As of 11/21/2024
  Indus: 43,870 +461.88 +1.1%  
  Trans: 17,172 +169.53 +1.0%  
  Utils: 1,076 +20.58 +2.0%  
  Nasdaq: 18,972 +6.28 +0.0%  
  S&P 500: 5,949 +31.60 +0.5%  
YTD
 +16.4%  
 +8.0%  
 +22.0%  
 +26.4%  
 +24.7%  
  Targets    Overview: 11/12/2024  
  Up arrow46,000 or 43,000 by 12/01/2024
  Up arrow18,000 or 16,600 by 12/01/2024
  Up arrow1,200 or 1,000 by 12/01/2024
  Up arrow20,000 or 18,400 by 12/01/2024
  Up arrow6,100 or 5,800 by 12/01/2024
As of 11/21/2024
  Indus: 43,870 +461.88 +1.1%  
  Trans: 17,172 +169.53 +1.0%  
  Utils: 1,076 +20.58 +2.0%  
  Nasdaq: 18,972 +6.28 +0.0%  
  S&P 500: 5,949 +31.60 +0.5%  
YTD
 +16.4%  
 +8.0%  
 +22.0%  
 +26.4%  
 +24.7%  
  Targets    Overview: 11/12/2024  
  Up arrow46,000 or 43,000 by 12/01/2024
  Up arrow18,000 or 16,600 by 12/01/2024
  Up arrow1,200 or 1,000 by 12/01/2024
  Up arrow20,000 or 18,400 by 12/01/2024
  Up arrow6,100 or 5,800 by 12/01/2024

Patterns for the Weekend Details

Copyright © 2023 by Thomas Bulkowski and ThePatternSite.com. All rights reserved.

 

Weekly screen for chart patterns found in the last week. Many may be still in development. If no securities appear, then I have not identified any new patterns.

Definitions
RS is relative strength (where 1 is best). For other definitions, see the glossary.
'Breakout is upward/downward 100% of the time' means price breaks out up/down by definition, not by statistically measuring the rate.
All numbers assume a bull market and are based on the breakout direction that occurs most often.
For more information, consult my book, Encyclopedia of Chart Patterns.
 
Alteryx, Inc (AYX)
Industry: Computer Software and Svcs
Industry RS rank: 7 out of 60
Stock RS rank: 300 out of 626
6/1/23 close: $43.05
1 Month avg volatility: $1.66. Volatility stop (for upward breakout): $37.53 or 12.8% below the close.
Change YTD: -15.04%
Volume: 5,630,700 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple bottom reversal pattern from 05/03/2023 to 05/26/2023
WARNING: A dead-cat bounce occurred on 04/28/2023. There is a 26% chance that a 15% or higher decline will occur (or has occurred since then) by 07/28/2023 and a 38% chance by 10/27/2023.
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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Amdocs Limited (DOX)
Industry: IT Services
Industry RS rank: 15 out of 60
Stock RS rank: 167 out of 626
6/1/23 close: $94.53
1 Month avg volatility: $1.54. Volatility stop (for upward breakout): $91.41 or 3.3% below the close.
Change YTD: 3.99%
Volume: 779,300 shares. 3 month avg: 895,243 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Broadening top, right-angled and descending continuation pattern from 02/01/2023 to 05/26/2023
Breakout is upward 51% of the time.
Average rise: 28%.
Break-even failure rate: 19%.
Throwbacks occur 52% of the time.
Price hits measure rule target 63% of the time.

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American Express Co (AXP)
Industry: Financial Services
Industry RS rank: 25 out of 60
Stock RS rank: 207 out of 626
6/1/23 close: $162.72
1 Month avg volatility: $3.31. Volatility stop (for upward breakout): $151.62 or 6.8% below the close.
Change YTD: 10.13%
Volume: 4,076,000 shares. 3 month avg: 3,419,958 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Head-and-shoulders bottom reversal pattern from 05/04/2023 to 05/25/2023
Breakout is upward 100% of the time.
Average rise: 38%.
Break-even failure rate: 3%.
Throwbacks occur 45% of the time.
Price hits measure rule target 74% of the time.

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Amphenol Corp (APH)
Industry: Electronics
Industry RS rank: 9 out of 60
Stock RS rank: 331 out of 626
6/1/23 close: $75.82
1 Month avg volatility: $1.25. Volatility stop (for upward breakout): $71.97 or 5.1% below the close.
Change YTD: -0.42%
Volume: 3,418,900 shares. 3 month avg: 1,207,969 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Double Bottom, Adam and Adam reversal pattern from 04/26/2023 to 05/24/2023
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 5%.
Throwbacks occur 64% of the time.
Price hits measure rule target 66% of the time.

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Antero Resources Corp (AR)
Industry: Natural Gas (Diversified)
Industry RS rank: 59 out of 60
Stock RS rank: 616 out of 626
6/1/23 close: $20.16
1 Month avg volatility: $0.87. Volatility stop (for downward breakout): $22.47 or 11.5% above the close.
Change YTD: -34.95%
Volume: 4,453,500 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Pipe top reversal pattern from 05/15/2023 to 05/15/2023
Breakout is downward 100% of the time.
Average decline: 20%.
Break-even failure rate: 11%.
Pullbacks occur 41% of the time.
Price hits measure rule target 70% of the time.

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Arista Networks Inc (ANET)
Industry: E-Commerce
Industry RS rank: 3 out of 60
Stock RS rank: 81 out of 626
6/1/23 close: $166.68
1 Month avg volatility: $4.82. Volatility stop (for upward breakout): $155.08 or 7.0% below the close.
Change YTD: 37.35%
Volume: 3,619,900 shares. 3 month avg: 2,258,017 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Horn bottom reversal pattern from 05/01/2023 to 05/15/2023
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 9%.
Throwbacks occur 29% of the time.
Price hits measure rule target 76% of the time.

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Big Lots Inc. (BIG)
Industry: Retail Store
Industry RS rank: 48 out of 60
Stock RS rank: 626 out of 626
6/1/23 close: $4.87
1 Month avg volatility: $0.53. Volatility stop (for downward breakout): $6.20 or 27.3% above the close.
Change YTD: -66.87%
Volume: 3,740,500 shares. 3 month avg: 984,457 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Monday.
 
Chart pattern: Dead-cat bounce continuation pattern from 05/26/2023 to 05/26/2023
Breakout is downward 67% of the time.
Average decline: 18%.

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Boeing Company, The (BA)
Industry: Aerospace/Defense
Industry RS rank: 30 out of 60
Stock RS rank: 99 out of 626
6/1/23 close: $207.96
1 Month avg volatility: $4.47. Volatility stop (for upward breakout): $197.06 or 5.2% below the close.
Change YTD: 9.17%
Volume: 5,094,100 shares. 3 month avg: 3,332,308 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Head-and-shoulders bottom reversal pattern from 04/14/2023 to 05/25/2023
Breakout is upward 100% of the time.
Average rise: 38%.
Break-even failure rate: 3%.
Throwbacks occur 45% of the time.
Price hits measure rule target 74% of the time.

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Booking Holdings (BKNG)
Industry: Internet
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 4 out of 60
Stock RS rank: 66 out of 626
6/1/23 close: $2,550.00
1 Month avg volatility: $63.80. Volatility stop (for downward breakout): $2,695.81 or 5.7% above the close.
Change YTD: 26.53%
Volume: 318,000 shares. 3 month avg: 441,478 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Pipe top reversal pattern from 05/15/2023 to 05/22/2023
Breakout is downward 100% of the time.
Average decline: 20%.
Break-even failure rate: 11%.
Pullbacks occur 41% of the time.
Price hits measure rule target 70% of the time.

