As of 03/24/2025
  Indus: 42,583 +597.97 +1.4%  
  Trans: 14,926 +317.49 +2.2%  
  Utils: 1,009 +0.03 +0.0%  
  Nasdaq: 18,189 +404.54 +2.3%  
  S&P 500: 5,768 +100.01 +1.8%  
YTD
 +0.1%  
-6.1%  
 +2.7%  
-5.8%  
-1.9%  
  Targets    Overview: 02/28/2025  
  Down arrow40,000 or 43,500 by 04/01/2025
  Down arrow14,400 or 16,400 by 04/01/2025
  Up arrow1,050 or 970 by 04/01/2025
  Down arrow16,200 or 19,000 by 04/01/2025
  Down arrow5,300 or 5,900 by 04/01/2025
As of 03/24/2025
  Indus: 42,583 +597.97 +1.4%  
  Trans: 14,926 +317.49 +2.2%  
  Utils: 1,009 +0.03 +0.0%  
  Nasdaq: 18,189 +404.54 +2.3%  
  S&P 500: 5,768 +100.01 +1.8%  
YTD
 +0.1%  
-6.1%  
 +2.7%  
-5.8%  
-1.9%  
  Targets    Overview: 02/28/2025  
  Down arrow40,000 or 43,500 by 04/01/2025
  Down arrow14,400 or 16,400 by 04/01/2025
  Up arrow1,050 or 970 by 04/01/2025
  Down arrow16,200 or 19,000 by 04/01/2025
  Down arrow5,300 or 5,900 by 04/01/2025

Patterns for the Weekend Details

Copyright © 2025 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.
 
AES Corp (AES)
Industry: Electric Utility (East)
Industry RS rank: 22 out of 60
Stock RS rank: 559 out of 605
3/20/25 close: $13.16
1 Month avg volatility: $0.49. Volatility stop (for upward breakout): $11.93 or 9.4% below the close.
Change YTD: 2.25%
Volume: 10,024,700 shares. 3 month avg: 5,494,342 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: Head-and-shoulders bottom reversal pattern from 02/04/2025 to 02/27/2025
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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Air Products and Chemicals, Inc. (APD)
Industry: Chemical (Diversified)
Industry RS rank: 41 out of 60
Stock RS rank: 227 out of 605
3/20/25 close: $292.92
1 Month avg volatility: $6.74. Volatility stop (for downward breakout): $307.94 or 5.1% above the close.
Change YTD: 0.99%
Volume: 859,800 shares. 3 month avg: 1,051,743 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 02/25/2025 to 03/07/2025
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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Alcoa (AA)
Industry: Aerospace/Defense
Industry RS rank: 20 out of 60
Stock RS rank: 238 out of 605
3/20/25 close: $34.84
1 Month avg volatility: $1.53. Volatility stop (for upward breakout): $31.31 or 10.1% below the close.
Change YTD: -7.78%
Volume: 3,084,700 shares. 3 month avg: 8,355,648 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 bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Antero Resources Corp (AR)
Industry: Natural Gas (Diversified)
Industry RS rank: 1 out of 60
Stock RS rank: 9 out of 605
3/20/25 close: $40.97
1 Month avg volatility: $1.52. Volatility stop (for upward breakout): $37.35 or 8.8% below the close.
Change YTD: 16.89%
Volume: 4,121,000 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 bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Assurant Inc (AIZ)
Industry: Insurance (Diversified)
Industry RS rank: 4 out of 60
Stock RS rank: 134 out of 605
3/20/25 close: $212.05
1 Month avg volatility: $4.64. Volatility stop (for upward breakout): $202.53 or 4.5% below the close.
Change YTD: -0.55%
Volume: 356,500 shares. 3 month avg: 327,640 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 Bottom, Eve and Eve reversal pattern from 02/21/2025 to 03/12/2025
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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Atmos Energy Corp (ATO)
Industry: Natural Gas (Diversified)
Industry RS rank: 1 out of 60
Stock RS rank: 121 out of 605
3/20/25 close: $150.82
1 Month avg volatility: $2.54. Volatility stop (for upward breakout): $144.80 or 4.0% below the close.
Change YTD: 8.29%
Volume: 1,061,400 shares. 3 month avg: 444,800 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: Triangle, symmetrical continuation pattern from 03/04/2025 to 03/20/2025
Breakout is upward 54% of the time.
Average rise: 31%.
Break-even failure rate: 9%.
Throwbacks occur 37% of the time.
Price hits measure rule target 66% of the time.

