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 (4 issues)
Flat at -0.06%, catching its breath just above the 52-week low at 85.33 — RSI 24.4 with the 7-day at 16 is deep oversold, but price sits 17% below the 200-day at 104.7. The Street's 52.3% upside shows analysts haven't bailed, yet the knife hasn't hit the floor. Wait for consecutive stable closes. Sidelines.
Down 3.54% and off 20% on the week, kissing the 52-week low of 86.05 with RSI at a deeply oversold 24.4 below the 200-day. 14 analysts see 51% upside, but this knife is still falling—wait for a base.
Up 2.21% in a technical bounce with RSI still oversold at 30.8 after a 13.5% week, closing on the $92.15 low; auction-platform demand shows no stabilization. Sidelines.
Down 3.10% with RSI(7) deeply oversold at 16.8 after a 19.1% week, closing on the $92.28 low; auction-platform demand is softening with no stabilization signal. Sidelines.