These examples illustrate the type of output StocKnoWhere is designed to produce. They are sample research artifacts, not live market calls, investment advice, or recommendations.
Setup: Price is holding above short-term trend support while momentum remains constructive. Bullish case: A VWAP reclaim with expanding volume would support continuation research. Bearish case: Failure near prior resistance would make the setup vulnerable to mean reversion. Risk note: Confirm whether broader market semiconductors are aligned before treating the move as isolated strength.
Drivers: MACD expansion, price strength, and elevated volume. Interpretation: worth reviewing for continuation, but the chart still needs confirmation around resistance.
Drivers: price extended from VWAP and short-term volatility increased. Interpretation: unusual movement, not automatically bullish or bearish.
Drivers: volume changed but trend alignment is incomplete. Interpretation: monitor, but avoid overreading the score without stronger confirmation.
The portfolio is concentrated in large-cap technology and semiconductor exposure. Several holdings may respond to the same macro and earnings-cycle risks. No single symbol should be evaluated in isolation; review overlap, position sizing, and event timing before changing exposure.
A good output should make the next research step clearer. It should help a user decide what to inspect, what to verify, and what risk might be easy to miss. It should not replace independent judgment or turn a score into a trading command.
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