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Bunge Ltd (BG)
Industry: Food Processing
Industry RS rank: 33 out of 60
Stock RS rank: 444 out of 626
6/1/23 close: $91.02
1 Month avg volatility: $2.59. Volatility stop (for upward breakout): $85.65 or 5.9% below the close.
Change YTD: -8.77%
Volume: 1,180,900 shares. 3 month avg: 1,268,517 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Double Bottom, Adam and Adam reversal pattern from 05/09/2023 to 05/18/2023
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 5%.
Throwbacks occur 64% of the time.
Price hits measure rule target 66% of the time.

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Cadence Design Systems Inc (CDNS)
Industry: Computer Software and Svcs
Industry RS rank: 7 out of 60
Stock RS rank: 28 out of 626
6/1/23 close: $232.39
1 Month avg volatility: $5.07. Volatility stop (for upward breakout): $217.50 or 6.4% below the close.
Change YTD: 44.67%
Volume: 1,962,400 shares. 3 month avg: 2,769,531 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Three Rising Valleys reversal pattern from 04/25/2023 to 05/24/2023
Breakout is upward 100% of the time.
Average rise: 41%.
Break-even failure rate: 5%.
Throwbacks occur 60% of the time.
Price hits measure rule target 58% of the time.

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Centene Corp (CNC)
Industry: Medical Services
Industry RS rank: 47 out of 60
Stock RS rank: 560 out of 626
6/1/23 close: $64.94
1 Month avg volatility: $1.43. Volatility stop (for downward breakout): $68.40 or 5.3% above the close.
Change YTD: -20.81%
Volume: 3,841,600 shares. 3 month avg: 1,816,006 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Head-and-shoulders top reversal pattern from 04/14/2023 to 04/28/2023
Breakout is downward 100% of the time.
Average decline: 22%.
Break-even failure rate: 4%.
Pullbacks occur 50% of the time.
Price hits measure rule target 55% of the time.

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Cisco Systems, Inc. (CSCO)
Industry: Computers and Peripherals
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 18 out of 60
Stock RS rank: 237 out of 626
6/1/23 close: $49.74
1 Month avg volatility: $0.79. Volatility stop (for upward breakout): $47.67 or 4.2% below the close.
Change YTD: 4.41%
Volume: 17,787,800 shares. 3 month avg: 19,682,477 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Monday.
 
Chart pattern: Triple bottom reversal pattern from 04/27/2023 to 05/18/2023
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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Colgate-Palmolive Co (CL)
Industry: Household Products
Industry RS rank: 27 out of 60
Stock RS rank: 287 out of 626
6/1/23 close: $74.90
1 Month avg volatility: $0.96. Volatility stop (for downward breakout): $77.18 or 3.1% above the close.
Change YTD: -4.94%
Volume: 4,694,700 shares. 3 month avg: 3,441,685 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Double Top, Adam and Adam reversal pattern from 05/04/2023 to 05/12/2023
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 8%.
Pullbacks occur 61% of the time.
Price hits measure rule target 72% of the time.

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EZCorp Inc (EZPW)
Industry: Financial Services
Industry RS rank: 25 out of 60
Stock RS rank: 492 out of 626
6/1/23 close: $8.29
1 Month avg volatility: $0.26. Volatility stop (for downward breakout): $8.98 or 8.4% above the close.
Change YTD: 1.72%
Volume: 518,800 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Monday.
 
Chart pattern: Pipe top reversal pattern from 05/01/2023 to 05/08/2023
WARNING: A dead-cat bounce occurred on 12/07/2022. There is a 38% chance that a 15% or higher decline will occur (or has occurred since then) by 06/07/2023.
Breakout is downward 100% of the time.
Average decline: 20%.
Break-even failure rate: 11%.
Pullbacks occur 41% of the time.
Price hits measure rule target 70% of the time.

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Globalfoundries Inc (GFS)
Industry: Semiconductor
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 2 out of 60
Stock RS rank: 364 out of 626
6/1/23 close: $59.35
1 Month avg volatility: $1.69. Volatility stop (for upward breakout): $53.98 or 9.0% below the close.
Change YTD: 10.13%
Volume: 1,520,100 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Pipe bottom reversal pattern from 05/08/2023 to 05/15/2023
Breakout is upward 100% of the time.
Average rise: 45%.
Break-even failure rate: 5%.
Throwbacks occur 44% of the time.
Price hits measure rule target 83% of the time.

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Heartland Express, Inc (HTLD)
Industry: Trucking/Transp. Leasing
Industry RS rank: 28 out of 60
Stock RS rank: 332 out of 626
6/1/23 close: $15.78
1 Month avg volatility: $0.35. Volatility stop (for upward breakout): $14.71 or 6.8% below the close.
Change YTD: 2.87%
Volume: 172,900 shares. 3 month avg: 472,148 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Pipe bottom reversal pattern from 04/24/2023 to 05/01/2023
Breakout is upward 100% of the time.
Average rise: 45%.
Break-even failure rate: 5%.
Throwbacks occur 44% of the time.
Price hits measure rule target 83% of the time.

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Honeywell International Inc (HON)
Industry: Aerospace/Defense
Industry RS rank: 30 out of 60
Stock RS rank: 425 out of 626
6/1/23 close: $193.86
1 Month avg volatility: $3.29. Volatility stop (for downward breakout): $200.88 or 3.6% above the close.
Change YTD: -9.54%
Volume: 1,888,800 shares. 3 month avg: 2,744,942 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Head-and-shoulders top reversal pattern from 04/18/2023 to 05/19/2023
Breakout is downward 100% of the time.
Average decline: 22%.
Break-even failure rate: 4%.
Pullbacks occur 50% of the time.
Price hits measure rule target 55% of the time.

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Howmet Aerospace Inc (HWM)
Industry: Aerospace/Defense
Industry RS rank: 30 out of 60
Stock RS rank: 102 out of 626
6/1/23 close: $43.73
1 Month avg volatility: $0.89. Volatility stop (for downward breakout): $45.82 or 4.8% above the close.
Change YTD: 10.96%
Volume: 3,438,700 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple top reversal pattern from 05/02/2023 to 05/19/2023
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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Illinois Tool Works Inc. (ITW)
Industry: Metal Fabricating
Industry RS rank: 40 out of 60
Stock RS rank: 272 out of 626
6/1/23 close: $221.98
1 Month avg volatility: $4.32. Volatility stop (for downward breakout): $230.66 or 3.9% above the close.
Change YTD: 0.76%
Volume: 1,131,600 shares. 3 month avg: 1,083,738 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple top reversal pattern from 02/02/2023 to 05/01/2023
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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Insulet Corporation (PODD)
Industry: Medical Supplies
Industry RS rank: 22 out of 60
Stock RS rank: 384 out of 626
6/1/23 close: $272.48
1 Month avg volatility: $8.76. Volatility stop (for downward breakout): $292.08 or 7.2% above the close.
Change YTD: -7.44%
Volume: 572,300 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Head-and-shoulders top reversal pattern from 04/20/2023 to 05/15/2023
Breakout is downward 100% of the time.
Average decline: 22%.
Break-even failure rate: 4%.
Pullbacks occur 50% of the time.
Price hits measure rule target 55% of the time.

