chore: daily discovery 2026-04-15

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"llm_provider": "google",
"recommendations": [
{
"ticker": "SEE",
"ticker": "ACHC",
"rank": 1,
"company_name": "Sealed Air Corporation",
"description": "Sealed Air Corporation provides packaging solutions in the United States, Europe, the Middle East, Africa, and Asia Pacific.",
"strategy_match": "volume_divergence",
"pipeline": "volume_divergence",
"final_score": 75,
"company_name": "Acadia Healthcare Company, Inc.",
"description": "Acadia Healthcare Company, Inc. provides behavioral healthcare services in the United States and Puerto Rico.",
"strategy_match": "short_squeeze",
"pipeline": "short_squeeze",
"final_score": 85,
"confidence": 8,
"risk_level": "low",
"reason": "The primary edge is a strong OBV divergence signaling multi-week institutional accumulation, corroborated by a highly bullish options P/C ratio of 0.475. Timing is urgent as the stock is exhibiting extreme volatility contraction (Bollinger Bandwidth of 1.3%) while holding above the 50 SMA at $41.82, a classic precursor to an explosive breakout. The risk/reward profile is highly favorable with a tight structural stop-loss available, while a 10.3% short interest provides latent fuel for a potential squeeze. The key risk is the RSI at 69.8, indicating the stock is nearing overbought levels and must break out on strong volume to avoid immediate rejection.",
"entry_price": 42.15,
"risk_level": "moderate",
"reason": "This is a prime short squeeze setup featuring an extreme 42.1% short interest and 6.5 days to cover, a strategy boasting a historical 60.0% 7-day win rate. The stock is exhibiting momentum acceleration, breaking into a strong uptrend well above its 50-day SMA of $21.24 with rising on-balance volume. Options market sentiment strongly corroborates the technical breakout, marked by an unusually low 0.31 put/call volume ratio indicating heavy call accumulation. The primary risk is a broader market selloff or premature profit-taking ahead of their upcoming April 29th earnings report.",
"entry_price": 26.610000610351562,
"discovery_date": "2026-04-15",
"status": "open"
},
{
"ticker": "V",
"ticker": "ANAB",
"rank": 2,
"company_name": "Visa Inc.",
"description": "Visa Inc. operates as a payment technology company in the United States and internationally.",
"company_name": "AnaptysBio, Inc.",
"description": "AnaptysBio, Inc., a clinical-stage biotechnology company, focuses in delivering immunology therapeutics for autoimmune and inflammatory diseases in the United States.",
"strategy_match": "short_squeeze",
"pipeline": "short_squeeze",
"final_score": 82,
"confidence": 8,
"risk_level": "high",
"reason": "This setup combines a high squeeze potential (30.6% short interest, 9.8 days to cover) with a hard, impending catalyst: the April 20 spin-off of First Tracks Biotherapeutics. With the corporate action just 5 days away, shorts are heavily incentivized to cover to avoid corporate action liabilities, supported by a fresh MACD bullish crossover with a positive 0.816 histogram. The options flow further corroborates the bullish setup with a low 0.41 put/call volume ratio against a strong technical uptrend. However, the thesis carries risk due to recent insider selling of approximately $2.2M by the CEO and Director, alongside a high ATR of 6.0% demanding careful position sizing.",
"entry_price": 67.88999938964844,
"discovery_date": "2026-04-15",
"status": "open"
},
{
"ticker": "EQR",
"rank": 3,
"company_name": "Equity Residential",
"description": "Equity Residential owns and manages 312 rental properties consisting of 85,190 apartment units primarily in major U.S. coastal and high-growth metro areas.",
"strategy_match": "volume_divergence",
"pipeline": "volume_divergence",
"final_score": 68,
"confidence": 6,
"risk_level": "moderate",