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Avista (AVA)
Industry: Electric Utility (West)
Industry RS rank: 28 out of 60
Stock RS rank: 202 out of 605
3/20/25 close: $40.00
1 Month avg volatility: $0.75. Volatility stop (for upward breakout): $38.04 or 4.9% below the close.
Change YTD: 9.20%
Volume: 1,009,700 shares. 3 month avg: 396,820 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: Triangle, ascending reversal pattern from 02/26/2025 to 03/20/2025
Breakout is upward 70% of the time.
Average rise: 35%.
Break-even failure rate: 13%.
Throwbacks occur 57% of the time.
Price hits measure rule target 75% of the time.

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Bunge Ltd (BG)
Industry: Food Processing
Industry RS rank: 50 out of 60
Stock RS rank: 529 out of 605
3/20/25 close: $73.95
1 Month avg volatility: $2.01. Volatility stop (for downward breakout): $79.53 or 7.5% above the close.
Change YTD: -4.90%
Volume: 1,732,600 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: Diamond top reversal pattern from 02/24/2025 to 03/20/2025
Breakout is downward 69% of the time.
Average decline: 21%.
Break-even failure rate: 6%.
Pullbacks occur 57% of the time.
Price hits measure rule target 76% of the time.

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Cadence Design Systems Inc (CDNS)
Industry: Computer Software and Svcs
Industry RS rank: 37 out of 60
Stock RS rank: 331 out of 605
3/20/25 close: $258.50
1 Month avg volatility: $9.31. Volatility stop (for upward breakout): $236.25 or 8.6% below the close.
Change YTD: -13.97%
Volume: 1,719,000 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Cal-Maine Foods Inc (CALM)
Industry: Food Processing
Industry RS rank: 50 out of 60
Stock RS rank: 44 out of 605
3/20/25 close: $88.72
1 Month avg volatility: $3.93. Volatility stop (for upward breakout): $79.28 or 10.6% below the close.
Change YTD: -13.80%
Volume: 866,500 shares. 3 month avg: 322,132 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, Adam and Adam reversal pattern from 03/06/2025 to 03/13/2025
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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Celanese Corp (CE)
Industry: Chemical (Basic)
Industry RS rank: 57 out of 60
Stock RS rank: 603 out of 605
3/20/25 close: $56.82
1 Month avg volatility: $2.78. Volatility stop (for upward breakout): $49.54 or 12.8% below the close.
Change YTD: -17.90%
Volume: 1,723,600 shares. 3 month avg: 691,697 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: Pipe bottom reversal pattern from 02/24/2025 to 03/03/2025
WARNING: A dead-cat bounce occurred on 02/19/2025. There is a 26% chance that a 15% or higher decline will occur (or has occurred since then) by 05/21/2025 and a 38% chance by 08/20/2025.
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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Charles River Labs Intl (CRL)
Industry: Biotechnology
Industry RS rank: 54 out of 60
Stock RS rank: 490 out of 605
3/20/25 close: $165.35
1 Month avg volatility: $5.83. Volatility stop (for upward breakout): $152.88 or 7.5% below the close.
Change YTD: -10.43%
Volume: 1,529,500 shares. 3 month avg: 379,248 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: Pipe bottom reversal pattern from 02/10/2025 to 02/18/2025
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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Chevron Corp (CVX)
Industry: Petroleum (Integrated)
Industry RS rank: 14 out of 60
Stock RS rank: 84 out of 605
3/20/25 close: $164.77
1 Month avg volatility: $3.40. Volatility stop (for upward breakout): $155.62 or 5.6% below the close.
Change YTD: 13.76%
Volume: 9,377,100 shares. 3 month avg: 5,172,805 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: Double Bottom, Eve and Adam reversal pattern from 02/03/2025 to 03/05/2025
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 4%.
Throwbacks occur 57% of the time.
Price hits measure rule target 66% of the time.