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Jack Henry and Associates (JKHY)
Industry: IT Services
Industry RS rank: 15 out of 60
Stock RS rank: 521 out of 626
6/1/23 close: $151.17
1 Month avg volatility: $4.15. Volatility stop (for upward breakout): $141.97 or 6.1% below the close.
Change YTD: -13.89%
Volume: 699,800 shares. 3 month avg: 543,437 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Double Bottom, Eve and Eve reversal pattern from 05/18/2023 to 05/25/2023
Breakout is upward 100% of the time.
Average rise: 40%.
Break-even failure rate: 4%.
Throwbacks occur 55% of the time.
Price hits measure rule target 67% of the time.

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Kelly Services A (KELYA)
Industry: Human Resources
Industry RS rank: 54 out of 60
Stock RS rank: 184 out of 626
6/1/23 close: $17.82
1 Month avg volatility: $0.55. Volatility stop (for downward breakout): $19.01 or 6.7% above the close.
Change YTD: 5.44%
Volume: 201,000 shares. 3 month avg: 173,600 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Pipe top reversal pattern from 05/15/2023 to 05/22/2023
Breakout is downward 100% of the time.
Average decline: 20%.
Break-even failure rate: 11%.
Pullbacks occur 41% of the time.
Price hits measure rule target 70% of the time.

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Masco Corp. (MAS)
Industry: Building Materials
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 38 out of 60
Stock RS rank: 288 out of 626
6/1/23 close: $49.06
1 Month avg volatility: $1.14. Volatility stop (for downward breakout): $51.40 or 4.8% above the close.
Change YTD: 5.12%
Volume: 1,441,300 shares. 3 month avg: 2,351,771 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Three Falling Peaks reversal pattern from 04/26/2023 to 05/10/2023
Breakout is downward 100% of the time.
Average decline: 17%.
Break-even failure rate: 12%.
Pullbacks occur 59% of the time.
Price hits measure rule target 33% of the time.

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New Relic Inc (NEWR)
Industry: E-Commerce
Industry RS rank: 3 out of 60
Stock RS rank: 62 out of 626
6/1/23 close: $69.34
1 Month avg volatility: $2.99. Volatility stop (for downward breakout): $76.25 or 10.0% above the close.
Change YTD: 22.83%
Volume: 750,900 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Pipe top reversal pattern from 05/15/2023 to 05/22/2023
Breakout is downward 100% of the time.
Average decline: 20%.
Break-even failure rate: 11%.
Pullbacks occur 41% of the time.
Price hits measure rule target 70% of the time.

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Old Republic International Corp (ORI)
Industry: Insurance (Prop/Casualty)
Industry RS rank: 41 out of 60
Stock RS rank: 248 out of 626
6/1/23 close: $24.27
1 Month avg volatility: $0.37. Volatility stop (for downward breakout): $25.41 or 4.7% above the close.
Change YTD: 0.50%
Volume: 1,523,000 shares. 3 month avg: 1,253,378 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Double Top, Eve and Eve reversal pattern from 05/01/2023 to 05/19/2023
Breakout is downward 100% of the time.
Average decline: 18%.
Break-even failure rate: 11%.
Pullbacks occur 59% of the time.
Price hits measure rule target 73% of the time.

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Rollins Inc (ROL)
Industry: Industrial Services
Industry RS rank: 20 out of 60
Stock RS rank: 245 out of 626
6/1/23 close: $40.22
1 Month avg volatility: $0.61. Volatility stop (for downward breakout): $41.51 or 3.2% above the close.
Change YTD: 10.07%
Volume: 1,874,700 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Double Top, Adam and Adam reversal pattern from 04/28/2023 to 05/12/2023
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 8%.
Pullbacks occur 61% of the time.
Price hits measure rule target 72% of the time.

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SAIA Inc (SAIA)
Industry: Trucking/Transp. Leasing
Industry RS rank: 28 out of 60
Stock RS rank: 84 out of 626
6/1/23 close: $290.95
1 Month avg volatility: $8.89. Volatility stop (for upward breakout): $266.21 or 8.5% below the close.
Change YTD: 38.76%
Volume: 264,900 shares. 3 month avg: 163,825 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Double Bottom, Adam and Adam reversal pattern from 05/16/2023 to 05/24/2023
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 5%.
Throwbacks occur 64% of the time.
Price hits measure rule target 66% of the time.

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Sally Beauty (SBH)
Industry: Toiletries/Cosmetics
Industry RS rank: 34 out of 60
Stock RS rank: 296 out of 626
6/1/23 close: $11.31
1 Month avg volatility: $0.54. Volatility stop (for downward breakout): $12.51 or 10.6% above the close.
Change YTD: -9.66%
Volume: 1,766,400 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Roof reversal pattern from 05/10/2023 to 06/01/2023
Breakout is downward 84% of the time.
Average decline: 16%.
Break-even failure rate: 13%.
Pullbacks occur 56% of the time.
Price hits measure rule target 68% of the time.

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Skechers USA Inc (SKX)
Industry: Shoe
Industry RS rank: 11 out of 60
Stock RS rank: 83 out of 626
6/1/23 close: $50.44
1 Month avg volatility: $1.17. Volatility stop (for downward breakout): $53.53 or 6.1% above the close.
Change YTD: 20.24%
Volume: 1,355,600 shares. 3 month avg: 3,234,920 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Double Top, Eve and Eve reversal pattern from 05/01/2023 to 05/15/2023
Breakout is downward 100% of the time.
Average decline: 18%.
Break-even failure rate: 11%.
Pullbacks occur 59% of the time.
Price hits measure rule target 73% of the time.

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Standex International Corp (SXI)
Industry: Diversified Co.
Industry RS rank: 24 out of 60
Stock RS rank: 34 out of 626
6/1/23 close: $139.08
1 Month avg volatility: $3.20. Volatility stop (for downward breakout): $146.03 or 5.0% above the close.
Change YTD: 35.81%
Volume: 55,300 shares. 3 month avg: 37,109 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Head-and-shoulders top reversal pattern from 05/12/2023 to 05/30/2023
Breakout is downward 100% of the time.
Average decline: 22%.
Break-even failure rate: 4%.
Pullbacks occur 50% of the time.
Price hits measure rule target 55% of the time.

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The Trade Desk (TTD)
Industry: Advertising
Industry RS rank: 10 out of 60
Stock RS rank: 21 out of 626
6/1/23 close: $73.26
1 Month avg volatility: $2.41. Volatility stop (for upward breakout): $65.02 or 11.3% below the close.
Change YTD: 63.42%
Volume: 4,479,900 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Friday.
 
Chart pattern: Three Rising Valleys reversal pattern from 04/06/2023 to 05/11/2023
Breakout is upward 100% of the time.
Average rise: 41%.
Break-even failure rate: 5%.
Throwbacks occur 60% of the time.
Price hits measure rule target 58% of the time.

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Tractor Supply Co (TSCO)
Industry: Retail Building Supply
Industry RS rank: 12 out of 60
Stock RS rank: 383 out of 626
6/1/23 close: $206.32
1 Month avg volatility: $5.35. Volatility stop (for downward breakout): $221.69 or 7.5% above the close.
Change YTD: -8.29%
Volume: 1,912,800 shares. 3 month avg: 2,128,008 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Monday.
 
Chart pattern: Head-and-shoulders complex top reversal pattern from 04/03/2023 to 05/11/2023
Breakout is downward 100% of the time.
Average decline: 23%.
Break-even failure rate: 4%.
Pullbacks occur 67% of the time.
Price hits measure rule target 53% of the time.

