% 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? |
|---|---|---|---|
| 4% | 2.0 | 0.53 Moderate | ? |
This stock shows a moderate ±4% swing pattern approximately every 2.0 days, though timing variability reduces reliability.
BUY (Confidence: 10/10) - Tight Base Breakout (VCP) | Strong Uptrend (Stage 2) | Strong Momentum (Sustained) | R/R 1.31:1 (Risk 3.6%) | High-Risk BUY
Strong Uptrend (Stage 2)
Strong Momentum (Sustained)
Tight Base Breakout (VCP)
Coming soon...
The stock shows a mix of technical characteristics with strong relative strength and a solid composite score. Risk/Reward moderate (~1.3:1); catalysts or consolidation may improve it.
Strong relative strength (RS6M 87, RS3M 72)
Perfect moving average stack (healthy uptrend)
Accumulation (Up/Down Vol 1.50)
Elite 6m RS: 87th percentile (top 13%)
Strong 3m RS: 72th percentile
Perfect MA stack (MA50 > MA150 > MA200)
Price above all major MAs (strong trend)
Strong accumulation: 1.50x up/down volume
Tight base: 34th percentile ATR (low volatility)
Strong 1-week gain: +6.0%
Near 52-week high: -4.5% off peak
Risk/Reward: 1.31:1 (Risk 3.6%, Reward 4.7% )
Decelerating momentum (3m RS << 6m RS)
Mediocre R/R (<1.5:1)
Sentiment line (?1..+1) with scaled article volume bars (height relative to sentiment range). Rolling 7d average smooths trend.
Stock Scanner v1.0.0
Copyright Ⓒ 2025