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 0.7% on thin volume (RVOL 0.62), RSI 31.5 kissing oversold with the 7-day at 22.5 — but the 200-day at 61.6 sits just 2.4% below and the long-term trend is intact. A 3.9% yield plus 15.1% Street upside makes 61.6 the dip-buy line; below it, step away. Sidelines for now.
Down 1.05% with RSI at 30.5 and RSI(7) at 18.6 deeply oversold, below the 50-day at $67.98 while holding above the 200-day at $61.38, pressured alongside ENB in pipelines. Sidelines.