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U.S Silica Holdings Inc (SLCA)
Industry: Metals and Mining (Div.)
Industry RS rank: 14 out of 60
Stock RS rank: 405 out of 626
6/1/23 close: $11.76
1 Month avg volatility: $0.47. Volatility stop (for downward breakout): $12.71 or 8.1% above the close.
Change YTD: -5.92%
Volume: 725,100 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 04/28/2023 to 05/23/2023
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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Wal-Mart Stores Inc. (WMT)
Industry: Retail Store
Industry RS rank: 48 out of 60
Stock RS rank: 286 out of 626
6/1/23 close: $147.41
1 Month avg volatility: $2.05. Volatility stop (for downward breakout): $151.99 or 3.1% above the close.
Change YTD: 3.96%
Volume: 6,705,300 shares. 3 month avg: 6,204,140 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Double Top, Adam and Eve reversal pattern from 04/25/2023 to 05/10/2023
Breakout is downward 100% of the time.
Average decline: 18%.
Break-even failure rate: 14%.
Pullbacks occur 59% of the time.
Price hits measure rule target 69% of the time.

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Western Union Co (WU)
Industry: Financial Services
Industry RS rank: 25 out of 60
Stock RS rank: 528 out of 626
6/1/23 close: $11.54
1 Month avg volatility: $0.36. Volatility stop (for downward breakout): $12.36 or 7.1% above the close.
Change YTD: -16.19%
Volume: 3,967,600 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Monday.
 
Chart pattern: Double Top, Eve and Eve reversal pattern from 05/08/2023 to 05/18/2023
Breakout is downward 100% of the time.
Average decline: 18%.
Break-even failure rate: 11%.
Pullbacks occur 59% of the time.
Price hits measure rule target 73% of the time.

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Williams-Sonoma Inc. (WSM)
Industry: Retail (Special Lines)
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 46 out of 60
Stock RS rank: 274 out of 626
6/1/23 close: $113.94
1 Month avg volatility: $3.80. Volatility stop (for upward breakout): $104.03 or 8.7% below the close.
Change YTD: -0.85%
Volume: 772,300 shares. 3 month avg: 1,925,938 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Monday.
 
Chart pattern: Diamond bottom reversal pattern from 05/11/2023 to 06/01/2023
Breakout is upward 69% of the time.
Average rise: 36%.
Break-even failure rate: 4%.
Throwbacks occur 53% of the time.
Price hits measure rule target 81% of the time.

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DJ US Broker-dealers index fund (IAI)
Industry: Securities Brokerage
Industry RS rank: 51 out of 60
Stock RS rank: 478 out of 626
6/1/23 close: $87.08
1 Month avg volatility: $1.21. Volatility stop (for downward breakout): $89.91 or 3.3% above the close.
Change YTD: -9.41%
Volume: 1,331,600 shares. 3 month avg: 27,797 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 07/23/2019 to 11/15/2019
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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DJ US consumer svcs index fnd (retail) (IYC)
Industry: Retail Store
Industry RS rank: 48 out of 60
Stock RS rank: 212 out of 626
6/1/23 close: $65.00
1 Month avg volatility: $0.74. Volatility stop (for downward breakout): $66.74 or 2.7% above the close.
Change YTD: 14.12%
Volume: 68,400 shares. 3 month avg: 92,454 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 02/21/2017 to 03/17/2017
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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DJ US Energy sector (iShares) (IYE)
Industry: Petroleum (Integrated)
Industry RS rank: 56 out of 60
Stock RS rank: 487 out of 626
6/1/23 close: $40.94
1 Month avg volatility: $0.75. Volatility stop (for upward breakout): $38.73 or 5.4% below the close.
Change YTD: -11.94%
Volume: 484,100 shares. 3 month avg: 327,972 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 08/15/2019 to 10/03/2019
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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DJ US Home construction index fund (ITB)
Industry: Homebuilding
Industry RS rank: 1 out of 60
Stock RS rank: 69 out of 626
6/1/23 close: $74.18
1 Month avg volatility: $1.32. Volatility stop (for downward breakout): $76.92 or 3.7% above the close.
Change YTD: 22.40%
Volume: 2,272,500 shares. 3 month avg: 2,388,375 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 04/24/2019 to 05/16/2019
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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DJ US Oil Equip and services (IEZ)
Industry: Oilfield Svcs/Equipment
Industry RS rank: 60 out of 60
Stock RS rank: 454 out of 626
6/1/23 close: $18.10
1 Month avg volatility: $0.47. Volatility stop (for upward breakout): $16.30 or 10.0% below the close.
Change YTD: -14.62%
Volume: 350,800 shares. 3 month avg: 81,509 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Double Bottom, Adam and Eve reversal pattern from 07/14/2022 to 09/26/2022
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 5%.
Throwbacks occur 59% of the time.
Price hits measure rule target 66% of the time.

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DJ US Utilities sector index fund (IDU)
Industry: Electric Utility (Central)
Industry RS rank: 39 out of 60
Stock RS rank: 389 out of 626
6/1/23 close: $80.01
1 Month avg volatility: $1.01. Volatility stop (for upward breakout): $77.59 or 3.0% below the close.
Change YTD: -7.55%
Volume: 39,400 shares. 3 month avg: 69,748 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 09/04/2012 to 09/28/2012
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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DJIA short 1x ProShares (DOG)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 173 out of 626
6/1/23 close: $33.80
1 Month avg volatility: $0.33. Volatility stop (for upward breakout): $33.03 or 2.3% below the close.
Change YTD: 1.41%
Volume: 669,200 shares. 3 month avg: 520,655 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 09/30/2016 to 10/24/2016
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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DJIA short 2x ProShares (DXD)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 146 out of 626
6/1/23 close: $43.69
1 Month avg volatility: $0.85. Volatility stop (for upward breakout): $41.69 or 4.6% below the close.
Change YTD: 1.11%
Volume: 300,200 shares. 3 month avg: 807,978 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Monday.
 
Chart pattern: Triple bottom reversal pattern from 01/13/2023 to 02/14/2023
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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DJIA, long 2x Ultra Dow 30 ProShares (DDM)
Industry: Long ETFs
Industry RS rank: 23 out of 60
Stock RS rank: 412 out of 626
6/1/23 close: $62.67
1 Month avg volatility: $1.26. Volatility stop (for upward breakout): $58.75 or 6.3% below the close.
Change YTD: -1.89%
Volume: 383,500 shares. 3 month avg: 146,360 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple bottom reversal pattern from 05/07/2014 to 08/07/2014
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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Fidelity MSCI Infomation Technology Indx (FTEC)
Industry: IT Services
Industry RS rank: 15 out of 60
Stock RS rank: 76 out of 626
6/1/23 close: $124.45
1 Month avg volatility: $1.52. Volatility stop (for downward breakout): $128.05 or 2.9% above the close.
Change YTD: 31.68%
Volume: 429,000 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Monday.
 
Chart pattern: Triple top reversal pattern from 09/22/2016 to 10/24/2016
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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First Trust NASDAQ 100 Tech Sector ETF (QTEC)
Industry: Electronics
Industry RS rank: 9 out of 60
Stock RS rank: 61 out of 626
6/1/23 close: $141.48
1 Month avg volatility: $2.14. Volatility stop (for downward breakout): $146.98 or 3.9% above the close.
Change YTD: 34.44%
Volume: 129,200 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 10/27/2011 to 11/16/2011
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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First Trust Tech Alphadex Fund (FXL)
Industry: IT Services
Industry RS rank: 15 out of 60
Stock RS rank: 135 out of 626
6/1/23 close: $107.94
1 Month avg volatility: $1.40. Volatility stop (for downward breakout): $111.43 or 3.2% above the close.
Change YTD: 17.90%
Volume: 35,200 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 08/01/2013 to 08/22/2013
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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Global X Robotics and Artificial Intell (BOTZ)
Industry: Electronics
Industry RS rank: 9 out of 60
Stock RS rank: 40 out of 626
6/1/23 close: $27.82
1 Month avg volatility: $0.39. Volatility stop (for downward breakout): $28.69 or 3.1% above the close.
Change YTD: 35.38%
Volume: 1,847,000 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Monday.
 
