Add recommendations folder so that the UI can display it
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{
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"date": "2026-01-25",
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"llm_provider": "google",
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"recommendations": [
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{
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"ticker": "META",
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"rank": 1,
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"strategy_match": "Momentum/Hype",
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"final_score": 9.4,
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"confidence": 8,
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"reason": "META shows strong momentum driven by AI strategy optimism, global Threads ads rollout, and a new AI lab. Jefferies raised its price target to $910, reflecting undervaluation and AI progress. Technicals are bullish with a MACD crossover and price above the 20 EMA, along with rising OBV and institutional buying (VWAP). Options flow is highly bullish, with unusual call activity at $880, $835, and $1000 strikes for the Jan 30 expiry. Upcoming earnings on Jan 28 could be a significant catalyst. However, significant insider selling ($25M+) is a notable red flag. Actionable insight: Consider a long position targeting $700-720 post-earnings, with a stop-loss at $630 to manage risk from insider selling and potential earnings volatility.",
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"entry_price": 658.760009765625,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "APLD",
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"rank": 2,
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"strategy_match": "Momentum/Hype / Short Squeeze",
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"final_score": 8.8,
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"confidence": 8,
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"reason": "APLD presents a compelling momentum and short squeeze opportunity. The company announced groundbreaking for Delta Forge 1, a 430MW AI data center, causing a 10% stock surge. Fundamentals show extremely strong quarterly revenue growth (250% YOY), despite negative EPS. Technicals are robust with a strong uptrend, price above all key moving averages, and a bullish MACD crossover. Short interest is extremely high at 29.7% of float, making it ripe for a squeeze. Options activity shows extremely bullish call volume and unusual call activity at several high strikes. Insider selling ($17M+) and bearish OBV divergence are notable risks. Actionable insight: Monitor for continued upward momentum, targeting $40-45, with a tight stop at $34 due to high volatility and insider selling.",
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"entry_price": 37.689998626708984,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "FCX",
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"rank": 3,
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"strategy_match": "Momentum/Hype",
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"final_score": 8.5,
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"confidence": 8,
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"reason": "Freeport-McMoRan (FCX) exhibits strong momentum driven by positive news and robust technicals. The stock surged following a strong Q3 2025 earnings beat, reaching a 52-week high. Analyst upgrades from HSBC ($69 target) and Wall Street Zen confirm a positive outlook, citing strong copper demand. Technical indicators show a strong uptrend, with price significantly above 50 and 200 SMAs, high RSI, and rising OBV. Unusual call activity at $69, $75, $63, and $60 strikes suggests bullish institutional positioning. Insider selling ($1.8M+) is a minor concern, but overall sentiment is bullish. Actionable insight: Look for entry on minor pullbacks towards $58-59, targeting a breakout above the 52-week high of $62.13 towards the $65-69 analyst targets, with a stop-loss at $56.",
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"entry_price": 60.40999984741211,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "ANAB",
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"rank": 4,
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"strategy_match": "Momentum/Hype / Short Squeeze",
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"final_score": 8.0,
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"confidence": 8,
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"reason": "AnaptysBio (ANAB) shows strong potential for a short squeeze combined with momentum. Barclays recently upgraded its price target to $78 with an 'Overweight' rating, indicating significant upside. The stock is in a strong uptrend, trading above its 50 and 200 SMAs with rising OBV. Crucially, short interest is extremely high at 35.25% of the float, and options open interest is very bullish (P/C OI ratio 0.015), suggesting institutional long positioning. While quarterly revenue growth is very strong (1.543 YOY), the company has negative EPS and ongoing insider selling ($6.7M+). Actionable insight: This is a high-risk, high-reward short squeeze play. Consider a long entry on strength above $48, targeting $55-60, with a stop-loss at $44 to mitigate fundamental and insider-selling risks.",
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"entry_price": 47.540000915527344,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "ABCB",
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"rank": 5,
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"strategy_match": "Momentum/Hype",
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"final_score": 8.0,
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"confidence": 7,
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"reason": "Ameris Bancorp (ABCB) displays strong momentum, reaching a new 52-week high of $82.33. The company announced a $200M share repurchase program, signaling confidence and commitment to shareholder value. Technically, ABCB is in a strong uptrend, with price well above its 50 and 200 SMAs and rising OBV. Options activity, despite low volume, shows bullish sentiment with a low Put/Call Volume Ratio (0.333) and Open Interest Ratio (0.228). Fundamentals are solid with a low P/E (13.94) and moderate revenue/earnings growth. Upcoming Q4 earnings on Jan 29 could provide further catalysts. Actionable insight: Monitor for a breakout above the 52-week high ($83.64), targeting $85-90, with a stop-loss at $78.50, anticipating positive earnings sentiment and continued buybacks.",
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"entry_price": 80.44000244140625,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "SAIC",
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"rank": 6,
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"strategy_match": "Insider Play",
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"final_score": 6.9,
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"confidence": 7,
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"reason": "Science Applications International Corp. (SAIC) shows a strong insider buying signal, with 5 purchases totaling over $336K, including a $200K purchase by the CFO. This insider confidence aligns with a significant $1.4B U.S. Air Force contract win, a key positive catalyst. Technically, the stock is in an uptrend, trading above its 50 and 200 SMAs with rising OBV, despite a recent bearish MACD crossover. Options open interest is bullish (P/C OI 0.683), although volume is bearish. Fundamentals show a low P/E (14.08), but revenue and earnings growth have been weak. High debt (Debt/Equity 175.0) is a risk. Actionable insight: Consider a long position on dips toward $108-109, targeting the analyst target of $117.56, with a stop-loss at $104, capitalizing on insider confidence and the new contract.",
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"entry_price": 110.13999938964844,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "PYPL",
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"rank": 7,
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"strategy_match": "Contrarian Value",
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"final_score": 6.7,
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"confidence": 7,
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"reason": "PayPal (PYPL) presents a contrarian value opportunity, trading near its 52-week low ($55.015) after a significant YTD decline in 2025. Fundamentals are attractive with a low P/E (11.37) and Forward P/E (9.84), and strong quarterly earnings growth (31.3% YOY). Strategic initiatives like the Google partnership and a $15B buyback program provide potential long-term tailwinds. Technicals show a bullish MACD crossover and bullish OBV divergence (accumulation), suggesting a potential reversal despite a strong downtrend. Options volume is bullish, with unusual call activity at various strikes. However, significant insider selling ($2.4M+) and negative price action are concerns. Actionable insight: Consider accumulating shares on dips towards $55, targeting a recovery to $65-70, with a stop-loss at $53, ahead of earnings in two weeks.",
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"entry_price": 56.619998931884766,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "ORRF",
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"rank": 8,
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"strategy_match": "Contrarian Value",
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"final_score": 6.4,
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"confidence": 6,
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"reason": "Orrstown Financial Services (ORRF) offers a potential contrarian value play, having recently experienced a 2% drop that analysts suggest could be a low-risk entry. Fundamentals are strong with a low P/E (9.21), good Price/Book (1.23), and strong quarterly revenue growth (26.9% YOY). The company also has a decent dividend yield (2.98%) with a history of growth. Technically, ORRF is in a strong uptrend, trading above its 50 and 200 SMAs, with bullish OBV divergence. Insider buying, though minimal ($10K+ by one director), adds a slight positive signal ahead of Q4 earnings on Jan 27. Options activity is too sparse to draw strong conclusions. Actionable insight: A long position could be considered on strength above $36.50, targeting $39-41, with a stop-loss at $34.50, betting on a positive earnings surprise and fundamental undervaluation.",
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"entry_price": 36.20000076293945,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "NWBI",
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"rank": 9,
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"strategy_match": "Insider Play",
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"final_score": 5.7,
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"confidence": 6,
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"reason": "Northwest Bancshares (NWBI) shows bullish insider activity with 6 purchases totaling over $131K, including a $48K purchase by a Director. This insider confidence aligns with attractive valuation metrics like a low P/E (14.36) and Price/Book ratio (<1), along with a high dividend yield (6.41%). Technically, NWBI is in a strong uptrend, having experienced a Golden Cross, and trades above its 50 and 200 SMAs with rising OBV. Upcoming Q4 earnings on Jan 26 are anticipated to show positive EPS and revenue growth. However, options flow is bearish (P/C Volume 2.426, OI 3.04), and quarterly earnings growth has been very weak (-92.3% YOY). Actionable insight: Monitor closely post-earnings. If results are positive, consider a long entry above $12.50, targeting $13.50-14, with a stop-loss at $11.80, acknowledging the conflicting options signals.",
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"entry_price": 12.489999771118164,
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"discovery_date": "2026-01-25",
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"status": "open"
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},
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{
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"ticker": "BGS",
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"rank": 10,
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"strategy_match": "Momentum/Hype / Short Squeeze",
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"final_score": 5.6,
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"confidence": 7,
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"reason": "B&G Foods (BGS) presents a high-risk, high-reward opportunity due to extremely high short interest (26.63% of float) and a recent positive acquisition catalyst. The acquisition of Del Monte's broth/stock division is expected to enhance EPS and EBITDA. Technicals show a strong uptrend, with price above its 50 and 200 SMAs, and bullish MACD and Stochastic crossovers. Options open interest is bullish (P/C OI 0.485). However, fundamentals are very weak with negative EPS, negative profit margin, and extremely high debt (Debt/Equity 440.24). Analyst consensus is 'Sell,' and there is insider selling ($84K+). The OBV shows bearish divergence, indicating distribution. Actionable insight: This is a speculative short squeeze play. Consider a small, highly risk-managed long position on strength above $4.50, targeting $5.00-5.50, with a tight stop-loss at $4.10 due to significant fundamental risks and bearish technical divergence.",
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"entry_price": 4.409999847412109,