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ConocoPhillips (COP)
Industry: Petroleum (Integrated)
Industry RS rank: 14 out of 60
Stock RS rank: 349 out of 605
3/20/25 close: $102.31
1 Month avg volatility: $2.86. Volatility stop (for upward breakout): $95.13 or 7.0% below the close.
Change YTD: 3.17%
Volume: 11,561,400 shares. 3 month avg: 6,156,062 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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CoreCivic, Inc (CXW)
Industry: Industrial Services
Industry RS rank: 24 out of 60
Stock RS rank: 7 out of 605
3/20/25 close: $20.54
1 Month avg volatility: $0.82. Volatility stop (for upward breakout): $18.56 or 9.7% below the close.
Change YTD: -5.52%
Volume: 863,700 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 Bottom, Adam and Adam reversal pattern from 02/21/2025 to 03/04/2025
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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Crane Co (CR)
Industry: Diversified Co.
Industry RS rank: 43 out of 60
Stock RS rank: 278 out of 605
3/20/25 close: $153.17
1 Month avg volatility: $4.78. Volatility stop (for upward breakout): $142.97 or 6.7% below the close.
Change YTD: 0.94%
Volume: 247,400 shares. 3 month avg: 293,374 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: Diamond bottom reversal pattern from 03/04/2025 to 03/20/2025
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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Estee Lauder, Cos (EL)
Industry: Toiletries/Cosmetics
Industry RS rank: 52 out of 60
Stock RS rank: 513 out of 605
3/20/25 close: $68.02
1 Month avg volatility: $2.52. Volatility stop (for downward breakout): $73.70 or 8.3% above the close.
Change YTD: -9.28%
Volume: 2,717,200 shares. 3 month avg: 1,843,415 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 02/26/2025 to 03/10/2025
WARNING: A dead-cat bounce occurred on 10/31/2024. There is a 38% chance that a 15% or higher decline will occur (or has occurred since then) by 05/01/2025.
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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Exxon Mobil Corp. (XOM)
Industry: Petroleum (Integrated)
Industry RS rank: 14 out of 60
Stock RS rank: 245 out of 605
3/20/25 close: $115.90
1 Month avg volatility: $2.63. Volatility stop (for upward breakout): $108.94 or 6.0% below the close.
Change YTD: 7.74%
Volume: 15,995,200 shares. 3 month avg: 17,282,225 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: Head-and-shoulders bottom reversal pattern from 02/13/2025 to 03/13/2025
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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Freeport-McMoRan Copper and Gold B (FCX)
Industry: Metals and Mining (Div.)
Industry RS rank: 8 out of 60
Stock RS rank: 371 out of 605
3/20/25 close: $40.70
1 Month avg volatility: $1.40. Volatility stop (for upward breakout): $37.76 or 7.2% below the close.
Change YTD: 6.88%
Volume: 21,972,700 shares. 3 month avg: 11,955,349 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Friedman Industries Inc (FRD)
Industry: Building Materials
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 48 out of 60
Stock RS rank: 43 out of 605
3/20/25 close: $17.20
1 Month avg volatility: $0.64. Volatility stop (for upward breakout): $15.33 or 10.9% below the close.
Change YTD: 12.49%
Volume: 14,700 shares. 3 month avg: 24,458 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: Double Bottom, Adam and Eve reversal pattern from 02/24/2025 to 03/12/2025
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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Gilead Sciences Inc (GILD)
Industry: Biotechnology
Industry RS rank: 54 out of 60
Stock RS rank: 39 out of 605
3/20/25 close: $105.87
1 Month avg volatility: $2.66. Volatility stop (for downward breakout): $112.16 or 5.9% above the close.
Change YTD: 14.62%
Volume: 11,096,000 shares. 3 month avg: 8,272,228 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: Pipe top reversal pattern from 03/03/2025 to 03/10/2025
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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GoPro (GPRO)
Industry: Electronics
Industry RS rank: 23 out of 60
Stock RS rank: 589 out of 605
3/20/25 close: $0.78
1 Month avg volatility: $0.04. Volatility stop (for upward breakout): $0.67 or 14.1% below the close.
Change YTD: -28.35%
Volume: 7,772,700 shares. 3 month avg: 5,624,629 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 bottom reversal pattern from 03/03/2025 to 03/10/2025
WARNING: A dead-cat bounce occurred on 02/07/2025. There is a 26% chance that a 15% or higher decline will occur (or has occurred since then) by 05/09/2025 and a 38% chance by 08/08/2025.
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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Griffon Corp (GFF)
Industry: Building Materials
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 48 out of 60
Stock RS rank: 175 out of 605
3/20/25 close: $71.51
1 Month avg volatility: $2.03. Volatility stop (for upward breakout): $67.08 or 6.2% below the close.
Change YTD: 0.34%
Volume: 378,600 shares. 3 month avg: 83,558 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 Thursday.
 
