Today outlook is classified High Risk / Weak Setup. This is offset by the prior 20-day trend is unsupportive. Risk is assessed as High because volatility sharply elevated, deep drawdown from recent high, data is older than expected (747 min since last update).
1-Week outlook is classified High Risk / Weak Setup. This is offset by the asset trades below its 20-day moving average, MACD is weakening. Risk is assessed as High because volatility sharply elevated, deep drawdown from recent high, data is older than expected (1947 min since last update).
1-Month outlook is classified High Risk / Weak Setup because volume participation is rising. This is offset by its 20- and 50-day moving averages are aligned downward, momentum is negative. Risk is assessed as High because volatility sharply elevated, deep drawdown from recent high, data is older than expected (1947 min since last update).
3-Month outlook is classified High Risk / Weak Setup because the medium-term trend (50/200-day) is constructive. This is offset by momentum is negative, it is underperforming its peer group. Risk is assessed as High because volatility sharply elevated, deep drawdown from recent high, data is older than expected (1947 min since last update).
Only one scan recorded so far — history builds up as scheduled scans accumulate over time.