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"discovery_date": "2026-01-25",
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"status": "open"
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}
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]
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}
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{
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"date": "2026-01-26",
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"llm_provider": "google",
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"recommendations": [
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{
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"ticker": "GME",
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"rank": 1,
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"strategy_match": "Insider Play",
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"final_score": 11.5,
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"confidence": 9,
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"reason": "Highest conviction setup. CEO Ryan Cohen purchased $21.3M worth of stock on Jan 21, coupled with director buying. This aligns with store closure efficiency news. Options flow is flashing an extreme bullish signal with a Put/Call ratio of 0.11 (heavy call skew), suggesting institutional positioning for a move higher. Technicals show RSI at 64 with price holding above 200 SMA.",
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"entry_price": 24.010000228881836,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "BKR",
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"rank": 2,
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"strategy_match": "Momentum",
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"final_score": 11.0,
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"confidence": 9,
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"reason": "Fresh breakout to 52-week highs following a Q4 earnings beat ($0.78 vs $0.67 est). Technicals confirm a 'Upper Bollinger Band Walk,' indicating strong momentum. Options activity is incredibly bullish with a P/C ratio of 0.209, confirming the post-earnings drift thesis. Analysts maintain a $56+ target, which price is now testing.",
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"entry_price": 56.290000915527344,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "VIAV",
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"rank": 3,
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"strategy_match": "Momentum",
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"final_score": 10.0,
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"confidence": 8,
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"reason": "Stock hit 52-week high ($19.78) ahead of Jan 28 earnings. B. Riley raised PT to $22. Options flow is heavily skewed bullish with a P/C volume ratio of just 0.12, suggesting smart money is positioning for a beat or raised guidance. Technical trend is strong (Price > 20/50/200 SMAs).",
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"entry_price": 19.920000076293945,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "APLD",
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"rank": 4,
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"strategy_match": "Momentum",
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"final_score": 9.5,
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"confidence": 8,
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"reason": "Recent groundbreaking on 430MW AI data center and analyst upgrade to 'Strong Buy'. Options volume shows P/C ratio of 0.495, confirming bullish sentiment. Technicals show an 8.5% daily jump and price significantly above moving averages. Note: High volatility (ATR $3.26) requires wider stops.",
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"entry_price": 36.18000030517578,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "AMZN",
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"rank": 5,
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"strategy_match": "Momentum",
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"final_score": 9.5,
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"confidence": 9,
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"reason": "Multiple analyst upgrades (Wells Fargo PT $301, Roth PT $295) citing AWS acceleration. Layoff news typically viewed as margin-positive by Wall Street. Options flow confirms the bullish thesis with a P/C ratio of 0.449. Price is consolidating near highs, setting up for a potential breakout toward $250.",
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"entry_price": 238.4199981689453,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "DDOG",
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"rank": 6,
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"strategy_match": "Momentum",
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"final_score": 9.5,
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"confidence": 8,
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"reason": "Technical breakout featuring a Golden Cross and bullish engulfing pattern. Stifel upgraded to Buy with $160 target. Options flow supports the move with a low P/C ratio of 0.30. The 9.3% 5-day change indicates strong accumulation ahead of earnings.",
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"entry_price": 136.63999938964844,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "SLV",
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"rank": 7,
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"strategy_match": "Momentum",
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"final_score": 9.0,
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"confidence": 7,
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"reason": "Strong social momentum (Reddit threads regarding tariffs and inflation hedging) and breakout to new highs. Driven by tariff threats against Canada/Korea. Caution advised as RSI is 76 (Overbought), but the trend is undeniably strong. Options flow is neutral/mixed, suggesting some profit-taking at these levels.",
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"entry_price": 98.33999633789062,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "NVDA",
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"rank": 8,
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"strategy_match": "Momentum",
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"final_score": 9.0,
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"confidence": 8,
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"reason": "Approval to sell H20 chips in China removes a major overhang, outweighing the 15% revenue share fee. Options flow is bullish (P/C 0.63). Insider selling is a slight drag, but the catalyst is strong enough to drive near-term momentum. Support at $180 holds.",
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"entry_price": 186.47000122070312,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "DHR",
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"rank": 9,
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"strategy_match": "Momentum",
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"final_score": 9.0,
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"confidence": 8,
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"reason": "Goldman Sachs and Wells Fargo raised price targets ($270/$240). While price dipped slightly recently (-2%), the options flow is aggressively bullish with a P/C ratio of 0.175, indicating institutional accumulation during the dip.",
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"entry_price": 236.7100067138672,
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"discovery_date": "2026-01-26",
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"status": "open"
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},
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{
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"ticker": "STLD",
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"rank": 10,
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"strategy_match": "Contrarian Value",
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"final_score": 8.5,
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"confidence": 7,
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"reason": "Despite lowered guidance for Q4, the stock is up 4.4% in 5 days with strong technicals (Bullish MACD). Options traders are betting on a beat or looking past Q4 weakness, evidenced by a bullish P/C ratio of 0.43. Strong backlog supports 2026 outlook.",
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"entry_price": 173.32000732421875,
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"discovery_date": "2026-01-26",
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"status": "open"
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}
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]
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}
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{
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"date": "2026-01-27",
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"llm_provider": "google",
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"recommendations": [
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{
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"ticker": "META",
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"rank": 1,
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"strategy_match": "Momentum",
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"final_score": 9.2,
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"confidence": 9,
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"reason": "Strong momentum driven by an aggressive AI strategy, positive analyst upgrades (Jefferies target $910), and significant social media buzz around earnings (Jan 28) and new monetization efforts (premium subscriptions, Threads ads). Technicals show a clear bullish trend, breaking out from a recent low, with price above key moving averages and bullish MACD crossover. Bullish options volume (P/C 0.56) confirms positive sentiment. Entry around $660-670, stop below $640 (50-SMA). Anticipate post-earnings volatility.",
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"entry_price": 672.969970703125,
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"discovery_date": "2026-01-27",
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"status": "open"
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},
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{
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"ticker": "GLW",
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"rank": 2,
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"strategy_match": "Momentum",
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"final_score": 7.8,
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"confidence": 8,
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"reason": "Major positive catalyst with a new $6 billion Meta order for AI data centers, leading to a 16% stock surge. Technicals show a strong uptrend with all key moving averages confirming bullish momentum and price near 52-week highs ($113.99). Unusual options activity shows significant bullish institutional interest for near-term calls ($115, $111 strikes expiring Jan 30). Entry on a dip to $105-107, stop below $96.64 (recent high, also upper Bollinger Band).",
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"entry_price": 109.73999786376953,
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"discovery_date": "2026-01-27",
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"status": "open"
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},
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{
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"ticker": "SLV",
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"rank": 3,
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"strategy_match": "Momentum",
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"final_score": 7.7,
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"confidence": 8,
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"reason": "Driven by strong silver prices (surged >150%) due to supply deficits and industrial demand, with SLV posting a 208% annual return and hitting a 52-week high. Technicals show a very strong uptrend with price far above all key moving averages. Options activity shows a recent large-volume call spread, confirming bullish momentum. However, the ETF is significantly overbought (RSI 79.4, Stochastic), and some Reddit sentiment indicates bearish bets, posing a risk of a pullback. Entry on a dip to $92-95 (near 23.6% Fib support) with a stop below $88.",
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"entry_price": 101.58999633789062,
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"discovery_date": "2026-01-27",
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"status": "open"
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},
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{
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"ticker": "FFIV",
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"rank": 4,
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"strategy_match": "Momentum",
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"final_score": 6.9,
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"confidence": 7,
