chore: update performance tracking 2026-03-15

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github-actions[bot] 2026-03-15 13:34:08 +00:00
parent 75c604a98c
commit 6c52fbef59
2 changed files with 161 additions and 7 deletions

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@ -1,6 +1,6 @@
{
"last_updated": "2026-03-15 13:30:53",
"total_recommendations": 479,
"last_updated": "2026-03-15 13:34:08",
"total_recommendations": 487,
"recommendations_by_date": {
"2026-02-10": [
{
@ -10828,6 +10828,160 @@
"return_1d": 0.0,
"win_1d": false
}
],
"2026-03-15": [
{
"ticker": "SBGI",
"rank": 1,
"company_name": "Sinclair, Inc.",
"description": "Sinclair, Inc. operates broadcast television stations and digital media platforms across the United States.",
"strategy_match": "insider_buying",
"pipeline": "insider_buying",
"final_score": 88,
"confidence": 8,
"risk_level": "high",
"reason": "The primary edge comes from a strong confluence of insider conviction and options flow, highlighted by Exec COB David Smith's $1.5M purchase alongside an extremely bullish options P/C ratio of 0.015. The timing is urgent due to the massive short interest of 23.3%, which creates immediate short-squeeze potential if the unusually high volume of 11,651 calls forces market maker hedging. The risk/reward profile is highly asymmetric, offering significant upside against a moderate technical stop-loss level of $13.04. The key risk to this thesis is the stock's broader downtrend below its 50 SMA of $14.59; if it fails to break this resistance, the squeeze may collapse.",
"entry_price": 14.09000015258789,
"discovery_date": "2026-03-15",
"status": "open",
"current_price": 14.09000015258789,
"return_pct": 0.0,
"days_held": 0,
"last_updated": "2026-03-15"
},
{
"ticker": "ALKT",
"rank": 2,
"company_name": "Alkami Technology, Inc.",
"description": "Alkami Technology provides a cloud-based digital banking platform for financial institutions.",
"strategy_match": "insider_buying",
"pipeline": "insider_buying",
"final_score": 85,
"confidence": 8,
"risk_level": "moderate",
"reason": "ALKT exhibits massive insider conviction with a $50.5M purchase by a 10% owner (General Atlantic Genpar), which is exceptionally large for a $1.9B market cap company. Timing is compelling right now as the stock's RSI reads a bullish 52.7 and the On-Balance Volume trend is rising, signaling stealth institutional accumulation. The risk/reward profile is attractive given the protective support provided by the recent cluster buying and a low options P/C ratio of 0.387. However, the key risk is its current position below the 50 SMA of $18.97, meaning a failure to reclaim this moving average could invalidate the bullish momentum.",
"entry_price": 18.0,
"discovery_date": "2026-03-15",
"status": "open",
"current_price": 18.0,
"return_pct": 0.0,
"days_held": 0,
"last_updated": "2026-03-15"
},
{
"ticker": "AI",
"rank": 3,
"company_name": "C3.ai, Inc.",
"description": "C3.ai is an enterprise artificial intelligence software company that develops AI applications for various industries.",
"strategy_match": "news_catalyst",
"pipeline": "news_catalyst",
"final_score": 82,
"confidence": 7,
"risk_level": "high",
"reason": "The catalyst for C3.ai is an imminent short-squeeze setup driven by a staggering 33.2% short interest and corroborating unusual options flow featuring a P/C ratio of just 0.058. Timing is critical because the MACD has just signaled a bullish crossover with a histogram of 0.086, accompanied by bullish divergence in the On-Balance Volume metric. The risk/reward profile favors the upside for a rapid momentum spike, especially given the stock's high volatility (ATR of $0.67). The primary risk is the underlying weak fundamentals and its position well below the 200 SMA of $17.41, meaning any broader market selloff could easily derail the technical recovery.",
"entry_price": 8.90999984741211,
"discovery_date": "2026-03-15",
"status": "open",
"current_price": 8.90999984741211,
"return_pct": 0.0,
"days_held": 0,
"last_updated": "2026-03-15"
},
{
"ticker": "STAA",
"rank": 4,
"company_name": "STAAR Surgical Company",
"description": "STAAR Surgical Company designs and manufactures implantable lenses for the eye.",
"strategy_match": "insider_buying",
"pipeline": "insider_buying",
"final_score": 80,
"confidence": 7,
"risk_level": "high",
"reason": "STAA is driven by a powerful $12.2M insider purchase from 10% owner Broadwood Partners combined with a heavy short interest of 21.9%. The urgency for a trade now is confirmed by a fresh bullish MACD crossover (histogram at 0.048) and an On-Balance Volume trend that is steadily rising to 32M. This creates a compelling risk/reward scenario where insider support provides a floor, while heavily shorted shares provide fuel for a rapid short-covering rally. The main risk is the high volatility (ATR of $1.01) and resistance at the 50 SMA of $19.35, which could stall the breakout attempt.",
"entry_price": 18.84000015258789,
"discovery_date": "2026-03-15",
"status": "open",
"current_price": 18.84000015258789,
"return_pct": 0.0,
"days_held": 0,
"last_updated": "2026-03-15"