Chart pattern: Double Bottom, Adam and Eve reversal pattern from 03/04/2025 to 03/13/2025
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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Guess Inc. (GES)
Industry: Apparel
Industry RS rank: 33 out of 60
Stock RS rank: 580 out of 605
3/20/25 close: $12.05
1 Month avg volatility: $0.63. Volatility stop (for upward breakout): $10.71 or 11.1% below the close.
Change YTD: -14.30%
Volume: 1,505,700 shares. 3 month avg: 1,269,442 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 Bottom, Eve and Adam reversal pattern from 03/04/2025 to 03/13/2025
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 4%.
Throwbacks occur 57% of the time.
Price hits measure rule target 66% of the time.

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HealthEquity, Inc (HQY)
Industry: Healthcare Information
Industry RS rank: 27 out of 60
Stock RS rank: 138 out of 605
3/20/25 close: $84.60
1 Month avg volatility: $4.27. Volatility stop (for downward breakout): $94.99 or 12.3% above the close.
Change YTD: -11.83%
Volume: 2,370,600 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 03/19/2025 to 03/19/2025
Breakout is downward 67% of the time.
Average decline: 18%.

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Hecla Mining Co. (HL)
Industry: Metals and Mining (Div.)
Industry RS rank: 8 out of 60
Stock RS rank: 407 out of 605
3/20/25 close: $5.85
1 Month avg volatility: $0.28. Volatility stop (for upward breakout): $5.05 or 13.7% below the close.
Change YTD: 19.14%
Volume: 15,429,400 shares. 3 month avg: 4,539,271 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: Head-and-shoulders bottom reversal pattern from 12/19/2024 to 01/13/2025
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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Hershey Company, The (HSY)
Industry: Food Processing
Industry RS rank: 50 out of 60
Stock RS rank: 464 out of 605
3/20/25 close: $164.47
1 Month avg volatility: $5.35. Volatility stop (for downward breakout): $178.49 or 8.5% above the close.
Change YTD: -2.88%
Volume: 1,681,900 shares. 3 month avg: 1,717,765 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 top reversal pattern from 03/03/2025 to 03/10/2025
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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Incyte Corp. (INCY)
Industry: Drug
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 47 out of 60
Stock RS rank: 361 out of 605
3/20/25 close: $60.58
1 Month avg volatility: $2.18. Volatility stop (for downward breakout): $66.10 or 9.1% above the close.
Change YTD: -12.29%
Volume: 2,285,200 shares. 3 month avg: 1,771,434 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 Top, Adam and Adam reversal pattern from 02/07/2025 to 02/25/2025
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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Insteel Industries Inc (IIIN)
Industry: Building Materials
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 48 out of 60
Stock RS rank: 459 out of 605
3/20/25 close: $27.51
1 Month avg volatility: $0.87. Volatility stop (for upward breakout): $25.76 or 6.4% below the close.
Change YTD: 1.85%
Volume: 103,400 shares. 3 month avg: 163,711 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: Double Bottom, Eve and Adam reversal pattern from 03/05/2025 to 03/14/2025
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 4%.
Throwbacks occur 57% of the time.
Price hits measure rule target 66% of the time.

