Methodology: each issue's direction is a live signal — long/short opens or holds a position, neutral means flat, and every direction change opens, flips, or closes it. Returns are direction-aware (a short gains when the price falls) and compound across positions from first observation to the latest issue. "Price move" is the stock's own raw change, shown separately. Neither represents actual portfolio performance.
Brief History (2 issues)
A 14.24% earnings gap-up: revenue +31% and traffic +5.3% both beat, reclaiming the 20-day, with 29 analysts seeing 27.9% upside. Still capped by the 50- and 200-day at a 124x P/E though—we were flat yesterday and won't chase a one-day candle; waiting for a retest.
Down 1.25% with RSI at 35.4 nearing oversold, below every average and 38.4% off its high; Q2 beat on both lines, but 116.8x leaves minimal room for error. Twenty-nine analysts at 52.6% upside — wait for a base.