},
{
"ticker": "KOS",
"rank": 5,
"company_name": "Kosmos Energy Ltd.",
"description": "Kosmos Energy is a deepwater exploration and production company focused on oil and natural gas.",
"strategy_match": "insider_buying",
"pipeline": "insider_buying",
"final_score": 78,
"confidence": 7,
"risk_level": "high",
"reason": "The edge for KOS lies in a cluster of four insiders buying, headlined by Director Ogunlesi's aggressive $6M purchase. The timing is optimal as the stock has recently triggered a Golden Cross, with the 50 SMA at $1.66 crossing above the 200 SMA, supported by a bullish options P/C ratio of 0.579. The risk/reward profile is skewed positively for a continued uptrend given the strong technical confirmation and institutional backing. A significant drop in oil prices or failure to hold the $2.18 20 EMA would serve as the key risk invalidating this setup.",
"entry_price": 2.3299999237060547,
"discovery_date": "2026-03-15",
"status": "open",
"current_price": 2.3299999237060547,
"return_pct": 0.0,
"days_held": 0,
"last_updated": "2026-03-15"
},
{
"ticker": "POET",
"rank": 6,
"company_name": "POET Technologies Inc.",
"description": "POET Technologies designs and develops photonic integrated packaging solutions for the semiconductor industry.",
"strategy_match": "social_dd",
"pipeline": "social_dd",
"final_score": 75,
"confidence": 6,
"risk_level": "speculative",
"reason": "POET offers a speculative edge based on social due diligence uncovering a potential $75M capital injection, immediately validated by unusual options flow boasting a P/C ratio of 0.095. The setup is actionable now because the stock maintains a strong uptrend above its 50 SMA of $6.61, while its ADX at 26.3 confirms strengthening momentum. The risk/reward is highly speculative but offers explosive upside if the rumored catalyst materializes. The primary risk is the extremely high bandwidth volatility of 40.9%; if the rumor proves false, the stock could gap down severely below its $5.89 stop-loss.",
"entry_price": 6.829999923706055,
"discovery_date": "2026-03-15",
"status": "open",
"current_price": 6.829999923706055,
"return_pct": 0.0,
"days_held": 0,
"last_updated": "2026-03-15"
},
{
"ticker": "ALB",
"rank": 7,
"company_name": "Albemarle Corporation",
"description": "Albemarle Corporation is a global specialty chemicals company and a leading provider of lithium and bromine.",
"strategy_match": "options_flow",
"pipeline": "options_flow",
"final_score": 72,
"confidence": 6,
"risk_level": "high",
"reason": "ALB's thesis is built on extreme options flow anomalies, featuring 10 unusual calls versus zero puts and an incredibly low P/C ratio of 0.029. With short interest sitting at a lofty 12.7%, the timing is ripe for a potential squeeze as the stock's RSI at 42.4 suggests it is oversold and ready for a technical bounce. The risk/reward is elevated but offers substantial short-term upside if the 6,510 call volume at the $95 strike forces delta hedging. The fundamental risk remains high due to weak lithium pricing and a bearish MACD crossover, which could override the options flow if macroeconomic sentiment worsens.",
"entry_price": 158.22000122070312,
"discovery_date": "2026-03-15",
"status": "open",
"current_price": 158.22000122070312,
"return_pct": 0.0,
"days_held": 0,
"last_updated": "2026-03-15"
},
{
"ticker": "NMFC",
"rank": 8,
"company_name": "New Mountain Finance Corporation",
"description": "New Mountain Finance Corporation is a business development company specializing in lending to middle-market companies.",
"strategy_match": "insider_buying",
"pipeline": "insider_buying",
"final_score": 70,
"confidence": 6,
"risk_level": "low",
"reason": "NMFC presents a defensive, low-volatility opportunity backed by $4.02M in insider buying from 10% owner Steven Klinsky. The timing is supported by highly unusual options flow (P/C ratio of 0.14) indicating targeted bullish positioning ahead of potential yield-driven rotation. The risk/reward is exceptionally stable due to an ATR of just $0.23, making it an ideal capital preservation play with moderate upside. The key risk is a failure to break above its 50 SMA of $8.51, which could trap the stock in a sideways trading range.",
"entry_price": 7.900000095367432,
"discovery_date": "2026-03-15",
"status": "open",
"current_price": 7.900000095367432,
"return_pct": 0.0,
"days_held": 0,
"last_updated": "2026-03-15"
}
]
}
}

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@ -1,5 +1,5 @@
{
"total_recommendations": 479,
"total_recommendations": 487,
"by_strategy": {
"momentum": {
"count": 136,
@ -32,7 +32,7 @@
"win_rate_30d": 33.3
},
"insider_buying": {
"count": 117,
"count": 122,
"wins_1d": 40,
"losses_1d": 76,
"wins_7d": 49,
@ -47,7 +47,7 @@
"win_rate_30d": 55.2
},
"options_flow": {
"count": 71,
"count": 72,
"wins_1d": 22,
"losses_1d": 49,
"wins_7d": 31,
@ -92,7 +92,7 @@
"win_rate_30d": 28.6
},
"news_catalyst": {
"count": 4,
"count": 5,
"wins_1d": 0,
"losses_1d": 4,
"wins_7d": 0,
@ -182,7 +182,7 @@
"win_rate_30d": 33.3
},
"social_dd": {
"count": 21,
"count": 22,
"wins_1d": 9,
"losses_1d": 12,
"wins_7d": 10,