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Magnolia Oil and Gas Corp (MGY)
Industry: Petroleum (Producing)
Industry RS rank: 29 out of 60
Stock RS rank: 259 out of 605
3/20/25 close: $25.33
1 Month avg volatility: $0.94. Volatility stop (for upward breakout): $22.73 or 10.3% below the close.
Change YTD: 8.34%
Volume: 4,389,700 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Martin Marietta Materials, Inc (MLM)
Industry: Cement and Aggregates
Industry RS rank: 49 out of 60
Stock RS rank: 394 out of 605
3/20/25 close: $483.78
1 Month avg volatility: $13.81. Volatility stop (for upward breakout): $455.91 or 5.8% below the close.
Change YTD: -6.33%
Volume: 464,400 shares. 3 month avg: 575,872 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Matrix Service Co. (MTRX)
Industry: Oilfield Svcs/Equipment
Industry RS rank: 53 out of 60
Stock RS rank: 37 out of 605
3/20/25 close: $13.09
1 Month avg volatility: $0.61. Volatility stop (for upward breakout): $11.80 or 9.9% below the close.
Change YTD: 9.36%
Volume: 265,800 shares. 3 month avg: 303,508 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Mosaic Co (MOS)
Industry: Chemical (Diversified)
Industry RS rank: 41 out of 60
Stock RS rank: 130 out of 605
3/20/25 close: $28.38
1 Month avg volatility: $0.93. Volatility stop (for upward breakout): $25.94 or 8.6% below the close.
Change YTD: 15.46%
Volume: 7,319,000 shares. 3 month avg: 3,876,172 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: Pipe bottom reversal pattern from 02/24/2025 to 03/03/2025
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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Portland General Electric Co. (POR)
Industry: Electric Utility (West)
Industry RS rank: 28 out of 60
Stock RS rank: 388 out of 605
3/20/25 close: $44.33
1 Month avg volatility: $0.81. Volatility stop (for upward breakout): $42.48 or 4.2% below the close.
Change YTD: 1.63%
Volume: 894,000 shares. 3 month avg: 771,474 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: Triangle, symmetrical continuation pattern from 03/04/2025 to 03/20/2025
Breakout is upward 54% of the time.
Average rise: 31%.
Break-even failure rate: 9%.
Throwbacks occur 37% of the time.
Price hits measure rule target 66% of the time.

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Public Service Enterprise Group PEG (PEG)
Industry: Electric Utility (East)
Industry RS rank: 22 out of 60
Stock RS rank: 281 out of 605
3/20/25 close: $83.30
1 Month avg volatility: $2.03. Volatility stop (for upward breakout): $78.64 or 5.6% below the close.
Change YTD: -1.41%
Volume: 3,080,900 shares. 3 month avg: 2,747,514 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Rambus Inc (RMBS)
Industry: Semiconductor Cap Equip.
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 39 out of 60
Stock RS rank: 10 out of 605
3/20/25 close: $56.82
1 Month avg volatility: $2.76. Volatility stop (for upward breakout): $49.90 or 12.2% below the close.
Change YTD: 7.49%
Volume: 731,400 shares. 3 month avg: 669,732 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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Selective Insurance Group Inc (SIGI)
Industry: Insurance (Prop/Casualty)
Industry RS rank: 11 out of 60
Stock RS rank: 318 out of 605
3/20/25 close: $89.10
1 Month avg volatility: $2.28. Volatility stop (for upward breakout): $83.84 or 5.9% below the close.
Change YTD: -4.73%
Volume: 285,400 shares. 3 month avg: 158,554 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: Pipe bottom reversal pattern from 02/18/2025 to 02/24/2025
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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Semtech Corp (SMTC)
Industry: Semiconductor Cap Equip.
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 39 out of 60
Stock RS rank: 377 out of 605
3/20/25 close: $40.64
1 Month avg volatility: $2.60. Volatility stop (for upward breakout): $35.19 or 13.4% below the close.
Change YTD: -34.29%
Volume: 2,459,900 shares. 3 month avg: 510,991 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 03/03/2025 to 03/10/2025
WARNING: A dead-cat bounce occurred on 02/10/2025. There is a 26% chance that a 15% or higher decline will occur (or has occurred since then) by 05/12/2025 and a 38% chance by 08/11/2025.
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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Sitio Royalties Corp (STR)
Industry: Natural Gas (Diversified)
Industry RS rank: 1 out of 60
Stock RS rank: 339 out of 605
3/20/25 close: $20.49
1 Month avg volatility: $0.58. Volatility stop (for upward breakout): $19.21 or 6.3% below the close.
Change YTD: 6.83%
Volume: 551,400 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, Eve and Adam reversal pattern from 03/05/2025 to 03/14/2025
Breakout is upward 100% of the time.
Average rise: 35%.
Break-even failure rate: 4%.
Throwbacks occur 57% of the time.
Price hits measure rule target 66% of the time.