Chart pattern: Triple top reversal pattern from 08/29/2018 to 10/01/2018
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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iShares Cohen and Steers Realty Majors (ICF)
Industry: Long ETFs
Industry RS rank: 23 out of 60
Stock RS rank: 375 out of 626
6/1/23 close: $53.17
1 Month avg volatility: $0.85. Volatility stop (for downward breakout): $55.09 or 3.6% above the close.
Change YTD: -3.05%
Volume: 127,000 shares. 3 month avg: 170,940 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple top reversal pattern from 09/12/2017 to 12/18/2017
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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iShares DJ US Regional Banks (IAT)
Industry: Long ETFs
Industry RS rank: 23 out of 60
Stock RS rank: 600 out of 626
6/1/23 close: $32.87
1 Month avg volatility: $1.07. Volatility stop (for upward breakout): $29.73 or 9.6% below the close.
Change YTD: -31.00%
Volume: 909,700 shares. 3 month avg: 125,471 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 04/17/2017 to 05/31/2017
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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iShares DJ US Telecom (IYZ)
Industry: Telecom. Equipment
Industry RS rank: 45 out of 60
Stock RS rank: 400 out of 626
6/1/23 close: $21.43
1 Month avg volatility: $0.30. Volatility stop (for upward breakout): $20.65 or 3.6% below the close.
Change YTD: -4.46%
Volume: 661,700 shares. 3 month avg: 410,715 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple bottom reversal pattern from 10/24/2019 to 12/03/2019
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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iShares Europe 350 Index fund (IEV)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 156 out of 626
6/1/23 close: $50.04
1 Month avg volatility: $0.39. Volatility stop (for downward breakout): $50.92 or 1.8% above the close.
Change YTD: 10.49%
Volume: 271,000 shares. 3 month avg: 461,498 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 11/04/2019 to 11/27/2019
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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iShares Global Energy Sector Index fund (IXC)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 439 out of 626
6/1/23 close: $36.11
1 Month avg volatility: $0.59. Volatility stop (for downward breakout): $37.58 or 4.1% above the close.
Change YTD: -7.39%
Volume: 866,600 shares. 3 month avg: 231,586 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple top reversal pattern from 09/16/2019 to 12/13/2019
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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iShares Global Materials fund (MXI)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 322 out of 626
6/1/23 close: $78.73
1 Month avg volatility: $0.74. Volatility stop (for upward breakout): $76.13 or 3.3% below the close.
Change YTD: 0.09%
Volume: 6,500 shares. 3 month avg: 23,111 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 05/20/2014 to 06/17/2014
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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iShares Global Tech Sector Index fund (IXN)
Industry: IT Services
Industry RS rank: 15 out of 60
Stock RS rank: 74 out of 626
6/1/23 close: $59.68
1 Month avg volatility: $0.70. Volatility stop (for upward breakout): $57.46 or 3.7% below the close.
Change YTD: 33.13%
Volume: 198,600 shares. 3 month avg: 59,600 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 04/15/2014 to 05/07/2014
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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iShares Latin America 40 Index fund (ILF)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 290 out of 626
6/1/23 close: $25.25
1 Month avg volatility: $0.39. Volatility stop (for upward breakout): $23.94 or 5.2% below the close.
Change YTD: 10.31%
Volume: 1,030,600 shares. 3 month avg: 1,412,928 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 06/19/2018 to 09/05/2018
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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iShares Silver Trust (SLV)
Industry: Metals and Mining (Div.)
Industry RS rank: 14 out of 60
Stock RS rank: 158 out of 626
6/1/23 close: $21.95
1 Month avg volatility: $0.37. Volatility stop (for downward breakout): $22.70 or 3.4% above the close.
Change YTD: -0.32%
Volume: 17,909,700 shares. 3 month avg: 7,420,342 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple top reversal pattern from 05/18/2021 to 06/11/2021
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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iShares SP Natural resources (oil) (IGE)
Industry: Petroleum (Integrated)
Industry RS rank: 56 out of 60
Stock RS rank: 452 out of 626
6/1/23 close: $37.01
1 Month avg volatility: $0.58. Volatility stop (for downward breakout): $38.50 or 4.0% above the close.
Change YTD: -8.98%
Volume: 1,843,300 shares. 3 month avg: 443,638 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple top reversal pattern from 01/30/2013 to 03/15/2013
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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iShares US Financials ETF (IYF)
Industry: Financial Services
Industry RS rank: 25 out of 60
Stock RS rank: 428 out of 626
6/1/23 close: $70.92
1 Month avg volatility: $0.99. Volatility stop (for upward breakout): $68.09 or 4.0% below the close.
Change YTD: -6.03%
Volume: 105,400 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 10/13/2017 to 02/09/2018
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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iShares US Medical devices index fund (IHI)
Industry: Medical Supplies
Industry RS rank: 22 out of 60
Stock RS rank: 224 out of 626
6/1/23 close: $53.54
1 Month avg volatility: $0.66. Volatility stop (for downward breakout): $54.95 or 2.6% above the close.
Change YTD: 1.85%
Volume: 701,300 shares. 3 month avg: 82,220 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple top reversal pattern from 02/06/2012 to 02/28/2012
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Australia Index fund (EWA)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 327 out of 626
6/1/23 close: $22.37
1 Month avg volatility: $0.22. Volatility stop (for downward breakout): $22.85 or 2.1% above the close.
Change YTD: 0.63%
Volume: 1,729,800 shares. 3 month avg: 1,915,891 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 10/28/2019 to 11/19/2019
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Austria Investable Mkt Index (EWO)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 234 out of 626
6/1/23 close: $19.88
1 Month avg volatility: $0.15. Volatility stop (for downward breakout): $20.22 or 1.7% above the close.
Change YTD: 4.63%
Volume: 7,600 shares. 3 month avg: 21,417 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 11/05/2019 to 01/13/2020
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Belgium Investable Mkt Idx (EWK)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 221 out of 626
6/1/23 close: $17.69
1 Month avg volatility: $0.10. Volatility stop (for upward breakout): $17.38 or 1.8% below the close.
Change YTD: -1.26%
Volume: 46,100 shares. 3 month avg: 34,920 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 11/11/2019 to 12/03/2019
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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MSCI Brazil Index fund (EWZ)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 328 out of 626
6/1/23 close: $29.72
1 Month avg volatility: $0.60. Volatility stop (for downward breakout): $30.93 or 4.1% above the close.
Change YTD: 6.26%
Volume: 32,490,800 shares. 3 month avg: 19,370,938 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Double Top, Adam and Adam reversal pattern from 10/21/2022 to 11/04/2022
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 8%.
Pullbacks occur 61% of the time.
Price hits measure rule target 72% of the time.