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"reason": "Strong earnings beat and positive guidance, coupled with an analyst upgrade by JPMorgan to 'Overweight' with a $345 target. Technicals show a short-term bullish trend (price above 50-SMA $253.73, rising OBV, price above 20-EMA $263.91 and VWAP). Bullish options flow confirms positive sentiment (P/C 0.479). However, significant insider selling ($8.4M) is a red flag. Entry on pullback to $265-268 (near 20-EMA/VWAP), with a stop below $253 (50-SMA).",
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"entry_price": 270.42999267578125,
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"discovery_date": "2026-01-27",
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"status": "open"
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},
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{
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"ticker": "TRX",
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"rank": 5,
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"strategy_match": "Momentum",
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"final_score": 6.6,
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"confidence": 8,
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"reason": "Extremely strong momentum driven by record Q1 revenue ($25.12M, doubled YoY), 100% unhedged gold exposure benefiting from rising gold prices, and a massive surge in call option volume (5,352% increase). Technicals show a parabolic uptrend, but the stock is significantly overbought (RSI 79.8, 141% above upper Bollinger band), suggesting a potential pullback. Entry on pullback to $1.25-1.30 (near 23.6% Fib support) with a stop below $1.20 (upper Bollinger band).",
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"entry_price": 1.5199999809265137,
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"discovery_date": "2026-01-27",
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"status": "open"
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},
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{
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"ticker": "TXN",
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"rank": 6,
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"strategy_match": "Momentum",
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"final_score": 6.0,
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"confidence": 7,
|
||||
"reason": "Strong technical uptrend with price above all key moving averages (50-SMA $177.28, 200-SMA $181.35, 20-EMA $188.06, VWAP $188.03), strong ADX (44.5), and bullish RSI/MACD. Positive news regarding a 16-year forecast. Bullish options volume (P/C 0.635). However, significant insider selling ($1.7M) and mixed analyst target adjustments (Susquehanna lowered, Barclays raised) introduce caution. Entry around $190-192 (near 20-EMA) with a stop below $185 (support below 23.6% Fib).",
|
||||
"entry_price": 196.6300048828125,
|
||||
"discovery_date": "2026-01-27",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "KLAC",
|
||||
"rank": 7,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 5.8,
|
||||
"confidence": 7,
|
||||
"reason": "Strong technical uptrend, outperforming the market, with price well above key moving averages (50-SMA $1276.50, 200-SMA $1103.85) and positive RSI (67.2). Strong fundamentals with solid revenue (13.0% YoY) and earnings growth (20.8% YoY). Upcoming earnings expected to be positive. However, substantial insider selling ($15.7M, including $12.9M by CEO) and neutral options activity are cautionary signals. Entry on pullback to $1450-1480 (near 23.6% Fib support) with a stop below $1400 (20-EMA).",
|
||||
"entry_price": 1616.3299560546875,
|
||||
"discovery_date": "2026-01-27",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "KKR",
|
||||
"rank": 8,
|
||||
"strategy_match": "Contrarian Value",
|
||||
"final_score": 5.8,
|
||||
"confidence": 6,
|
||||
"reason": "Strong fundamentals with good revenue (13.2% YoY) and earnings growth (40.6% YoY). Technicals show the stock is oversold (RSI 33.2) and at the lower Bollinger band, indicating a potential bounce. However, the overall trend is a strong downtrend, and bearish options volume (P/C 1.704) contradicts a bullish reversal play. The Nestle news is not a direct catalyst for KKR's stock price. Entry on confirmation of bounce from $112-115 support, stop below $110.",
|
||||
"entry_price": 116.0,
|
||||
"discovery_date": "2026-01-27",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "HOLO",
|
||||
"rank": 9,
|
||||
"strategy_match": "Contrarian Value",
|
||||
"final_score": 5.3,
|
||||
"confidence": 6,
|
||||
"reason": "The core thesis is deep undervaluation (P/B 0.1, trading at 10% of NAV based on liquid assets). Technicals show it's at the lower Bollinger band with bullish OBV divergence, suggesting a potential bounce from oversold conditions. However, there's no insider or options data to confirm sentiment, and the stock exhibits high volatility and a weak overall trend (ADX 7.6). This is a speculative value play. Entry near $2.57 (52-week low/Fib support) with a stop below $2.50.",
|
||||
"entry_price": 2.75,
|
||||
"discovery_date": "2026-01-27",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "VYMI",
|
||||
"rank": 10,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 5.2,
|
||||
"confidence": 6,
|
||||
"reason": "Strong technical uptrend, outperforming VXUS, and a high dividend yield (369%) make it attractive for income-focused investors in a 'risk-on' international rotation. However, it's significantly overbought (RSI 76.9, Stochastic) and at the upper Bollinger band, suggesting a potential pullback. Institutional activity is mixed (some buying, some selling). Entry on a pullback to $91-92 (near 20-EMA) with a stop below $89 (50-SMA).",
|
||||
"entry_price": 95.98999786376953,
|
||||
"discovery_date": "2026-01-27",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,116 @@
|
|||
{
|
||||
"date": "2026-01-28",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "HYMC",
|
||||
"rank": 1,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 10.5,
|
||||
"confidence": 9,
|
||||
"reason": "Exceptional insider strength with 10% owner Eric Sprott purchasing an aggregate of $84.9M over 3 months, including $5M on Jan 28. High-grade silver intercepts at the Nevada mine serve as a massive fundamental catalyst. Technicals show a very strong uptrend (ADX 67.9) with price 151% above the 50-SMA. Strategy: Momentum trade with entry at $51.50, targeting $60 resistance, with a tight stop at $47.50 (1.5x ATR).",
|
||||
"entry_price": 51.689998626708984,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "META",
|
||||
"rank": 2,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 10.3,
|
||||
"confidence": 10,
|
||||
"reason": "Q4 earnings beat with $59.89B revenue and aggressive 2026 guidance. Social sentiment is highly positive following AI spend updates. MACD bullish crossover confirmed on Jan 28. Options flow is decisively bullish with a volume P/C ratio of 0.588 and unusual call activity at the $785 Jan 30 strikes (9.06x Vol/OI). Strategy: Buy on current strength targeting $710 (Fib high), stop at $645.",
|
||||
"entry_price": 668.72998046875,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "MIRM",
|
||||
"rank": 3,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 10.0,
|
||||
"confidence": 9,
|
||||
"reason": "Following the Bluejay Therapeutics acquisition, Director Heron Patrick bought $8.9M in stock. Analysts (HC Wainwright) raised the target to $130 (28% upside). Technicals are in a strong uptrend with price above 20 EMA and a RSI of 77.5 indicating high demand. Strategy: Entry at $100.85, targeting $130, with a stop at $93.40 (1.5x ATR).",
|
||||
"entry_price": 100.8499984741211,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LRCX",
|
||||
"rank": 4,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.6,
|
||||
"confidence": 9,
|
||||
"reason": "Fiscal Q2 revenue of $5.34B with record operating margins driven by AI data center demand. Bullish MACD crossover on Jan 28 and technical breakout above the 50-SMA (+33.4% position). Analyst sentiment is 73.7% bullish. Strategy: Ride semiconductor equipment tailwinds toward $265 target, stop loss at $223.",
|
||||
"entry_price": 239.5800018310547,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AMAT",
|
||||
"rank": 5,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.5,
|
||||
"confidence": 8,
|
||||
"reason": "Upgraded by Mizuho and Deutsche Bank on accelerating wafer equipment spending. Technicals show a strong uptrend with a Golden Cross (50-SMA crossing 200-SMA) and MACD bullish crossover. Options volume P/C ratio is 0.698, confirming call-side dominance. Strategy: Enter on pullbacks to $330, targeting $360 resistance, stop at $315.",
|
||||
"entry_price": 336.75,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "WDC",
|
||||
"rank": 6,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.3,
|
||||
"confidence": 8,
|
||||
"reason": "AI-driven memory shortage is improving margins, pushing shares to all-time highs. RSI 73.1 indicates overbought conditions but strong ADX (57.8) suggests trend persistence. Options activity shows massive unusual call volume at $285 Feb 6 strikes (220x OI). Strategy: Momentum play targeting $300 ahead of earnings, stop loss at $231.",
|
||||
"entry_price": 279.70001220703125,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "WRB",
|
||||
"rank": 7,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 9.2,
|
||||
"confidence": 9,
|
||||
"reason": "Mitsui Sumitomo Insurance (10% owner) has purchased an aggregate of $413.5M in the last 3 months, including $69M recently. Q4 results beat revenue forecasts. While technicals are in a downtrend, the sheer scale of insider accumulation suggests a fundamental floor. Strategy: Value-entry at $67.67, targeting $78 (52-week high), stop at $64.50.",
|
||||
"entry_price": 67.66999816894531,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "VIAV",
|
||||
"rank": 8,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 8.3,
|
||||
"confidence": 8,
|
||||
"reason": "Earnings reported at the high end of guidance with an upbeat Q3 outlook. Technicals show a strong uptrend and price 11.4% above VWAP. Options flow is highly bullish with a volume P/C ratio of 0.071 and heavy call volume at $24 Feb strikes (16.8x OI). Strategy: Entry at $21, target $24, stop at $19.47.",
|
||||
"entry_price": 21.030000686645508,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "VSAT",
|
||||
"rank": 9,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 8.3,
|
||||
"confidence": 8,
|
||||
"reason": "Needham Buy rating and $45 target based on Viasat-3 satellite deployment which will triple global capacity. Strong technical uptrend (price +41% from 200-SMA). Unusual options activity at $42 Feb 20 calls (17.7x Vol/OI). Strategy: Ride breakout above 52-week high toward $55, stop at $41.",
|
||||
"entry_price": 47.58000183105469,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "INTC",
|
||||
"rank": 10,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 8.2,
|
||||
"confidence": 7,
|
||||
"reason": "Shares jumped 11% on reports of Apple/Nvidia foundry interest for 2028. CFO David Zinsner purchased $250k in stock at $42.50 to signal a dip-buy opportunity. Bullish options positioning (OI P/C 0.688) confirms market confidence in the pivot. Strategy: Long position at $48.78, target $54.60, stop at $43.70.",
|
||||
"entry_price": 48.779998779296875,
|
||||
"discovery_date": "2026-01-28",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,116 @@
|
|||
{
|
||||
"date": "2026-01-29",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "APLD",
|
||||
"rank": 1,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 10.5,
|
||||
"confidence": 9,
|
||||
"reason": "Extreme growth profile with 250% revenue growth YoY. Nvidia's $2B investment in anchor tenant CoreWeave effectively de-risks the Ellendale campus project. Technicals show a strong uptrend above 50 SMA with a bullish MACD crossover. Options activity is highly favorable with a Put/Call volume ratio of 0.325, indicating institutional accumulation. Strategy: Enter on pullbacks to $36.78 support with a target of $45.",
|
||||
"entry_price": 38.06999969482422,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AAPL",
|
||||
"rank": 2,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 10.4,
|
||||
"confidence": 9,
|
||||
"reason": "Reported record Q1 revenue of $143.8B with a bullish MACD crossover indicating shifting momentum. Acquisition rumors of AI startup Q.ai provide a catalyst for Siri enhancement. Options flow is bullish with a P/C ratio of 0.63 and strong institutional positioning. Strategy: Bullish breakout play toward $287 analyst target; stop-loss at $248.",
|
||||
"entry_price": 258.2799987792969,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "UA",
|
||||
"rank": 3,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 10.2,
|
||||
"confidence": 8,
|
||||
"reason": "Significant insider buying from V. Prem Watsa ($16.4M) and a total of over $90M in purchases this quarter shows extreme conviction. ADX of 62 indicates an incredibly strong trend. Options P/C ratio of 0.117 confirms bullish sentiment. Strategy: Follow insider lead for a move back toward $7.76 high; entry at $5.90, stop at $5.35.",
|
||||
"entry_price": 5.929999828338623,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "MCHP",
|
||||
"rank": 4,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 10.0,
|
||||
"confidence": 8,
|
||||
"reason": "Fresh analyst upgrade from Investing.com paired with a confirmed Golden Cross (50 SMA crossing 200 SMA). Company launched new 3-nm switches for AI data centers. Put/Call ratio of 0.13 is exceptionally bullish. RSI is overbought (73.4), suggesting a brief consolidation before the Feb 5 earnings. Strategy: Long position at $78-80 range targeting $95.",
|
||||
"entry_price": 79.36000061035156,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "INTC",
|
||||
"rank": 5,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.8,
|
||||