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Southwest Airlines Company (LUV)
Industry: Air Transport
Industry RS rank: 26 out of 60
Stock RS rank: 66 out of 605
3/20/25 close: $34.15
1 Month avg volatility: $1.06. Volatility stop (for upward breakout): $31.37 or 8.1% below the close.
Change YTD: 1.58%
Volume: 14,036,500 shares. 3 month avg: 8,472,914 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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TransDigm Group Inc (TDG)
Industry: Aerospace/Defense
Industry RS rank: 20 out of 60
Stock RS rank: 279 out of 605
3/20/25 close: $1,360.74
1 Month avg volatility: $31.10. Volatility stop (for upward breakout): $1,287.93 or 5.4% below the close.
Change YTD: 7.37%
Volume: 189,600 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: Triangle, ascending reversal pattern from 01/23/2025 to 03/20/2025
Breakout is upward 70% of the time.
Average rise: 35%.
Break-even failure rate: 13%.
Throwbacks occur 57% of the time.
Price hits measure rule target 75% of the time.

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Transocean Inc. (RIG)
Industry: Oilfield Svcs/Equipment
Industry RS rank: 53 out of 60
Stock RS rank: 548 out of 605
3/20/25 close: $3.24
1 Month avg volatility: $0.18. Volatility stop (for upward breakout): $2.72 or 15.9% below the close.
Change YTD: -13.60%
Volume: 31,857,800 shares. 3 month avg: 22,785,002 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: Pipe bottom reversal pattern from 03/03/2025 to 03/10/2025
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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UnitedHealth Group Inc (UNH)
Industry: Medical Services
Industry RS rank: 51 out of 60
Stock RS rank: 426 out of 605
3/20/25 close: $511.30
1 Month avg volatility: $13.01. Volatility stop (for upward breakout): $477.49 or 6.6% below the close.
Change YTD: 1.08%
Volume: 4,938,500 shares. 3 month avg: 2,825,925 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: Ugly double bottom reversal pattern from 02/21/2025 to 03/13/2025
Breakout is upward 100% of the time.
Average rise: 34%.
Break-even failure rate: 8%.
Throwbacks occur 59% of the time.
Price hits measure rule target 76% of the time.

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Valero Energy (VLO)
Industry: Petroleum (Integrated)
Industry RS rank: 14 out of 60
Stock RS rank: 285 out of 605
3/20/25 close: $134.83
1 Month avg volatility: $4.48. Volatility stop (for upward breakout): $122.59 or 9.1% below the close.
Change YTD: 9.98%
Volume: 2,852,600 shares. 3 month avg: 3,602,446 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 03/03/2025 to 03/10/2025
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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Wolfspeed (WOLF)
Industry: Semiconductor
WARNING: This industry is within the top 7 that Dead-cat bounce often.
Industry RS rank: 36 out of 60
Stock RS rank: 557 out of 605
3/20/25 close: $5.74
1 Month avg volatility: $0.63. Volatility stop (for upward breakout): $4.43 or 22.8% below the close.
Change YTD: -13.81%
Volume: 14,672,400 shares. 3 month avg: 2,005,123 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: Triangle, ascending reversal pattern from 03/03/2025 to 03/20/2025
WARNING: A dead-cat bounce occurred on 11/07/2024. There is a 38% chance that a 15% or higher decline will occur (or has occurred since then) by 05/08/2025.
Breakout is upward 70% of the time.
Average rise: 35%.
Break-even failure rate: 13%.
Throwbacks occur 57% of the time.
Price hits measure rule target 75% of the time.

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