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MSCI Canada Index (EWC)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 302 out of 626
6/1/23 close: $33.73
1 Month avg volatility: $0.40. Volatility stop (for downward breakout): $34.67 or 2.8% above the close.
Change YTD: 3.06%
Volume: 2,200,300 shares. 3 month avg: 2,077,466 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 05/22/2018 to 08/28/2018
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Chile Investable Mkt Idx (ECH)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 163 out of 626
6/1/23 close: $28.94
1 Month avg volatility: $0.52. Volatility stop (for downward breakout): $30.05 or 3.8% above the close.
Change YTD: 6.83%
Volume: 298,200 shares. 3 month avg: 408,574 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 05/14/2014 to 06/09/2014
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Emerging Markets Index fund (EEM)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 262 out of 626
6/1/23 close: $38.87
1 Month avg volatility: $0.32. Volatility stop (for downward breakout): $39.54 or 1.7% above the close.
Change YTD: 2.56%
Volume: 32,811,700 shares. 3 month avg: 52,180,265 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 09/06/2016 to 10/10/2016
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI France Index (EWQ)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 138 out of 626
6/1/23 close: $37.34
1 Month avg volatility: $0.32. Volatility stop (for upward breakout): $36.30 or 2.8% below the close.
Change YTD: 12.74%
Volume: 3,249,800 shares. 3 month avg: 608,611 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 01/30/2017 to 02/24/2017
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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MSCI Germany Index (EWG)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 125 out of 626
6/1/23 close: $28.43
1 Month avg volatility: $0.23. Volatility stop (for downward breakout): $28.93 or 1.8% above the close.
Change YTD: 14.96%
Volume: 4,116,500 shares. 3 month avg: 2,659,514 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple top reversal pattern from 09/14/2012 to 10/18/2012
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Hong Kong Index fund (EWH)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 307 out of 626
6/1/23 close: $19.10
1 Month avg volatility: $0.15. Volatility stop (for upward breakout): $18.55 or 2.9% below the close.
Change YTD: -9.09%
Volume: 3,131,400 shares. 3 month avg: 3,971,923 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple bottom reversal pattern from 04/22/2021 to 05/13/2021
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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MSCI Italy Index (EWI)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 148 out of 626
6/1/23 close: $30.38
1 Month avg volatility: $0.28. Volatility stop (for downward breakout): $30.98 or 2.0% above the close.
Change YTD: 12.77%
Volume: 670,000 shares. 3 month avg: 569,145 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 02/01/2023 to 03/06/2023
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Japan Index fund (EWJ)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 149 out of 626
6/1/23 close: $60.83
1 Month avg volatility: $0.38. Volatility stop (for upward breakout): $59.49 or 2.2% below the close.
Change YTD: 11.74%
Volume: 10,096,100 shares. 3 month avg: 7,910,143 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple bottom reversal pattern from 07/02/2018 to 09/07/2018
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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MSCI Malaysia Index (EWM)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 385 out of 626
6/1/23 close: $20.66
1 Month avg volatility: $0.12. Volatility stop (for downward breakout): $20.90 or 1.1% above the close.
Change YTD: -9.54%
Volume: 257,800 shares. 3 month avg: 489,520 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 02/06/2015 to 02/27/2015
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Mexico Investable Mkt idx (EWW)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 130 out of 626
6/1/23 close: $60.16
1 Month avg volatility: $0.93. Volatility stop (for upward breakout): $57.93 or 3.7% below the close.
Change YTD: 21.66%
Volume: 1,801,700 shares. 3 month avg: 3,019,575 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple bottom reversal pattern from 07/14/2022 to 09/26/2022
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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MSCI Pacific ex-Japan Index fund (EPP)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 309 out of 626
6/1/23 close: $42.03
1 Month avg volatility: $0.37. Volatility stop (for upward breakout): $40.75 or 3.0% below the close.
Change YTD: -1.78%
Volume: 499,000 shares. 3 month avg: 437,846 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 05/20/2014 to 07/10/2014
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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MSCI Singapore Index (EWS)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 257 out of 626
6/1/23 close: $18.92
1 Month avg volatility: $0.15. Volatility stop (for downward breakout): $19.23 or 1.6% above the close.
Change YTD: 0.58%
Volume: 403,400 shares. 3 month avg: 575,032 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 11/07/2019 to 12/13/2019
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI South Africa Index (EZA)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 460 out of 626
6/1/23 close: $38.08
1 Month avg volatility: $0.55. Volatility stop (for downward breakout): $39.21 or 3.0% above the close.
Change YTD: -10.21%
Volume: 214,800 shares. 3 month avg: 477,440 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple top reversal pattern from 10/28/2019 to 11/20/2019
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI South Korea Index (EWY)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 182 out of 626
6/1/23 close: $63.76
1 Month avg volatility: $0.52. Volatility stop (for upward breakout): $61.85 or 3.0% below the close.
Change YTD: 12.89%
Volume: 3,279,100 shares. 3 month avg: 2,379,288 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Double Bottom, Eve and Eve reversal pattern from 06/04/2012 to 07/23/2012
Breakout is upward 100% of the time.
Average rise: 40%.
Break-even failure rate: 4%.
Throwbacks occur 55% of the time.
Price hits measure rule target 67% of the time.

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MSCI Spain Index (EWP)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 122 out of 626
6/1/23 close: $27.53
1 Month avg volatility: $0.25. Volatility stop (for upward breakout): $26.67 or 3.1% below the close.
Change YTD: 13.85%
Volume: 162,300 shares. 3 month avg: 1,911,686 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 01/11/2017 to 02/22/2017
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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MSCI Sweden Index (EWD)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 205 out of 626
6/1/23 close: $34.63
1 Month avg volatility: $0.38. Volatility stop (for downward breakout): $35.44 or 2.3% above the close.
Change YTD: 7.11%
Volume: 258,400 shares. 3 month avg: 237,680 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 04/01/2014 to 06/06/2014
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Switzerland Index (EWL)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 150 out of 626
6/1/23 close: $46.68
1 Month avg volatility: $0.35. Volatility stop (for downward breakout): $47.42 or 1.6% above the close.
Change YTD: 11.33%
Volume: 572,100 shares. 3 month avg: 753,888 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 05/23/2014 to 06/19/2014
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI Taiwan Index (EWT)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 374 out of 626
6/1/23 close: $46.63
1 Month avg volatility: $0.35. Volatility stop (for downward breakout): $47.33 or 1.5% above the close.
Change YTD: 16.11%
Volume: 3,406,900 shares. 3 month avg: 3,611,248 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 12/13/2012 to 02/20/2013
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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MSCI United Kingdom Index (EWU)
Industry: Investment Co. (Foreign)
Industry RS rank: 26 out of 60
Stock RS rank: 213 out of 626
6/1/23 close: $32.31
1 Month avg volatility: $0.26. Volatility stop (for upward breakout): $31.45 or 2.7% below the close.
Change YTD: 5.38%
Volume: 5,204,000 shares. 3 month avg: 1,758,686 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 05/20/2014 to 06/17/2014
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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Nasdaq 100 long 2x Ultra QQQ ProShares (QLD)
Industry: Long ETFs
Industry RS rank: 23 out of 60
Stock RS rank: 27 out of 626
6/1/23 close: $58.74
1 Month avg volatility: $1.32. Volatility stop (for downward breakout): $61.80 or 5.2% above the close.
Change YTD: 67.64%
Volume: 3,285,400 shares. 3 month avg: 1,041,785 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Monday.
 
Chart pattern: Triple top reversal pattern from 08/05/2013 to 08/26/2013
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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Nasdaq 100 short 1x ProShares (PSQ)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 486 out of 626
6/1/23 close: $11.20
1 Month avg volatility: $0.15. Volatility stop (for upward breakout): $10.84 or 3.2% below the close.
Change YTD: -23.91%
Volume: 43,486,800 shares. 3 month avg: 561,891 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple bottom reversal pattern from 09/22/2016 to 10/25/2016
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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Nasdaq 100 short 2x ProShares (QID)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 590 out of 626
6/1/23 close: $14.69
1 Month avg volatility: $0.42. Volatility stop (for downward breakout): $15.99 or 8.9% above the close.
Change YTD: -43.43%
Volume: 11,168,100 shares. 3 month avg: 2,564,980 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Double Top, Adam and Adam reversal pattern from 12/03/2021 to 12/20/2021
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 8%.
Pullbacks occur 61% of the time.
Price hits measure rule target 72% of the time.