"confidence": 8,
|
||||
"reason": "Recent 11% jump on rumors of 2028 foundry partnerships with Apple and Nvidia. Bullish insider activity from the CFO ($250k purchase) signals manufacturing confidence. Options flow confirms the bias with a P/C ratio of 0.655. Strategy: Momentum trade toward $54 resistance; tight stop at $44.03 (ATR based).",
|
||||
"entry_price": 48.65999984741211,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "USAR",
|
||||
"rank": 6,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.6,
|
||||
"confidence": 8,
|
||||
"reason": "Closing of $1.5B PIPE and CHIPS program LOI ($1.6B) provide multi-year funding runway for rare earth production. Technicals show very strong trend strength (ADX 55.5). Options P/C ratio of 0.382 indicates heavy call buying. Strategy: Target $37.20 analyst consensus with trailing stop under the 20 EMA ($20.08).",
|
||||
"entry_price": 22.06999969482422,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LTRX",
|
||||
"rank": 7,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.5,
|
||||
"confidence": 7,
|
||||
"reason": "Announced high-impact AI drone partnership for defense. Extremely low Put/Call ratio (0.024) suggests speculative call buying ahead of Feb 5 earnings. Technicals show a strong uptrend above all major EMAs. Strategy: Speculative earnings play targeting $9.00; stop-loss at 50 SMA ($5.79).",
|
||||
"entry_price": 6.800000190734863,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "KLAC",
|
||||
"rank": 8,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.1,
|
||||
"confidence": 8,
|
||||
"reason": "Crushed Q2 estimates with 17% growth driven by AI packaging demand. Strong guidance issued for the next quarter. Strong uptrend verified by OBV and VWAP. RSI is high (72.5), but momentum is supported by yielding management dominance. Strategy: Buy on confirmation of support at $1620; target $1800.",
|
||||
"entry_price": 1684.7099609375,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AMD",
|
||||
"rank": 9,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.0,
|
||||
"confidence": 8,
|
||||
"reason": "Upgraded ahead of earnings due to MI308 chip demand and AI accelerator licenses. ADX of 39.6 indicates a solid trend. Options OI shows bullish long-term positioning. Insider selling is a minor concern (-0.1 modifier offset). Strategy: Play the earnings run-up to $267 resistance; stop at $237.",
|
||||
"entry_price": 252.17999267578125,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "THM",
|
||||
"rank": 10,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 8.5,
|
||||
"confidence": 7,
|
||||
"reason": "Paulson & Co. increased stake via a $40M purchase in a recent $115M financing round. Technicals show an extreme move (+26% in 5 days) and RSI is overbought (78.6). High institutional support (53.8%) provides floor. Strategy: Wait for mean reversion toward $2.55 (VWAP) before entering; target $3.65.",
|
||||
"entry_price": 2.990000009536743,
|
||||
"discovery_date": "2026-01-29",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,116 @@
|
|||
{
|
||||
"date": "2026-01-30",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "META",
|
||||
"rank": 1,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 11.0,
|
||||
"confidence": 9,
|
||||
"reason": "Explosive Q4 earnings beat ($8.88 EPS vs expected) paired with a massive $6B AI infrastructure deal with Corning. Technicals show a bullish MACD crossover and a strong break above the 200-SMA. Options flow is highly supportive with a Volume P/C ratio of 0.548 and unusual activity at the $717.50 strike. Target $790 with a stop at $705.",
|
||||
"entry_price": 718.7100219726562,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "INOD",
|
||||
"rank": 2,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 10.3,
|
||||
"confidence": 8,
|
||||
"reason": "Strategic partnership with Palantir Technologies for AI training data is a transformational catalyst. Technical indicators show a bullish stochastic crossover and price action holding above the 20 EMA. Options volume is heavily skewed toward calls (P/C 0.305) with high IV suggesting a volatility squeeze. Target $75 near-term with a tight stop at $56.",
|
||||
"entry_price": 56.5,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "USAR",
|
||||
"rank": 3,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 9.8,
|
||||
"confidence": 8,
|
||||
"reason": "Chairman Michael Blitzer purchased $2.14M in shares directly following a $1.6B LOI for federal funding under the CHIPS Act. While volatile, the ADX of 49.2 indicates a very strong trend developing. Options volume P/C ratio of 0.342 confirms bullish sentiment. Entry near $22.50, targeting $35, stop at $17.50.",
|
||||
"entry_price": 22.950000762939453,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CSCO",
|
||||
"rank": 4,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.5,
|
||||
"confidence": 9,
|
||||
"reason": "Upgraded to a $100 price target by Evercore ISI on the back of a new AI-driven networking hardware refresh cycle. Bullish MACD crossover confirmed on January 30. Options positioning is significantly bullish with a P/C volume ratio of 0.431 and heavy interest in $79 calls. Target $85-90 with a stop at $75.",
|
||||
"entry_price": 78.58000183105469,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ALGM",
|
||||
"rank": 5,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.5,
|
||||
"confidence": 8,
|
||||
"reason": "Reported record data center sales and strong automotive growth. TD Cowen raised target to $45. Despite an overbought RSI of 76.6, the ADX of 47 suggests trend durability. Extremely bullish options flow with a 0.116 volume P/C ratio confirms institutional accumulation. Target $44, stop at $35.",
|
||||
"entry_price": 37.064998626708984,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "NVDA",
|
||||
"rank": 6,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.5,
|
||||
"confidence": 9,
|
||||
"reason": "Strong sector sentiment following record earnings from peers and a fresh bullish MACD crossover. Price remains above the 50 and 200 SMA. Options volume P/C ratio of 0.617 remains bullish with high open interest supporting a move toward $210 resistance. Entry near $192, stop at $180.",
|
||||
"entry_price": 192.41000366210938,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "UA",
|
||||
"rank": 7,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 9.5,
|
||||
"confidence": 8,
|
||||
"reason": "Prem Watsa (Fairfax) significantly increased his position by $16.4M in January. The stock shows a very strong trend (ADX 56.2) and is trading above the 20, 50, and 200 EMA. This turnaround play is gaining momentum ahead of February results. Target $7.50, stop at $5.30.",
|
||||
"entry_price": 5.989999771118164,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "WS",
|
||||
"rank": 8,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 9.0,
|
||||
"confidence": 7,
|
||||
"reason": "Director Scott Kelly bought $273k in shares as the company integrates its $2.4B Kl\u00f6ckner acquisition. Bullish MACD crossover and price above 20 EMA signal continued upside. Volume divergence suggests accumulation. Target $47 based on analyst targets, stop at $37.",
|
||||
"entry_price": 39.91999816894531,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "WDC",
|
||||
"rank": 9,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 8.7,
|
||||
"confidence": 8,
|
||||
"reason": "Q2 earnings beat driven by booming AI storage demand. Despite a 9.8% pullback today, technicals remain in a strong uptrend above the 50 SMA. Bullish volume P/C ratio of 0.53 suggests the dip is being bought by institutional traders. Target recovery to $280, stop at $220.",
|
||||
"entry_price": 248.30999755859375,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AVGO",
|
||||
"rank": 10,
|
||||
"strategy_match": "Contrarian Value",
|
||||
"final_score": 8.5,
|
||||
"confidence": 8,
|
||||
"reason": "Upgraded by Wells Fargo as a core AI infrastructure provider. While the technical trend is currently weak, the options volume P/C ratio of 0.572 shows heavy institutional call buying at near-term strikes ($335-$342). Target recovery to $370, stop at $310.",
|
||||
"entry_price": 331.6199951171875,
|
||||
"discovery_date": "2026-01-30",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,116 @@
|
|||
{
|
||||
"date": "2026-01-31",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "ACRV",
|
||||
"rank": 1,
|
||||
"strategy_match": "short_squeeze",
|
||||
"final_score": 95,
|
||||
"confidence": 8,
|
||||
"reason": "Extreme short interest of 63% combined with positive Phase 2b clinical trial results creates a massive asymmetric risk/reward. The recent technical correction to the $1.79 level presents a prime entry point for a violent short-covering rally triggered by any positive volume catalyst.",
|
||||
"entry_price": 1.7899999618530273,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CHTR",
|
||||
"rank": 2,
|
||||
"strategy_match": "early_accumulation",
|
||||
"final_score": 92,
|
||||
"confidence": 9,
|
||||
"reason": "Strong Q4 EPS beat and aggressive mobile line growth have triggered an institutional accumulation phase. Technicals show a fresh bullish MACD crossover and a clean break above the 50-day SMA, indicating a sustained momentum move over the next week.",
|
||||
"entry_price": 206.1199951171875,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LTRX",
|
||||
"rank": 3,
|
||||
"strategy_match": "pre_earnings_accumulation",
|
||||
"final_score": 89,
|
||||
"confidence": 9,
|
||||
"reason": "Strong pre-earnings accumulation with volume at 2.63x average ahead of its Feb 4 report. The strategic partnership with Safe Pro Group for AI-powered defense drones positions the company within a high-growth sector, supported by a 90% bullish analyst consensus.",
|
||||
"entry_price": 6.639999866485596,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "FN",
|
||||
"rank": 4,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 87,
|
||||
"confidence": 8,
|
||||
"reason": "As a key manufacturing partner for Nvidia's optical packaging, Fabrinet is seeing significant price target increases ($540-$600) ahead of its Feb 2 earnings. Technicals show a strong uptrend above all major moving averages and a rising VWAP indicating institutional support.",
|
||||
"entry_price": 489.44000244140625,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "RMBS",
|
||||
"rank": 5,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 85,
|
||||
"confidence": 8,
|
||||
"reason": "Institutional buyers like Mirae Asset are aggressively building positions ahead of the Feb 2 earnings. The company is a direct beneficiary of the AI-driven demand for high bandwidth memory, and the current pullback from recent highs offers a high-probability entry for an earnings gap-up.",
|
||||
"entry_price": 113.83000183105469,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "PLTR",
|
||||
"rank": 6,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 83,
|
||||
"confidence": 7,
|
||||
"reason": "Technically oversold (RSI 25.3) and trading at the lower Bollinger Band, Palantir is primed for a significant mean-reversion bounce ahead of its Feb 2 earnings. Massive open interest in calls suggests speculative traders are betting on an AI-driven revenue surprise.",
|
||||
"entry_price": 146.58999633789062,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "MRVL",
|
||||
"rank": 7,
|
||||
"strategy_match": "analyst_upgrade",
|
||||
"final_score": 81,
|
||||
"confidence": 8,
|
||||
"reason": "FTC approval for the Celestial AI acquisition is a major fundamental catalyst that hasn't been priced in due to recent market volatility. Analyst price targets remain significantly higher at $117, suggesting a 48% upside from current levels as order visibility for custom silicon improves.",
|
||||
"entry_price": 78.91999816894531,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "YSS",
|
||||
"rank": 8,
|
||||
"strategy_match": "ipo_opportunity",
|
||||
"final_score": 79,
|
||||
"confidence": 7,
|
||||
"reason": "This fresh IPO is a prime 'discovery' play in the defense-tech space, supported by a $642 million backlog and an upsized offering. Space-infrastructure assets are seeing high demand as national security priorities shift toward satellite constellations.",
|
||||
"entry_price": 33.95000076293945,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AMZN",
|
||||
"rank": 9,
|
||||
"strategy_match": "analyst_upgrade",
|
||||
"final_score": 77,
|
||||
"confidence": 9,
|
||||
"reason": "Recent layoffs and a 'cultural reset' toward AI efficiency are highly favored by institutional investors. With 95% bullish analyst sentiment and a price target of $296, the stock is positioned as a safe-haven growth play during broader market uncertainty.",
|
||||
"entry_price": 239.3000030517578,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "SNDK",
|
||||
"rank": 10,
|
||||
"strategy_match": "social_hype",
|
||||
"final_score": 75,
|
||||
"confidence": 6,
|
||||
"reason": "Blowout earnings and a global NAND flash shortage are driving violent momentum in this low-float name. Despite overbought technicals, momentum-chasing strategies typically favor such high-velocity moves until a stock split or secondary offering is announced.",
|
||||
"entry_price": 576.25,
|
||||
"discovery_date": "2026-01-31",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,116 @@
|
|||
{
|
||||
"date": "2026-02-01",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "ACRV",
|
||||
"rank": 1,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 95,
|
||||
"confidence": 9,
|
||||
"reason": "The CEO purchased 49,000 shares in mid-January, which, combined with an extremely high short interest of 63.0%, creates a textbook short squeeze setup. Upcoming Phase 2b data presentations provide a near-term fundamental catalyst to potentially ignite this volatility.",
|
||||
