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)
Down 0.4% within 3% of the 52-week high, but the Street's $186.6 average target now sits below price and the 2.09 rating is the coldest on our book. The +39% YTD meat has been eaten—booking profits and stepping aside.
Up 1.89% on 1.56x volume to close at the sill of the 52-week high at 191.6, +39.9% YTD and above every moving average; the thorns are a hot 7-day RSI of 79 and 17 analysts' $186.6 target already left behind — following the breakout with a stop referenced at the 20-day of 183.5