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PowerShares Aerospace and Defense (PPA)
Industry: Aerospace/Defense
Industry RS rank: 30 out of 60
Stock RS rank: 244 out of 626
6/1/23 close: $78.81
1 Month avg volatility: $0.99. Volatility stop (for downward breakout): $80.97 or 2.7% above the close.
Change YTD: 0.52%
Volume: 358,400 shares. 3 month avg: 86,385 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 08/15/2016 to 09/06/2016
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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PowerShares DB Agriculture (DBA)
Industry: Investment Co. (Domestic)
Industry RS rank: 21 out of 60
Stock RS rank: 201 out of 626
6/1/23 close: $20.76
1 Month avg volatility: $0.19. Volatility stop (for upward breakout): $20.26 or 2.4% below the close.
Change YTD: 3.03%
Volume: 495,400 shares. 3 month avg: 755,308 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 07/05/2022 to 07/22/2022
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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PowerShares Dynamic Leisure (PEJ)
Industry: Long ETFs
Industry RS rank: 23 out of 60
Stock RS rank: 246 out of 626
6/1/23 close: $39.40
1 Month avg volatility: $0.54. Volatility stop (for downward breakout): $40.66 or 3.2% above the close.
Change YTD: 8.21%
Volume: 66,900 shares. 3 month avg: 712,295 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 06/20/2018 to 07/27/2018
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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PowerShares Dynamic Oil Services (PXJ)
Industry: Oilfield Svcs/Equipment
Industry RS rank: 60 out of 60
Stock RS rank: 407 out of 626
6/1/23 close: $4.58
1 Month avg volatility: $0.11. Volatility stop (for downward breakout): $4.82 or 5.2% above the close.
Change YTD: -10.55%
Volume: 220,900 shares. 3 month avg: 36,780 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 03/05/2021 to 06/16/2021
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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PowerShares Dynamic Pharmaceuticals (PJP)
Industry: Drug
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 16 out of 60
Stock RS rank: 351 out of 626
6/1/23 close: $74.49
1 Month avg volatility: $0.66. Volatility stop (for downward breakout): $75.88 or 1.9% above the close.
Change YTD: -5.22%
Volume: 21,400 shares. 3 month avg: 32,028 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 12/02/2022 to 01/06/2023
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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PowerShares Water Resources (PHO)
Industry: Investment Co. (Domestic)
Industry RS rank: 21 out of 60
Stock RS rank: 261 out of 626
6/1/23 close: $52.49
1 Month avg volatility: $0.63. Volatility stop (for downward breakout): $53.86 or 2.6% above the close.
Change YTD: 1.84%
Volume: 59,600 shares. 3 month avg: 72,048 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple top reversal pattern from 03/06/2014 to 06/09/2014
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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ProShares long 2x Ultra SP 500 ProShares (SSO)
Industry: Long ETFs
Industry RS rank: 23 out of 60
Stock RS rank: 197 out of 626
6/1/23 close: $52.58
1 Month avg volatility: $1.00. Volatility stop (for upward breakout): $49.35 or 6.2% below the close.
Change YTD: 18.29%
Volume: 3,312,500 shares. 3 month avg: 1,059,148 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 03/03/2014 to 03/27/2014
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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ProShares short S and P 1x ProShares (SH)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 273 out of 626
6/1/23 close: $14.72
1 Month avg volatility: $0.15. Volatility stop (for upward breakout): $14.38 or 2.3% below the close.
Change YTD: -8.17%
Volume: 23,161,500 shares. 3 month avg: 1,853,066 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 08/15/2016 to 09/07/2016
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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ProShares UltraShort 2x ProShares (SDS)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 346 out of 626
6/1/23 close: $38.19
1 Month avg volatility: $0.78. Volatility stop (for upward breakout): $36.45 or 4.6% below the close.
Change YTD: -16.92%
Volume: 5,759,600 shares. 3 month avg: 3,030,262 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Double Bottom, Adam and Adam reversal pattern from 12/01/2022 to 12/13/2022
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 5%.
Throwbacks occur 64% of the time.
Price hits measure rule target 66% of the time.

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Robo Global Robotics and Automation (ROBO)
Industry: Electronics
Industry RS rank: 9 out of 60
Stock RS rank: 115 out of 626
6/1/23 close: $55.31
1 Month avg volatility: $0.65. Volatility stop (for upward breakout): $53.15 or 3.9% below the close.
Change YTD: 19.38%
Volume: 210,900 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 05/03/2018 to 08/15/2018
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR Consumer Discretionary (XLY)
Industry: Investment Co. (Domestic)
Industry RS rank: 21 out of 60
Stock RS rank: 183 out of 626
6/1/23 close: $153.40
1 Month avg volatility: $2.23. Volatility stop (for upward breakout): $145.98 or 4.8% below the close.
Change YTD: 18.77%
Volume: 5,072,900 shares. 3 month avg: 4,446,226 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 10/25/2019 to 12/03/2019
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR Consumer Staples Select Sector (XLP)
Industry: Household Products
Industry RS rank: 27 out of 60
Stock RS rank: 335 out of 626
6/1/23 close: $72.61
1 Month avg volatility: $0.69. Volatility stop (for downward breakout): $74.10 or 2.1% above the close.
Change YTD: -2.60%
Volume: 13,834,500 shares. 3 month avg: 10,903,955 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Triple top reversal pattern from 05/10/2021 to 06/04/2021
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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SPDR Energy Select Sector (XLE)
Industry: Petroleum (Integrated)
Industry RS rank: 56 out of 60
Stock RS rank: 467 out of 626
6/1/23 close: $77.54
1 Month avg volatility: $1.51. Volatility stop (for upward breakout): $73.22 or 5.6% below the close.
Change YTD: -11.35%
Volume: 25,800,300 shares. 3 month avg: 11,586,362 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 12/09/2022 to 01/04/2023
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR Health Care Select Sector (XLV)
Industry: Drug
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 16 out of 60
Stock RS rank: 355 out of 626
6/1/23 close: $128.67
1 Month avg volatility: $1.35. Volatility stop (for downward breakout): $131.61 or 2.3% above the close.
Change YTD: -5.29%
Volume: 9,751,400 shares. 3 month avg: 6,841,795 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Double Top, Eve and Eve reversal pattern from 10/01/2018 to 12/04/2018
Breakout is downward 100% of the time.
Average decline: 18%.
Break-even failure rate: 11%.
Pullbacks occur 59% of the time.
Price hits measure rule target 73% of the time.