"reason": "The setup offers a compelling accumulation edge, with OBV rising by 32.2% of average volume despite flat price action, backed by highly unusual ITM call buying where the 280 strike traded at 8.92x open interest. The timing is supported by a fresh MACD bullish crossover and price action pushing against the upper Bollinger Band. This creates an attractive risk/reward scenario anchored by elite fundamentals (54.0% ROE, 7.33 Altman Z-Score) as it attempts a trend reversal. The primary risk is technical overhead, as the broader trend remains bearish and failure to decisively reclaim the 50 SMA at $312.96 would invalidate the upside thesis.",
"entry_price": 312.67999267578125,
"final_score": 75,
"confidence": 7,
"risk_level": "low",
"reason": "The stock presents a robust quantitative volume divergence signal, with OBV running +22.1% above average volume while the price remained flat (+1.8%), indicating covert multi-week institutional accumulation. Technical indicators are aligning favorably right now, characterized by a fresh MACD bullish crossover and the price holding firmly above its 20-day EMA and VWAP. Unusually high volume on deep ITM options, specifically 751 volume on $50 strike calls against an OI of just 2, alongside a low volatility profile (ATR 1.9%) offers an attractive low-risk entry. As a REIT, the primary risk is macroeconomic interest rate sensitivity which could unexpectedly compress valuation multiples despite the technical breakout.",
"entry_price": 61.290000915527344,
"discovery_date": "2026-04-15",
"status": "open"
}

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{
"trade_date": "2026-04-15",
"tickers": [
"RVMD",
"CAR",
"ORCL",
"HOLX",
"EXAS",
"PAYC",
"CINF",
"NI",
"CMCSA",
"AVB",
"CTRA",
"EA",
"EQR",
"DTST",
"KOPN",
"CCEL",
"ANGO",
"GIPR",
"PXED",
"BEEM",
"RPM",
"ARAI",
"NEOG",
"FAT",
"CARM",
"GRDX",
"MTB",
"OLOX",
"BPTH",
"HOMB",
"TRAW",
"CLSD",
"LFLY",
"INTU",
"COIN",
"NVDA",
"IRDM",
"AME",
"CTAS",
"ETN",
"CAMP",
"JBL",
"DIOD",
"SMC",
"LW",
"SG",
"HTO",
"RPAY",
"BETR",
"GF",
"MNR",
"ACET",
"CHPT",
"WKSP",
"CNXC",
"SVBL",
"FROPX",
"FRBBX",
"SWZ",
"ABX",
"ACHC",
"AI",
"ARCT",
"ANAB",
"RIME",
"AR"
],
"filtered_tickers": [
"RPM",
"ABX",
"ACHC",
"ANAB",
"CTRA",
"AME",
"CTAS",
"ETN",
"AR",
"EA",
"EQR"
],
"final_ranking": [
{
"rank": 1,
"ticker": "ACHC",
"company_name": "Acadia Healthcare Company, Inc.",
"current_price": 26.610000610351562,
"strategy_match": "short_squeeze",
"final_score": 85,
"confidence": 8,
"risk_level": "moderate",
"reason": "This is a prime short squeeze setup featuring an extreme 42.1% short interest and 6.5 days to cover, a strategy boasting a historical 60.0% 7-day win rate. The stock is exhibiting momentum acceleration, breaking into a strong uptrend well above its 50-day SMA of $21.24 with rising on-balance volume. Options market sentiment strongly corroborates the technical breakout, marked by an unusually low 0.31 put/call volume ratio indicating heavy call accumulation. The primary risk is a broader market selloff or premature profit-taking ahead of their upcoming April 29th earnings report.",
"description": "Acadia Healthcare Company, Inc. provides behavioral healthcare services in the United States and Puerto Rico."
},
{
"rank": 2,
"ticker": "ANAB",
"company_name": "AnaptysBio, Inc.",
"current_price": 67.88999938964844,
"strategy_match": "short_squeeze",
"final_score": 82,
"confidence": 8,
"risk_level": "high",
"reason": "This setup combines a high squeeze potential (30.6% short interest, 9.8 days to cover) with a hard, impending catalyst: the April 20 spin-off of First Tracks Biotherapeutics. With the corporate action just 5 days away, shorts are heavily incentivized to cover to avoid corporate action liabilities, supported by a fresh MACD bullish crossover with a positive 0.816 histogram. The options flow further corroborates the bullish setup with a low 0.41 put/call volume ratio against a strong technical uptrend. However, the thesis carries risk due to recent insider selling of approximately $2.2M by the CEO and Director, alongside a high ATR of 6.0% demanding careful position sizing.",
"description": "AnaptysBio, Inc., a clinical-stage biotechnology company, focuses in delivering immunology therapeutics for autoimmune and inflammatory diseases in the United States."