"entry_price": 1.7899999618530273,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "RTX",
|
||||
"rank": 2,
|
||||
"strategy_match": "Earnings Play",
|
||||
"final_score": 92,
|
||||
"confidence": 9,
|
||||
"reason": "RTX reports earnings on Feb 2, supported by a record $251 billion backlog and positive 2026 guidance. The stock is in a strong uptrend, trading above its 20 and 50-day moving averages, with recent news resolving liability concerns.",
|
||||
"entry_price": 200.92999267578125,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "IBM",
|
||||
"rank": 3,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 90,
|
||||
"confidence": 9,
|
||||
"reason": "Shares are breaking out near decade-highs driven by a generative AI book of business exceeding $12.5 billion. Technical indicators show a bullish MACD crossover and strong trend strength (ADX rising), signaling continued momentum.",
|
||||
"entry_price": 306.70001220703125,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "GME",
|
||||
"rank": 4,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 88,
|
||||
"confidence": 8,
|
||||
"reason": "CEO Ryan Cohen recently purchased 1 million shares, a massive vote of confidence that establishes a psychological floor. Technicals show a bullish divergence in on-balance volume, indicating accumulation despite recent price consolidation.",
|
||||
"entry_price": 23.8799991607666,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "INTC",
|
||||
"rank": 5,
|
||||
"strategy_match": "Insider Play",
|
||||
"final_score": 87,
|
||||
"confidence": 8,
|
||||
"reason": "Recent insider buying by the CFO aligns with a strong 1-year uptrend and positive sentiment around domestic manufacturing. The stock maintains a 'Strong Uptrend' technical status, trading well above its 50 and 200-day moving averages.",
|
||||
"entry_price": 46.470001220703125,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "SMCI",
|
||||
"rank": 6,
|
||||
"strategy_match": "Earnings Play",
|
||||
"final_score": 86,
|
||||
"confidence": 8,
|
||||
"reason": "Reporting earnings on Feb 3 with expectations of 84% revenue growth, the stock is primed for volatility. With 17-18% short interest and recent analyst upgrades, a positive report could trigger a sharp squeeze.",
|
||||
"entry_price": 29.110000610351562,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "PLTR",
|
||||
"rank": 7,
|
||||
"strategy_match": "Earnings Play",
|
||||
"final_score": 85,
|
||||
"confidence": 8,
|
||||
"reason": "Set to report earnings on Feb 2 with projected 62.8% revenue growth. The stock is currently oversold (RSI ~25), presenting an asymmetric opportunity for a bounce if results validate its AI platform's expansion.",
|
||||
"entry_price": 146.58999633789062,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "WDC",
|
||||
"rank": 8,
|
||||
"strategy_match": "Momentum",
|
||||
"final_score": 84,
|
||||
"confidence": 8,
|
||||
"reason": "Received a fresh 'Buy' upgrade following strong Q2 earnings and is positioned as a key beneficiary of AI storage demand. Technicals show a very strong trend (ADX 55+) with price holding above key moving averages.",
|
||||
"entry_price": 250.22999572753906,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "FFAI",
|
||||
"rank": 9,
|
||||
"strategy_match": "News Catalyst",
|
||||
"final_score": 83,
|
||||
"confidence": 8,
|
||||
"reason": "Sales for its new AI robotics product begin Feb 4, providing a definitive near-term catalyst. BlackRock's increased stake and recent regulatory certification support the momentum in this high-volatility play.",
|
||||
"entry_price": 1.0399999618530273,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LBRDA",
|
||||
"rank": 10,
|
||||
"strategy_match": "Volume Accumulation",
|
||||
"final_score": 82,
|
||||
"confidence": 8,
|
||||
"reason": "Displaying unusual volume (2.9x average) and a bullish MACD crossover, signaling accumulation ahead of earnings. The stock has rallied 7.79% recently, breaking out from lows with improving sentiment.",
|
||||
"entry_price": 48.02000045776367,
|
||||
"discovery_date": "2026-02-01",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,171 @@
|
|||
{
|
||||
"date": "2026-02-02",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "ACRV",
|
||||
"rank": 1,
|
||||
"strategy_match": "short_squeeze",
|
||||
"final_score": 96,
|
||||
"confidence": 9,
|
||||
"reason": "Extreme short interest of 63% creates a massive squeeze risk as the company prepares to present late-breaking Phase 2b clinical data for its lead oncology candidate ACR-368. Sentiment is further bolstered by recent CEO and CFO insider buying in mid-January, providing a significant floor and asymmetric upside.",
|
||||
"entry_price": 1.809999942779541,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "PLTR",
|
||||
"rank": 2,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 94,
|
||||
"confidence": 9,
|
||||
"reason": "Exceptional Q4 results showing 70% revenue growth and bullish 2026 guidance are currently overshadowed by a technical oversold condition (RSI 25.3). The rapid adoption of the AIP platform and bullish revenue projections of $7.2B make this a prime candidate for a massive technical bounce as the market digests the fundamental beat.",
|
||||
"entry_price": 147.75999450683594,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ATO",
|
||||
"rank": 3,
|
||||
"strategy_match": "pre_earnings_accumulation",
|
||||
"final_score": 91,
|
||||
"confidence": 8,
|
||||
"reason": "Demonstrating classic pre-earnings accumulation with volume at 2.16x average and a bullish OBV divergence ahead of the February 3 earnings report. Analysts remain optimistic about the modernization program and high EPS estimate of $2.44, suggesting institutional positioning for a beat.",
|
||||
"entry_price": 166.52000427246094,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LTRX",
|
||||
"rank": 4,
|
||||
"strategy_match": "pre_earnings_accumulation",
|
||||
"final_score": 90,
|
||||
"confidence": 8,
|
||||
"reason": "Strong accumulation signals with volume at 2.3x average and a recent 4.5% price lift ahead of its February 4 earnings. The strategic partnership with Safe Pro Group for AI-powered defense drones provides a high-growth thematic catalyst for the upcoming results.",
|
||||
"entry_price": 6.800000190734863,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "IP",
|
||||
"rank": 5,
|
||||
"strategy_match": "insider_buying",
|
||||
"final_score": 89,
|
||||
"confidence": 8,
|
||||
"reason": "The CEO's significant purchase of 50,000 shares (valued at approximately $2M) on January 30 provides a strong vote of confidence. Coupled with a recent Wells Fargo upgrade and the company's plan to split into two independent entities, the stock shows strong technical support at the 50 SMA.",
|
||||
"entry_price": 40.689998626708984,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CR",
|
||||
"rank": 6,
|
||||
"strategy_match": "insider_buying",
|
||||
"final_score": 88,
|
||||
"confidence": 8,
|
||||
"reason": "Following a Q4 earnings beat and dividend hike, multiple directors made large open-market purchases. This insider activity, combined with a 12.9% drop in the last 5 days, presents an asymmetric entry point as technicals signal a recovery toward the $219 analyst target.",
|
||||
"entry_price": 185.27000427246094,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "TWST",
|
||||
"rank": 7,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 87,
|
||||
"confidence": 8,
|
||||
"reason": "Reported record Q1 revenue and raised full-year guidance to $435M-$440M. The company's reiteration of its adjusted EBITDA breakeven target by late 2026 serves as a significant fundamental pivot that has not yet been fully reflected in the current price action.",
|
||||
"entry_price": 46.810001373291016,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AB",
|
||||
"rank": 8,
|
||||
"strategy_match": "pre_earnings_accumulation",
|
||||
"final_score": 86,
|
||||
"confidence": 8,
|
||||
"reason": "Trading in a strong uptrend with volume 2.33x the average ahead of the February 5 earnings report. High institutional interest, including increasing stakes from major banks, suggests high expectations for its Q4 results and yield stability.",
|
||||
"entry_price": 41.880001068115234,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AI",
|
||||
"rank": 9,
|
||||
"strategy_match": "short_squeeze",
|
||||
"final_score": 84,
|
||||
"confidence": 7,
|
||||
"reason": "Technical oversold conditions (RSI 29.9) and high short interest (31.4%) are colliding with rumors of a potential merger with Automation Anywhere. An 89% jump in federal bookings suggests underlying fundamental improvements that could trigger a violent short-covering rally.",
|
||||
"entry_price": 10.920000076293945,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "APLD",
|
||||
"rank": 10,
|
||||
"strategy_match": "short_squeeze",
|
||||
"final_score": 83,
|
||||
"confidence": 7,
|
||||
"reason": "With a $16B backlog and a massive $5B lease agreement with a U.S. hyperscaler, the company is fundamentally well-positioned. High short interest (33.6%) and strong Q2 revenue growth make it a top candidate for a momentum squeeze as it scales AI capacity.",
|
||||
"entry_price": 34.79999923706055,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "DOCN",
|
||||
"rank": 11,
|
||||
"strategy_match": "analyst_upgrade",
|
||||
"final_score": 82,
|
||||
"confidence": 7,
|
||||
"reason": "Recently upgraded following the strategic hire of an Oracle veteran as CPTO and an AMD collaboration to double AI capacity. Unusual bullish options flow (P/C ratio 0.311) indicates high-conviction betting on upcoming earnings momentum.",
|
||||
"entry_price": 59.810001373291016,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CEG",
|
||||
"rank": 12,
|
||||
"strategy_match": "analyst_upgrade",
|
||||
"final_score": 81,
|
||||
"confidence": 7,
|
||||
"reason": "Shares are deeply oversold with an RSI of 30.0, sitting near its lower Bollinger Band. As a top 'Nuclear-AI' play with recent regulatory approvals for upgrades, this represents a high-probability mean reversion opportunity with an analyst target of $402.",
|
||||
"entry_price": 270.8800048828125,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ORCL",
|
||||
"rank": 13,
|
||||
"strategy_match": "news_catalyst",
|
||||
"final_score": 80,
|
||||
"confidence": 7,
|
||||
"reason": "The announcement of a $50B capital raise to fund massive AI cloud expansion caused an intraday dip to an RSI of 31.4 (oversold). Historically, such aggressive expansion to meet backlog demand (as seen in its recent news) precedes high institutional accumulation at these support levels.",
|
||||
"entry_price": 160.05999755859375,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "RTX",
|
||||
"rank": 14,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 79,
|
||||
"confidence": 7,
|
||||
"reason": "Following an EPS beat and multiple analyst price target hikes, the stock is riding strong momentum backed by a massive $260B backlog. High volume on call options ($205 strike) suggests a near-term move past its current 52-week highs.",
|
||||
"entry_price": 201.08999633789062,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "WWD",
|
||||
"rank": 15,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 78,
|
||||
"confidence": 7,
|
||||
"reason": "Exceptional Q1 results with a 29% sales surge and a significant EPS guidance hike to $8.20-$8.60. Management's confidence in the aerospace segment creates a fundamental tailwind that should overcome short-term technical resistance.",
|
||||
"entry_price": 327.25,
|
||||
"discovery_date": "2026-02-02",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,171 @@
|
|||
{
|
||||
"date": "2026-02-03",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "SMCI",
|
||||
"rank": 1,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 95,
|
||||
"confidence": 9,
|
||||
"reason": "SMCI is experiencing significant momentum, with news directly mentioning its AI server sales driving a 120% revenue increase. Despite a bearish technical outlook with price below the 50 SMA, the strong fundamental growth and record revenue reported in its latest earnings indicate strong underlying business performance.",
|
||||
"entry_price": 29.670000076293945,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "NVDA",
|
||||
"rank": 2,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 92,
|
||||
"confidence": 8,
|
||||
"reason": "NVIDIA is a key player in AI, with strong analyst sentiment and bullish options activity. While news mentions scrutiny over its AI chip supply chain, its robust fundamentals, including significant revenue growth, and its position above the 50 SMA suggest continued upward potential.",
|
||||
"entry_price": 180.33999633789062,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AMAT",
|
||||
"rank": 3,
|
||||
"strategy_match": "analyst_upgrade",
|
||||
"final_score": 90,
|
||||
"confidence": 8,
|
||||
"reason": "AMAT has received an analyst upgrade and shows strong upward momentum, trading above its 50 SMA. The company's strong fundamentals, including significant revenue and earnings growth, coupled with bullish options activity, support a positive outlook.",
|
||||
"entry_price": 318.6700134277344,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LRCX",
|
||||
"rank": 4,
|
||||
"strategy_match": "analyst_upgrade",
|
||||
"final_score": 88,
|
||||
"confidence": 8,
|
||||
"reason": "LRCX has seen an analyst upgrade and exhibits a very strong uptrend with its price well above the 50 SMA. The company's fundamentals show robust growth in revenue and earnings, and its bullish options sentiment further strengthens its investment case.",
|
||||
"entry_price": 230.10000610351562,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AMD",
|
||||
"rank": 5,
|
||||
"strategy_match": "social_hype",
|
||||
"final_score": 85,
|
||||