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SPDR Homebuilders ETF (XHB)
Industry: Homebuilding
Industry RS rank: 1 out of 60
Stock RS rank: 124 out of 626
6/1/23 close: $69.84
1 Month avg volatility: $1.22. Volatility stop (for upward breakout): $66.00 or 5.5% below the close.
Change YTD: 15.78%
Volume: 2,513,200 shares. 3 month avg: 2,422,474 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 12/04/2013 to 02/03/2014
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR Industrial Select Sector (XLI)
Industry: Investment Co. (Domestic)
Industry RS rank: 21 out of 60
Stock RS rank: 292 out of 626
6/1/23 close: $98.09
1 Month avg volatility: $1.32. Volatility stop (for upward breakout): $94.11 or 4.1% below the close.
Change YTD: -0.12%
Volume: 12,553,100 shares. 3 month avg: 8,744,860 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 06/29/2017 to 08/29/2017
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR Materials Select Sector (XLB)
Industry: Building Materials
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 38 out of 60
Stock RS rank: 370 out of 626
6/1/23 close: $76.02
1 Month avg volatility: $1.02. Volatility stop (for downward breakout): $78.27 or 3.0% above the close.
Change YTD: -2.14%
Volume: 7,279,400 shares. 3 month avg: 6,556,249 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple top reversal pattern from 11/03/2015 to 12/09/2015
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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SPDR Retail ETF (XRT)
Industry: Retail Store
Industry RS rank: 48 out of 60
Stock RS rank: 476 out of 626
6/1/23 close: $56.99
1 Month avg volatility: $1.19. Volatility stop (for upward breakout): $53.81 or 5.6% below the close.
Change YTD: -5.72%
Volume: 8,005,300 shares. 3 month avg: 5,586,525 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 07/12/2012 to 08/02/2012
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR S and P 500 (SPY)
Industry: Long ETFs
Industry RS rank: 23 out of 60
Stock RS rank: 204 out of 626
6/1/23 close: $421.82
1 Month avg volatility: $4.11. Volatility stop (for upward breakout): $408.57 or 3.1% below the close.
Change YTD: 10.30%
Volume: 87,402,100 shares. 3 month avg: 67,362,948 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 03/19/2013 to 04/18/2013
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR S and P Aerospace and Defense (XAR)
Industry: Aerospace/Defense
Industry RS rank: 30 out of 60
Stock RS rank: 216 out of 626
6/1/23 close: $112.80
1 Month avg volatility: $1.63. Volatility stop (for upward breakout): $107.73 or 4.5% below the close.
Change YTD: 2.50%
Volume: 118,300 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 01/16/2013 to 02/26/2013
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR Technology Select Sector (XLK)
Industry: IT Services
Industry RS rank: 15 out of 60
Stock RS rank: 68 out of 626
6/1/23 close: $165.95
1 Month avg volatility: $2.14. Volatility stop (for upward breakout): $158.95 or 4.2% below the close.
Change YTD: 33.36%
Volume: 8,697,000 shares. 3 month avg: 9,531,718 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 07/19/2013 to 10/09/2013
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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SPDR Utilities Select Sector (XLU)
Industry: Electric Utility (Central)
Industry RS rank: 39 out of 60
Stock RS rank: 397 out of 626
6/1/23 close: $64.45
1 Month avg volatility: $0.98. Volatility stop (for upward breakout): $62.09 or 3.7% below the close.
Change YTD: -8.58%
Volume: 18,637,700 shares. 3 month avg: 12,362,272 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Wednesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple bottom reversal pattern from 09/23/2015 to 12/11/2015
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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UltraShort 2x Basic Materials ProShares (SMN)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 133 out of 626
6/1/23 close: $10.77
1 Month avg volatility: $0.21. Volatility stop (for upward breakout): $10.17 or 5.6% below the close.
Change YTD: 0.76%
Volume: 23,100 shares. 3 month avg: 8,343 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Monday.
 
Chart pattern: Triple bottom reversal pattern from 11/03/2015 to 12/09/2015
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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UltraShort 2x Financials ProShares (SKF)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 94 out of 626
6/1/23 close: $20.55
1 Month avg volatility: $0.51. Volatility stop (for upward breakout): $19.41 or 5.5% below the close.
Change YTD: 5.63%
Volume: 38,300 shares. 3 month avg: 25,797 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Double Bottom, Adam and Adam reversal pattern from 09/14/2012 to 10/18/2012
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 5%.
Throwbacks occur 64% of the time.
Price hits measure rule target 66% of the time.

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UltraShort 2x Oil and Gas ProShares (DUG)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 50 out of 626
6/1/23 close: $14.72
1 Month avg volatility: $0.51. Volatility stop (for upward breakout): $13.36 or 9.2% below the close.
Change YTD: 18.90%
Volume: 182,500 shares. 3 month avg: 38,238 shares.
This security may be thinly traded (less than 100k shares)!
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Double Bottom, Eve and Eve reversal pattern from 11/14/2022 to 01/26/2023
Breakout is upward 100% of the time.
Average rise: 40%.
Break-even failure rate: 4%.
Throwbacks occur 55% of the time.
Price hits measure rule target 67% of the time.

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UltraShort 2x Real Estate ProShares (SRS)
Industry: Short ETFs
Industry RS rank: 19 out of 60
Stock RS rank: 113 out of 626
6/1/23 close: $18.92
1 Month avg volatility: $0.57. Volatility stop (for upward breakout): $17.57 or 7.2% below the close.
Change YTD: 3.61%
Volume: 49,800 shares. 3 month avg: 398,146 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Friday, and best sell day (most up closes) is Wednesday.
 
Chart pattern: Triple bottom reversal pattern from 11/05/2021 to 11/24/2021
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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United States Natural Gas (UNG)
Industry: Natural Gas (Diversified)
Industry RS rank: 59 out of 60
Stock RS rank: 625 out of 626
6/1/23 close: $5.94
1 Month avg volatility: $0.27. Volatility stop (for upward breakout): $5.34 or 10.1% below the close.
Change YTD: -57.87%
Volume: 32,154,900 shares. 3 month avg: 10,262,434 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Thursday, and best sell day (most up closes) is Tuesday.
 
Chart pattern: Triple bottom reversal pattern from 01/22/2021 to 04/06/2021
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 4%.
Throwbacks occur 64% of the time.
Price hits measure rule target 64% of the time.

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Vanguard Health Care Index Fund ETF (VHT)
Industry: Healthcare Information
Industry RS rank: 29 out of 60
Stock RS rank: 345 out of 626
6/1/23 close: $237.78
1 Month avg volatility: $2.36. Volatility stop (for upward breakout): $229.78 or 3.4% below the close.
Change YTD: -4.14%
Volume: 188,300 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Friday.
 
Chart pattern: Double Bottom, Adam and Eve reversal pattern from 02/09/2018 to 04/02/2018
Breakout is upward 100% of the time.
Average rise: 37%.
Break-even failure rate: 5%.
Throwbacks occur 59% of the time.
Price hits measure rule target 66% of the time.

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Vanguard Materials ETF (VAW)
Industry: Chemical (Specialty)
Industry RS rank: 13 out of 60
Stock RS rank: 362 out of 626
6/1/23 close: $166.82
1 Month avg volatility: $2.15. Volatility stop (for downward breakout): $171.69 or 2.9% above the close.
Change YTD: -1.99%
Volume: 114,900 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Monday, and best sell day (most up closes) is Friday.
 
Chart pattern: Double Top, Eve and Eve reversal pattern from 01/05/2022 to 04/21/2022
Breakout is downward 100% of the time.
Average decline: 18%.
Break-even failure rate: 11%.
Pullbacks occur 59% of the time.
Price hits measure rule target 73% of the time.

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Vanguard Mega Cap Growth ETF (MGK)
Industry: None
Industry RS rank: 6 out of 60
Stock RS rank: 89 out of 626
6/1/23 close: $223.51
1 Month avg volatility: $2.45. Volatility stop (for downward breakout): $229.07 or 2.5% above the close.
Change YTD: 29.89%
Volume: 408,900 shares.
Since 2009 bear market, the best buy day (fewest up closes) is Tuesday, and best sell day (most up closes) is Thursday.
 
Chart pattern: Triple top reversal pattern from 07/03/2014 to 07/24/2014
Breakout is downward 100% of the time.
Average decline: 19%.
Break-even failure rate: 10%.
Pullbacks occur 61% of the time.
Price hits measure rule target 40% of the time.

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