},
{
"rank": 3,
"ticker": "EQR",
"company_name": "Equity Residential",
"current_price": 61.290000915527344,
"strategy_match": "volume_divergence",
"final_score": 75,
"confidence": 7,
"risk_level": "low",
"reason": "The stock presents a robust quantitative volume divergence signal, with OBV running +22.1% above average volume while the price remained flat (+1.8%), indicating covert multi-week institutional accumulation. Technical indicators are aligning favorably right now, characterized by a fresh MACD bullish crossover and the price holding firmly above its 20-day EMA and VWAP. Unusually high volume on deep ITM options, specifically 751 volume on $50 strike calls against an OI of just 2, alongside a low volatility profile (ATR 1.9%) offers an attractive low-risk entry. As a REIT, the primary risk is macroeconomic interest rate sensitivity which could unexpectedly compress valuation multiples despite the technical breakout.",
"description": "Equity Residential owns and manages 312 rental properties consisting of 85,190 apartment units primarily in major U.S. coastal and high-growth metro areas."
}
],
"status": "ranked"
}

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# Discovery Analysis - 2026-04-15
**LLM Provider**: GOOGLE
**Models**: Shallow=gemini-2.5-flash-lite, Deep=gemini-3-pro-preview
## Top Investment Opportunities
### #1: ACHC
**Company:** Acadia Healthcare Company, Inc.
**Current Price:** $26.61
**Strategy:** short_squeeze
**Score:** 85 | **Confidence:** 8/10 | **Risk:** Moderate
**Description:**
> Acadia Healthcare Company, Inc. provides behavioral healthcare services in the United States and Puerto Rico.
**Investment Thesis:**
This is a prime short squeeze setup featuring an extreme 42.1% short interest and 6.5 days to cover, a strategy boasting a historical 60.0% 7-day win rate.
The stock is exhibiting momentum acceleration, breaking into a strong uptrend well above its 50-day SMA of $21.24 with rising on-balance volume.
Options market sentiment strongly corroborates the technical breakout, marked by an unusually low 0.31 put/call volume ratio indicating heavy call accumulation.
The primary risk is a broader market selloff or premature profit-taking ahead of their upcoming April 29th earnings report.
---
### #2: ANAB
**Company:** AnaptysBio, Inc.
**Current Price:** $67.89
**Strategy:** short_squeeze
**Score:** 82 | **Confidence:** 8/10 | **Risk:** High
**Description:**
> AnaptysBio, Inc., a clinical-stage biotechnology company, focuses in delivering immunology therapeutics for autoimmune and inflammatory diseases in the United States.
**Investment Thesis:**
This setup combines a high squeeze potential (30.6% short interest, 9.8 days to cover) with a hard, impending catalyst: the April 20 spin-off of First Tracks Biotherapeutics.
With the corporate action just 5 days away, shorts are heavily incentivized to cover to avoid corporate action liabilities, supported by a fresh MACD bullish crossover with a positive 0.816 histogram.
The options flow further corroborates the bullish setup with a low 0.41 put/call volume ratio against a strong technical uptrend.
However, the thesis carries risk due to recent insider selling of approximately $2.2M by the CEO and Director, alongside a high ATR of 6.0% demanding careful position sizing.
---
### #3: EQR
**Company:** Equity Residential
**Current Price:** $61.29
**Strategy:** volume_divergence
**Score:** 75 | **Confidence:** 7/10 | **Risk:** Low
**Description:**
> Equity Residential owns and manages 312 rental properties consisting of 85,190 apartment units primarily in major U.S. coastal and high-growth metro areas.
**Investment Thesis:**
The stock presents a robust quantitative volume divergence signal, with OBV running +22.1% above average volume while the price remained flat (+1.8%), indicating covert multi-week institutional accumulation.
Technical indicators are aligning favorably right now, characterized by a fresh MACD bullish crossover and the price holding firmly above its 20-day EMA and VWAP.
Unusually high volume on deep ITM options, specifically 751 volume on $50 strike calls against an OI of just 2, alongside a low volatility profile (ATR 1.9%) offers an attractive low-risk entry.
As a REIT, the primary risk is macroeconomic interest rate sensitivity which could unexpectedly compress valuation multiples despite the technical breakout.
---
## All Candidates Analyzed
Total candidates analyzed: 3
- **ACHC** (short_squeeze)
- **ANAB** (short_squeeze)
- **EQR** (volume_divergence)

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