"confidence": 7,
|
||||
"reason": "AMD reported strong Q4 earnings driven by AI demand, and despite some insider selling, its positive analyst sentiment and upward trend above the 50 SMA make it a compelling pick. The social hype around AI continues to benefit AMD.",
|
||||
"entry_price": 242.11000061035156,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CSCO",
|
||||
"rank": 6,
|
||||
"strategy_match": "undiscovered_dd",
|
||||
"final_score": 82,
|
||||
"confidence": 7,
|
||||
"reason": "CSCO's recent AI summit and focus on high-margin software and security services, combined with strong upward technicals (above 50 SMA and strong trend), position it well. The 'undiscovered DD' strategy match and bullish options flow suggest potential upside.",
|
||||
"entry_price": 83.11000061035156,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AKAM",
|
||||
"rank": 7,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 80,
|
||||
"confidence": 6,
|
||||
"reason": "AKAM is described as a 'quiet cloud veteran suddenly looks like a growth story again,' indicating positive underlying sentiment. Its strong uptrend, price above 50 SMA, and bullish MACD support this, despite some recent insider selling and bearish options volume.",
|
||||
"entry_price": 91.79000091552734,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "SIMO",
|
||||
"rank": 8,
|
||||
"strategy_match": "undiscovered_dd",
|
||||
"final_score": 78,
|
||||
"confidence": 7,
|
||||
"reason": "SIMO has strong uptrend technicals, trading above its 50 SMA with a high RSI. The 'undiscovered DD' strategy and strong analyst buy ratings suggest potential for further upside, despite a slight bearish MACD signal.",
|
||||
"entry_price": 120.41999816894531,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AB",
|
||||
"rank": 9,
|
||||
"strategy_match": "pre_earnings_accumulation",
|
||||
"final_score": 75,
|
||||
"confidence": 6,
|
||||
"reason": "AB shows bullish technicals with its price above the 50 SMA and a bullish OBV divergence indicating accumulation. The 'pre-earnings accumulation' strategy, coupled with strong analyst buy ratings, suggests a positive outlook heading into earnings.",
|
||||
"entry_price": 41.36000061035156,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AEIS",
|
||||
"rank": 10,
|
||||
"strategy_match": "pre_earnings_accumulation",
|
||||
"final_score": 72,
|
||||
"confidence": 6,
|
||||
"reason": "AEIS is showing signs of pre-earnings accumulation with higher than average volume and a price above the 50 SMA. Despite a bearish OBV divergence, the strong analyst sentiment and bullish technicals make it a candidate for short-term gains.",
|
||||
"entry_price": 263.0299987792969,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LUMN",
|
||||
"rank": 11,
|
||||
"strategy_match": "news_catalyst",
|
||||
"final_score": 70,
|
||||
"confidence": 5,
|
||||
"reason": "LUMN reported strong earnings and debt reduction, with news highlighting significant new contracts. Its strong uptrend and price above the 50 SMA are positive indicators, although analyst sentiment is mixed.",
|
||||
"entry_price": 8.460000038146973,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "INMD",
|
||||
"rank": 12,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 68,
|
||||
"confidence": 5,
|
||||
"reason": "INMD shows strong bullish technicals, trading above its 50 SMA with a bullish MACD crossover and high RSI. The 'earnings play' strategy and positive analyst sentiment suggest potential for a short-term upward move.",
|
||||
"entry_price": 15.899999618530273,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "FFIV",
|
||||
"rank": 13,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 65,
|
||||
"confidence": 5,
|
||||
"reason": "FFIV exhibits positive momentum with a bullish MACD crossover and price above the 50 SMA. While there is significant insider selling and a bearish analyst sentiment, the strong uptrend and bullish options activity warrant consideration.",
|
||||
"entry_price": 274.6300048828125,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "RRR",
|
||||
"rank": 14,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 62,
|
||||
"confidence": 4,
|
||||
"reason": "RRR shows strong uptrend technicals with its price above the 50 SMA and positive OBV trend. The 'earnings play' strategy and high analyst buy ratings suggest potential for short-term gains, despite bearish options activity.",
|
||||
"entry_price": 63.459999084472656,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AAPL",
|
||||
"rank": 15,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 60,
|
||||
"confidence": 4,
|
||||
"reason": "AAPL has strong uptrend technicals, trading above its 50 SMA with bullish MACD and options flow. Despite reaching its upper Bollinger Band, indicating potential reversal, the overall positive sentiment and consistent performance make it a viable option.",
|
||||
"entry_price": 269.4800109863281,
|
||||
"discovery_date": "2026-02-03",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,171 @@
|
|||
{
|
||||
"date": "2026-02-04",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "AXL",
|
||||
"rank": 1,
|
||||
"strategy_match": "short_squeeze",
|
||||
"final_score": 96,
|
||||
"confidence": 10,
|
||||
"reason": "This is a textbook short squeeze setup triggering now, with 33.0% short interest and a +5.2% intraday move. Extremely unusual bullish options activity (P/C ratio 0.019) combined with a strong technical uptrend confirms aggressive buying pressure.",
|
||||
"entry_price": 8.835000038146973,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AAP",
|
||||
"rank": 2,
|
||||
"strategy_match": "short_squeeze",
|
||||
"final_score": 95,
|
||||
"confidence": 9,
|
||||
"reason": "High squeeze potential with 33.9% short interest and a +5.3% intraday surge. Technicals show a bullish MACD crossover and price reclaiming the 20 EMA, signaling a strong reversal and momentum shift.",
|
||||
"entry_price": 53.834999084472656,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "RYN",
|
||||
"rank": 3,
|
||||
"strategy_match": "pre_earnings_accumulation",
|
||||
"final_score": 93,
|
||||
"confidence": 9,
|
||||
"reason": "Classic pre-earnings accumulation pattern with volume running 2.28x average and unusual bullish options flow (P/C 0.169). Rising On-Balance Volume (OBV) indicates smart money positioning ahead of the Feb 11 report.",
|
||||
"entry_price": 22.80500030517578,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LLY",
|
||||
"rank": 4,
|
||||
"strategy_match": "earnings_momentum",
|
||||
"final_score": 91,
|
||||
"confidence": 9,
|
||||
"reason": "Reported a significant earnings beat ($7.54 vs $6.67) and raised guidance, driving a +2.5% intraday move. Bullish divergence in OBV suggests accumulation despite recent price consolidation, setting the stage for a breakout.",
|
||||
"entry_price": 1100.3299560546875,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "HON",
|
||||
"rank": 5,
|
||||
"strategy_match": "momentum_options",
|
||||
"final_score": 89,
|
||||
"confidence": 9,
|
||||
"reason": "Strong momentum signaled by a 'Golden Cross' technical setup and a MACD bullish crossover. Unusual bullish options flow (P/C 0.255) supports the uptrend, indicating institutional confidence in further upside.",
|
||||
"entry_price": 236.21499633789062,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "DELL",
|
||||
"rank": 6,
|
||||
"strategy_match": "analyst_upgrade",
|
||||
"final_score": 88,
|
||||
"confidence": 8,
|
||||
"reason": "Fresh analyst upgrade combined with a MACD bullish crossover signals a trend reversal. Unusual bullish options flow (P/C 0.344) and positive intraday action confirm immediate buyer interest.",
|
||||
"entry_price": 119.63500213623047,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ADBE",
|
||||
"rank": 7,
|
||||
"strategy_match": "oversold_reversal",
|
||||
"final_score": 87,
|
||||
"confidence": 8,
|
||||
"reason": "Deeply oversold conditions (RSI 23.4) have triggered a sharp mean-reversion bounce, with shares up +4.4% intraday. Bollinger Band positioning suggests the sell-off has exhausted, presenting a high risk/reward entry.",
|
||||
"entry_price": 278.9100036621094,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "HPE",
|
||||
"rank": 8,
|
||||
"strategy_match": "analyst_upgrade",
|
||||
"final_score": 86,
|
||||
"confidence": 8,
|
||||
"reason": "Analyst upgrade catalyzed a +3.8% intraday move and a MACD bullish crossover. While the long-term trend is down, this momentum shift indicates a strong short-term recovery play.",
|
||||
"entry_price": 22.645099639892578,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "KO",
|
||||
"rank": 9,
|
||||
"strategy_match": "momentum_options",
|
||||
"final_score": 85,
|
||||
"confidence": 8,
|
||||
"reason": "Defensive momentum play with unusual bullish options flow (P/C 0.196). A recent MACD bullish crossover and rising OBV confirm a strong uptrend backed by volume.",
|
||||
"entry_price": 77.70999908447266,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ADP",
|
||||
"rank": 10,
|
||||
"strategy_match": "earnings_reversal",
|
||||
"final_score": 84,
|
||||
"confidence": 8,
|
||||
"reason": "Stock is heavily oversold (RSI 26.0) despite an earnings beat ($2.62 vs estimates). The discrepancy between strong fundamentals and depressed price creates a prime setup for a mean-reversion bounce.",
|
||||
"entry_price": 236.90499877929688,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "BWA",
|
||||
"rank": 11,
|
||||
"strategy_match": "earnings_play",
|
||||
"final_score": 83,
|
||||
"confidence": 8,
|
||||
"reason": "Strong uptrend leading into Feb 11 earnings, supported by bullish options flow (P/C 0.344). Technicals remain bullish with price holding above the 20 EMA and rising VWAP.",
|
||||
"entry_price": 50.13999938964844,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ACHC",
|
||||
"rank": 12,
|
||||
"strategy_match": "short_squeeze",
|
||||
"final_score": 82,
|
||||
"confidence": 7,
|
||||
"reason": "High short interest (28.3%) combined with a MACD bullish crossover and unusually bullish options activity (P/C 0.504). Technical reversal signals suggest short sellers may be forced to cover.",
|
||||
"entry_price": 13.84000015258789,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "MCD",
|
||||
"rank": 13,
|
||||
"strategy_match": "earnings_momentum",
|
||||
"final_score": 81,
|
||||
"confidence": 8,
|
||||
"reason": "Robust technical strength with a MACD bullish crossover and price above 20/50/200 SMAs. Momentum is building into the Feb 11 earnings report, supported by rising OBV.",
|
||||
"entry_price": 325.6925048828125,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "SMCI",
|
||||
"rank": 14,
|
||||
"strategy_match": "earnings_growth",
|
||||
"final_score": 80,
|
||||
"confidence": 7,
|
||||
"reason": "Reported massive 123% revenue growth, signaling fundamental strength despite a broken chart. Bullish options volume (P/C 0.454) suggests traders are betting on a recovery rally from these levels.",
|
||||
"entry_price": 32.88159942626953,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "EA",
|
||||
"rank": 15,
|
||||
"strategy_match": "earnings_reversal",
|
||||
"final_score": 79,
|
||||
"confidence": 7,
|
||||
"reason": "Reported strong Q3 revenue, yet stock is oversold (RSI 24.3). This divergence between positive news and negative price action presents a buying opportunity near the lower Bollinger Band.",
|
||||
"entry_price": 198.91000366210938,
|
||||
"discovery_date": "2026-02-04",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,171 @@
|
|||
{
|
||||
"date": "2026-02-05",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "GME",
|
||||
"rank": 1,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 94,
|
||||
"confidence": 9,
|
||||
"reason": "Massive $21M insider purchase by CEO Ryan Cohen on Jan 21 serves as a major vote of confidence. Technicals show a 'Very Strong' trend with an ADX of 50.7 and rising On-Balance Volume, indicating sustained accumulation.",
|
||||
"entry_price": 24.690000534057617,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "IP",
|
||||
"rank": 2,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 92,
|
||||
"confidence": 9,
|
||||
"reason": "Recent insider purchases totaling ~$3M by the CEO and Directors signal strong internal conviction. The stock is staging a breakout with a 6.25% daily gain, confirmed by rising OBV and price holding above all major Moving Averages.",
|
||||
"entry_price": 44.369998931884766,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LPG",
|
||||
"rank": 3,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 90,
|
||||
"confidence": 8,
|
||||
"reason": "Earnings Before Market Open (BMO) catalyst today aligns with a Bullish Divergence in OBV. The stock maintains a 'Strong Uptrend' and is trading above its 20-day EMA and VWAP, suggesting institutional accumulation.",
|
||||
"entry_price": 30.059999465942383,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "POST",
|
||||
"rank": 4,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 88,
|
||||
"confidence": 8,
|
||||
"reason": "Fresh earnings beat and raised guidance provide a fundamental tailwind. Technicals confirm momentum with a Bullish MACD crossover and price action holding firmly above the 50-day SMA.",
|
||||
"entry_price": 104.41000366210938,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "TCBI",
|
||||
"rank": 5,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 87,
|
||||
"confidence": 8,
|
||||
"reason": "Insider buying by the CEO and Directors complements a 'Strong Uptrend' technical rating. A Bullish MACD crossover and price performance above the VWAP indicate continued buyer strength.",
|
||||
"entry_price": 103.5,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AB",
|
||||
"rank": 6,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 85,
|
||||
"confidence": 8,
|
||||
"reason": "Earnings catalyst today is supported by bullish options volume (Put/Call ratio 0.081). The stock is in a confirmed uptrend, trading above the 50 SMA and 200 SMA with rising momentum.",
|
||||
"entry_price": 42.36000061035156,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ROK",
|
||||
"rank": 7,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 84,
|
||||
"confidence": 7,
|
||||
"reason": "Strong Q1 earnings beat and raised guidance drive the bullish thesis. A MACD bullish crossover confirms upward momentum, although the price is near the upper Bollinger Band which may invite volatility.",
|
||||
"entry_price": 406.70001220703125,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "TSLA",
|
||||
"rank": 8,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 80,
|
||||
"confidence": 7,
|
||||
"reason": "Potential asymmetric bounce play as price hits the Lower Bollinger Band. Despite the downtrend, a Bullish Divergence in OBV and high Reddit interest suggest potential for a sharp reversal.",
|
||||
"entry_price": 397.2099914550781,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "PECO",
|
||||
"rank": 9,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 79,
|
||||
"confidence": 7,
|
||||
"reason": "Earnings After Market Close (AMC) catalyst combined with a 'Strong Uptrend'. Bullish MACD crossover and rising OBV signal accumulation into the event, though RSI is nearing overbought levels.",
|
||||
"entry_price": 37.81999969482422,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "STE",
|
||||
"rank": 10,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 78,
|
||||
"confidence": 7,
|
||||
"reason": "Unusual volume accumulation detected alongside a 'Strong Uptrend'. A bullish stochastic crossover suggests short-term momentum is recovering despite the recent mixed earnings reaction.",
|
||||
"entry_price": 243.80999755859375,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "NTRS",
|
||||
"rank": 11,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 76,
|
||||
"confidence": 7,
|
||||
"reason": "Insider purchasing signals confidence in the ongoing 'Strong Uptrend'. The stock is trading well above its 200 SMA and VWAP, indicating sustained institutional support.",
|
||||
"entry_price": 147.47999572753906,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "MANE",
|
||||
"rank": 12,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 75,
|
||||
"confidence": 6,
|
||||
"reason": "Massive $43M insider purchase provides a strong conviction backdrop. While current technicals are sideways, the bullish stochastic crossover indicates a potential bounce from support levels.",
|
||||
"entry_price": 37.15999984741211,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "WEX",
|
||||
"rank": 13,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 72,
|
||||
"confidence": 6,
|
||||
"reason": "Earnings beat and raised guidance provide a catalyst for reversal. Unusual bullish options flow (Calls > Puts) suggests traders are positioning for a recovery despite current technical weakness.",
|
||||
"entry_price": 148.5399932861328,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "UDMY",
|
||||
"rank": 14,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 68,
|
||||
"confidence": 5,
|
||||
"reason": "High-risk earnings play with Bullish Divergence in OBV. A stochastic crossover from oversold levels suggests potential for a sharp volatility-driven move post-earnings.",
|
||||
"entry_price": 4.690000057220459,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CR",
|
||||
"rank": 15,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 65,
|
||||
"confidence": 5,
|
||||
"reason": "Identified insider buying interest serves as a potential floor. Bullish stochastic crossover indicates the stock may be oversold and due for a technical mean reversion.",
|
||||
"entry_price": 187.77999877929688,
|
||||
"discovery_date": "2026-02-05",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,171 @@
|
|||
{
|
||||
"date": "2026-02-06",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "GME",
|
||||
"rank": 1,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 96,
|
||||
"confidence": 10,
|
||||
"reason": "CEO Ryan Cohen recently purchased ~$21M worth of stock, a massive vote of confidence that aligns with Reddit-driven short squeeze narratives. Technicals show an uptrend with the price above the 20 EMA, and bullish options flow supports further upside.",
|
||||
"entry_price": 24.93000030517578,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "LIFE",
|
||||
"rank": 2,
|
||||
"strategy_match": "insider_buying",
|
||||
"final_score": 94,
|
||||
"confidence": 9,
|
||||
"reason": "The stock is trading with an extreme RSI of 10.0 (oversold), and an intraday bounce of +8.6% suggests a reversal is underway. Recent insider purchasing provides a fundamental floor and validation for a mean-reversion trade.",
|
||||
"entry_price": 12.289999961853027,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "MSFT",
|
||||
"rank": 3,
|
||||
"strategy_match": "options_flow",
|
||||
"final_score": 92,
|
||||
"confidence": 9,
|
||||
"reason": "RSI is at 24.6 (oversold), a rare occurrence for this blue-chip, while price touches the lower Bollinger Band. Unusual bullish options activity and a low Put/Call ratio suggest institutional positioning for a technical bounce.",
|
||||
"entry_price": 394.7300109863281,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "TSLA",
|
||||
"rank": 4,
|
||||
"strategy_match": "options_flow",
|
||||
"final_score": 90,
|
||||
"confidence": 9,
|
||||
"reason": "Trading at the lower Bollinger Band with a bullish intraday move of +2.6% indicates strong support. Unusual options activity with 9 strikes showing bullish flow reinforces the setup for a momentum rebound.",
|
||||
"entry_price": 410.4100036621094,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AAPL",
|
||||
"rank": 5,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 89,
|
||||
"confidence": 9,
|
||||
"reason": "Stock is in a strong uptrend with a bullish MACD crossover and RSI at 67. Unusual options flow with a low Put/Call ratio of 0.44 confirms strong institutional momentum favoring a breakout.",
|
||||
"entry_price": 279.0199890136719,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "POET",
|
||||
"rank": 6,
|
||||
"strategy_match": "options_flow",
|
||||
"final_score": 88,
|
||||
"confidence": 8,
|
||||
"reason": "Extremely bullish options flow with a Put/Call ratio of 0.158 and 3 unusual call strikes highlights aggressive speculation. Combined with Reddit due diligence and a +4.1% intraday move, this presents a high-risk, high-reward squeeze setup.",
|
||||
"entry_price": 5.569900035858154,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "MANE",
|
||||
"rank": 7,
|
||||
"strategy_match": "insider_buying",
|
||||
"final_score": 87,
|
||||
"confidence": 8,
|
||||
"reason": "Technical indicators show an RSI of 0.0, indicating the stock is mathematically bottomed out and due for a reaction. Recent insider buying adds a crucial layer of confidence to this extreme mean-reversion opportunity.",
|
||||
"entry_price": 35.709999084472656,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ABT",
|
||||
"rank": 8,
|
||||
"strategy_match": "insider_buying",
|
||||
"final_score": 86,
|
||||
"confidence": 8,
|
||||
"reason": "The CEO purchased ~$2M in stock, a significant vote of confidence. With the RSI at 32 approaching oversold territory, this insider accumulation signals a strong potential bottoming formation.",
|
||||
"entry_price": 109.41999816894531,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AN",
|
||||
"rank": 9,
|
||||
"strategy_match": "earnings_calendar",
|
||||
"final_score": 85,
|
||||
"confidence": 8,
|
||||
"reason": "Intraday price action is up +9.4% coincident with an earnings release, indicating a very positive market reaction. Bullish divergence in On-Balance Volume (OBV) prior to this move suggests accumulation.",
|
||||
"entry_price": 220.76499938964844,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CBOE",
|
||||
"rank": 10,
|
||||
"strategy_match": "earnings_calendar",
|
||||
"final_score": 84,
|
||||
"confidence": 8,
|
||||
"reason": "Strong uptrend confirmed by rising OBV and price above the 50 SMA. Earnings catalyst combined with unusual bullish options flow (P/C ratio 0.533) supports continued momentum.",
|
||||
"entry_price": 271.44000244140625,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "PM",
|
||||
"rank": 11,
|
||||
"strategy_match": "earnings_calendar",
|
||||
"final_score": 83,
|
||||
"confidence": 8,
|
||||
"reason": "Momentum is strong with a bullish MACD crossover and rising OBV. Trading intraday +3.1% on earnings day suggests the market is rewarding their results, favoring a short-term trend continuation.",
|
||||
"entry_price": 185.42999267578125,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "NVDA",
|
||||
"rank": 12,
|
||||
"strategy_match": "options_flow",
|
||||
"final_score": 82,
|
||||
"confidence": 7,
|
||||
"reason": "Price is at the lower Bollinger Band, often a signal for a technical bounce. Despite insider selling, options flow remains bullish (P/C 0.67) and volume is high, supporting a tactical rebound.",
|
||||
"entry_price": 182.40069580078125,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "NTRS",
|
||||
"rank": 13,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 81,
|
||||
"confidence": 7,
|
||||
"reason": "Stock is in a strong uptrend above the 50 SMA with bullish divergence in OBV, indicating accumulation. Insider buying from a Director further supports the bullish thesis despite some mixed analyst sentiment.",
|
||||
"entry_price": 150.97999572753906,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "PATH",
|
||||
"rank": 14,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 80,
|
||||
"confidence": 7,
|
||||
"reason": "RSI is oversold at 30.4, and unusual call activity (5 strikes) suggests traders are betting on a bounce. Reddit attention adds a layer of retail hype potential, though insider selling requires caution.",
|
||||
"entry_price": 12.345000267028809,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "GOOGL",
|
||||
"rank": 15,
|
||||
"strategy_match": "options_flow",
|
||||
"final_score": 79,
|
||||
"confidence": 7,
|
||||
"reason": "Maintains a strong uptrend well above the 200 SMA. Unusual options activity is present, and while momentum has cooled slightly, the technical structure remains bullish for a swing trade.",
|
||||
"entry_price": 322.0899963378906,
|
||||
"discovery_date": "2026-02-06",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
|
|
@ -0,0 +1,171 @@
|
|||
{
|
||||
"date": "2026-02-09",
|
||||
"llm_provider": "google",
|
||||
"recommendations": [
|
||||
{
|
||||
"ticker": "WRB",
|
||||
"rank": 1,
|
||||
"strategy_match": "insider_buying",
|
||||
"final_score": 92,
|
||||
"confidence": 9,
|
||||
"reason": "This is a high-conviction setup driven by massive institutional insider accumulation. Mitsui Sumitomo Insurance Co. has purchased over $300 million worth of stock in the last month, including a $69 million buy on Jan 28 and continued buying through Feb 6. Technically, the stock just triggered a bullish MACD crossover and price has reclaimed the 20 EMA and VWAP, signaling a trend reversal. With a 100% win rate for the insider buying strategy historically, the catalyst is immediate and powerful.",
|
||||
"entry_price": 69.25,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "GME",
|
||||
"rank": 2,
|
||||
"strategy_match": "reddit_dd",
|
||||
"final_score": 89,
|
||||
"confidence": 9,
|
||||
"reason": "CEO Ryan Cohen purchased $21.3 million worth of shares on Jan 21, providing a strong floor of confidence. The stock maintains a high short interest of 16.1%, creating a classic squeeze setup alongside bullish technicals (MACD bullish, RSI > 60). The ML model predicts a win (49.8%), and recent Reddit diligence highlights institutional ownership exceeding the float. The risk/reward is asymmetric due to the volatility and cult-like following combined with insider backing.",
|
||||
"entry_price": 24.639999389648438,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "NVAX",
|
||||
"rank": 3,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 88,
|
||||
"confidence": 8,
|
||||
"reason": "Novavax presents a potent short squeeze candidate with 32.9% short interest and a recent Golden Cross (50 SMA crossing above 200 SMA), indicating a strong long-term trend shift. Despite recent consolidation, the ML model gives it a 50.5% win probability. The combination of extremely high short interest and bullish technical structure suggests an explosive move could occur if volume spikes. Volatility is high, but the technical floor is established.",
|
||||
"entry_price": 8.699999809265137,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "PMN",
|
||||
"rank": 4,
|
||||
"strategy_match": "insider_buying",
|
||||
"final_score": 85,
|
||||
"confidence": 8,
|
||||
"reason": "A 10% beneficial owner, ABG Management, purchased over $11 million in stock on Feb 3, which is massive relative to the company's small market capitalization. Technical indicators show a bullish divergence in On-Balance Volume (OBV), suggesting accumulation despite recent price drops. The stock has reclaimed its 20 EMA, and the sheer size of the insider purchase relative to the float serves as a major catalyst for repricing.",
|
||||
"entry_price": 13.050000190734863,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CZR",
|
||||
"rank": 5,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 84,
|
||||
"confidence": 8,
|
||||
"reason": "Caesars has a high short interest of 19.9% and is currently showing a bullish divergence in OBV, indicating smart money accumulation during the price dip. The ML model predicts a win (51.7%), and earnings are approaching in 8 days, which could act as a catalyst for a squeeze. The stock is oversold on stochastics, offering a favorable entry point for a mean-reversion trade with squeeze potential.",
|
||||
"entry_price": 20.649999618530273,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "WOOF",
|
||||
"rank": 6,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 82,
|
||||
"confidence": 8,
|
||||
"reason": "This is a technical deep-value and squeeze play with 16.6% short interest. The stock is trading near its Bollinger Band lower limit and shows a bullish divergence in OBV, signaling potential accumulation. The ML model is optimistic with a 51.6% win probability. While the trend is bearish, the oversold conditions and short positioning create a 'coiled spring' setup for a sharp bounce.",
|
||||
"entry_price": 2.549999952316284,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "UWMC",
|
||||
"rank": 7,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 80,
|
||||
"confidence": 7,
|
||||
"reason": "UWMC is trading at the lower Bollinger Band, a technical level that often precedes a bounce. It carries a high short interest of 15.7% and a massive dividend yield that supports price stability. The ML model predicts a win (51.5%). The setup is a classic mean-reversion trade where the high short interest adds fuel to any upward technical correction.",
|
||||
"entry_price": 4.630000114440918,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "TDOC",
|
||||
"rank": 8,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 79,
|
||||
"confidence": 7,
|
||||
"reason": "Teladoc is deeply oversold with an RSI of 27.3 and is trading near its lower Bollinger Band. With 15.6% short interest, the stock is primed for a relief rally or short covering event. The ML model predicts a win (51.6%). The risk is the prevailing downtrend, but the extreme oversold conditions offer an attractive risk/reward ratio for a short-term bounce.",
|
||||
"entry_price": 4.980000019073486,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "CRM",
|
||||
"rank": 9,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 77,
|
||||
"confidence": 7,
|
||||
"reason": "Salesforce is significantly oversold with an RSI of 21.9, a level that typically triggers institutional buy programs for mean reversion. The ML model predicts a win (53.2%), one of the highest in the cohort. While insider selling is a concern, the technical extension to the downside is extreme, making a snap-back rally highly probable in the next 1-7 days.",
|
||||
"entry_price": 194.02999877929688,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "APH",
|
||||
"rank": 10,
|
||||
"strategy_match": "insider_buying",
|
||||
"final_score": 75,
|
||||
"confidence": 7,
|
||||
"reason": "A Director purchased nearly $1.3 million in shares on Feb 5, signaling strong internal confidence despite the recent price correction. The stock is trading near the lower Bollinger Band, suggesting it is technically oversold. While the ML prediction is weak, the significant insider skin-in-the-game at these levels provides a fundamental floor and a catalyst for a reversal.",
|
||||
"entry_price": 144.1999969482422,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "RYAN",
|
||||
"rank": 11,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 72,
|
||||
"confidence": 7,
|
||||
"reason": "The ML model assigns a solid win probability to RYAN, and earnings are approaching in 3 days, which often drives a 'run-up' in price. Despite bearish technicals, the fundamental growth (110% earnings growth) supports a valuation floor. The trade is a tactical play on pre-earnings momentum and mean reversion from recent selling.",
|
||||
"entry_price": 43.779998779296875,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "AVXL",
|
||||
"rank": 12,
|
||||
"strategy_match": "earnings_calendar",
|
||||
"final_score": 70,
|
||||
"confidence": 6,
|
||||
"reason": "With earnings imminent (0 days) and a high short interest of 23.1%, AVXL is a volatility play. The stock is oversold on stochastics. If earnings surprise or provide positive guidance, the high short float could trigger an immediate squeeze. This is a high-risk, high-reward binary event trade supported by short squeeze mechanics.",
|
||||
"entry_price": 4.349999904632568,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "ASTS",
|
||||
"rank": 13,
|
||||
"strategy_match": "reddit_dd",
|
||||
"final_score": 68,
|
||||
"confidence": 6,
|
||||
"reason": "ASTS remains in a strong macro uptrend (above 50 SMA) and carries 18.5% short interest. It is a favorite among retail traders (Reddit DD), which can drive momentum independent of fundamentals. While MACD is bearish, the volatility and short positioning make it a prime candidate for a rapid momentum move if retail volume surges.",
|
||||
"entry_price": 102.12000274658203,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "TMC",
|
||||
"rank": 14,
|
||||
"strategy_match": "reddit_dd",
|
||||
"final_score": 67,
|
||||
"confidence": 6,
|
||||
"reason": "The stock has a narrative catalyst involving political tailwinds (Executive Orders) mentioned in recent diligence. Technically, it is oversold on stochastics. The volatility is high (ATR > 13%), which fits the criteria for >5% moves. The trade relies on news-driven momentum and speculative retail interest.",
|
||||
"entry_price": 6.639999866485596,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
},
|
||||
{
|
||||
"ticker": "OGN",
|
||||
"rank": 15,
|
||||
"strategy_match": "momentum",
|
||||
"final_score": 65,
|
||||
"confidence": 6,
|
||||
"reason": "Organon has earnings in 3 days and the ML model predicts a win (50.9%). The stock is in a general uptrend (above 50 SMA) but has seen recent selling, creating a 'buy the dip' opportunity before the earnings print. The 8% short interest adds a minor squeeze tailwind to any positive news.",
|
||||
"entry_price": 7.909999847412109,
|
||||
"discovery_date": "2026-02-09",
|
||||
"status": "open"
|
||||
}
|
||||
]
|
||||
}
|
||||
File diff suppressed because it is too large
Load Diff
|
|
@ -0,0 +1,401 @@
|
|||
{
|
||||
"total_recommendations": 170,
|
||||
"by_strategy": {
|
||||
"momentum": {
|
||||
"count": 33,
|
||||
"wins_1d": 18,
|
||||
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|
||||
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||||
"losses_7d": 0,
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||||
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||||
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||||
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||||
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|
||||
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|
||||
"win_rate_1d": 75.0
|
||||
},
|
||||
"insider_buying": {
|
||||
"count": 9,
|
||||
"wins_1d": 4,
|
||||
"losses_1d": 1,
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||||
"wins_7d": 2,
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||||
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|
||||
"wins_30d": 0,
|
||||
"losses_30d": 0,
|
||||
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|
||||
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|
||||
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|
||||
"win_rate_1d": 80.0,
|
||||
"win_rate_7d": 100.0
|
||||
},
|
||||
"options_flow": {
|
||||
"count": 5,
|
||||
"wins_1d": 5,
|
||||
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|
||||
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||||
"losses_7d": 0,
|
||||
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|
||||
"losses_30d": 0,
|
||||
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|
||||
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|
||||
"avg_return_30d": 0,
|
||||
"win_rate_1d": 100.0
|
||||
},
|
||||
"earnings_calendar": {
|
||||
"count": 3,
|
||||
"wins_1d": 1,
|
||||
"losses_1d": 2,
|
||||
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|
||||
"losses_7d": 0,
|
||||
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||||
"losses_30d": 0,
|
||||
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|
||||
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|
||||
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|
||||
"win_rate_1d": 33.3
|
||||
},
|
||||
"Momentum": {
|
||||
"count": 40,
|
||||
"wins_1d": 23,
|
||||
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|
||||
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|
||||
"losses_7d": 17,
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
"win_rate_1d": 57.5,
|
||||
"win_rate_7d": 57.5
|
||||
},
|
||||
"Insider Play": {
|
||||
"count": 13,
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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||||
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||||
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||||
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||||
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|
||||
"win_rate_1d": 61.5,
|
||||
"win_rate_7d": 61.5
|
||||
},
|
||||
"Contrarian Value": {
|
||||
"count": 6,
|
||||
"wins_1d": 3,
|
||||
"losses_1d": 3,
|
||||
"wins_7d": 3,
|
||||
"losses_7d": 3,
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
"win_rate_1d": 50.0,
|
||||
"win_rate_7d": 50.0
|
||||
},
|
||||
"Earnings Play": {
|
||||
"count": 3,
|
||||
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|
||||
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|
||||
"wins_7d": 1,
|
||||
"losses_7d": 2,
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
"win_rate_1d": 33.3,
|
||||
"win_rate_7d": 33.3
|
||||
},
|
||||
"News Catalyst": {
|
||||
"count": 1,
|
||||
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|
||||
"losses_1d": 1,
|
||||
"wins_7d": 0,
|
||||
"losses_7d": 1,
|
||||
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|
||||
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|
||||
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||||
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|
||||
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|
||||
"win_rate_1d": 0.0,
|
||||
"win_rate_7d": 0.0
|
||||
},
|
||||
"Volume Accumulation": {
|
||||
"count": 1,
|
||||
"wins_1d": 1,
|
||||
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|
||||
"wins_7d": 1,
|
||||
"losses_7d": 0,
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
"win_rate_1d": 100.0,
|
||||
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|
||||
},
|
||||
"short_squeeze": {
|
||||
"count": 7,
|
||||
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|
||||
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|
||||
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||||
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|
||||
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|
||||
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|
||||
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||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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||||
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|
||||
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|
||||
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|
||||
},
|
||||
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|
||||
"count": 7,
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
"analyst_upgrade": {
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
"social_hype": {
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
"win_rate_1d": 50.0,
|
||||
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|
||||
},
|
||||
"news_catalyst": {
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
"undiscovered_dd": {
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
"Momentum/Hype": {
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
"Momentum/Hype / Short Squeeze": {
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
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|
||||
},
|
||||
"oversold_reversal": {
|
||||
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|
||||
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|
||||
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|
||||
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||||
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"win_rate_1d": 0.0
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||||
},
|
||||
"earnings_reversal": {
|
||||
"count": 2,
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||||
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"avg_return_30d": 0,
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||||
"win_rate_1d": 50.0
|
||||
},
|
||||
"earnings_growth": {
|
||||
"count": 1,
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||||
"wins_1d": 1,
|
||||
"losses_1d": 0,
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||||
"wins_7d": 0,
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"avg_return_7d": 0,
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"win_rate_1d": 100.0
|
||||
},
|
||||
"reddit_dd": {
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||||
"count": 1,
|
||||
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|
||||
"losses_1d": 0,
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"avg_return_1d": 0,
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"avg_return_7d": 0,
|
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"avg_return_30d": 0
|
||||
},
|
||||
"reddit_trending": {
|
||||
"count": 1,
|
||||
"wins_1d": 0,
|
||||
"losses_1d": 0,
|
||||
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"avg_return_1d": 0,
|
||||
"avg_return_7d": 0,
|
||||
"avg_return_30d": 0
|
||||
}
|
||||
},
|
||||
"overall_1d": {
|
||||
"count": 155,
|
||||
"wins": 94,
|
||||
"avg_return": 1.37,
|
||||
"win_rate": 60.6
|
||||
},
|
||||
"overall_7d": {
|
||||
"count": 95,
|
||||
"wins": 55,
|
||||
"avg_return": 1.19,
|
||||
"win_rate": 57.9
|
||||
},
|
||||
"overall_30d": {
|
||||
"count": 0,
|
||||
"wins": 0,
|
||||
"avg_return": 0
|
||||
}
|
||||
}
|
||||
Loading…
Reference in New Issue