Daily Actions

Article

Daily Actions

MARKET CONTEXT: SPY $690.97 (+3.6% 30D, RSI 66.1, strong-up) | QQQ $637.40 (RSI 70.8, near ATH) | VIXY $28.62 (-8.7% 30D, RSI 40.9) | GLD $433.25 (RSI 47.2, below SMA50)

TODAY'S TAKE: Seventeen days of AI chip blowoff and broad risk-on have pushed 180 stocks to monster status — the market has shifted from an entries hunt to a risk-management test for anyone already holding the leaders; the SUSTAIN perspectives (Optical, AI Power, Food Security, US Energy Dominance, Gold Crash, Crypto-Geopolitics) are all working while BRBR/Protein Economy is officially closed.


URGENT — Same-Day Decisions

Priority Position Situation Decision Required
🚨 CRITICAL MDT (held) $83.32 vs $83 stop — 0.4% above. RSI 39.6 declining. Death cross confirmed. -14.5% on position. Healthcare sector lagging broad market rally. Honor the stop today or set explicit new stop level. Every day this stays open risks an overnight gap through $83.
🚨 CRITICAL BTC (Grayscale mini, held) $34.37 vs $34.04 stop (85% of $40.05 entry) — 1.0% above. RSI 73.5 bounced but still -14.2% on position. Exit or reset stop to $32 with rationale. At -14.2% and 1% from stop, no reason to hold through the trigger.
⚠️ ALERT AMZN (held) $263.99, RSI 79.9. +29.1% on position. Insiders dumped $10.9B into the rip. Death cross still active. Near ATH. Trim 8-10 shares (~$2,100-2,600). Lock partial gains, reduce 23% single-position concentration. Trail remaining with stop at $240 (breakeven +17%).
⚠️ ALERT WCLD (held) $25.40, RSI 33.6, -8.3% on position. Stop at $23.55. SaaS ETF structurally weak. Review thesis — SaaS structural decline suggests this position continues to lose ground. Stop at $23.55 is well-placed, but ask: why hold?

Entry Zones — Capitulation Tier (RSI < 30)

Names with RSI below 30 or just above, quality intact. Validated against daily summaries.

Stock Current Zone RSI 30D Chg Source Action Notes
LMT $513.45 $490-530 19.3 -17.7% defense-contractors ⏳ Stage NEW. War-premium unwind. RSI 19 = extreme capitulation. GD/LHX are better first entries — watch LMT for RSI upturn above 25 before touching.
NOC $575.11 $550-580 18.2 -16.8% defense-contractors ⏳ Stage NEW. RSI 18 = deepest oversold in this entire scan cycle. Do NOT buy into falling knife. Wait for RSI upturn + close above $580.
ABT $91.13 <$92 26.3 -12.5% healthcare-scan 🔍 Research NEW. Medical devices, death cross, -34.5% from 52wk high. RSI 26 but trend still down. Do not buy until trend changes.
GD $313.21 $300-325 25.7 -10.7% defense-contractors ✅ Buy Zone NEW. RSI 26, approaching capitulation. Less budget-sensitive than LMT/NOC. Actionable oversold if RSI holds 25+.
LHX $317.51 $300-320 26.8 -9.8% defense-contractors ✅ Buy Zone NEW. RSI 27. L3 Harris: sensors/electronics less politically charged. Pair with GD for defense entry.

Entry Zones — Oversold Tier (RSI 25–40, thesis intact)

Quality or institutional-grade names at meaningful discount from 52wk highs. All prices from validated daily summaries.

Stock Current Zone RSI 30D Chg Source Action Notes
GILD $130.40 <$130 30.9 -5.7% healthcare-scan, biotech 📈 Accumulate NEW. Approaching capitulation. Golden cross intact. HIV franchise + oncology pipeline solid. -17.1% from 52wk high.
HON $213.17 <$210 31.9 -5.6% bargain-bin ✅ Strong Buy NEW. Highest quality RSI<32 in scan. +1.4% above SMA200 = oversold but still in secular uptrend. Industrial conglomerate. Entry: <$210.
VEEV $158.45 <$155 32.9 -14.5% ai-scan, healthcare-scan 🔍 Research NEW. Life sciences SaaS, -49% from 52wk high. Death cross. Research: structural (EHR competition) or sentiment? Not a buy until trend changes.
ZS $122.62 32.1 -20.2% bargain-bin, ai-scan, cybersec ❌ Avoid CARRY-FORWARD. RSI 32 but $170M insider SELLING. Broken thesis. Falling knife. Do not buy the dip.
ABBV $198.71 <$195 35.2 -3.3% bargain-bin, biotech ✅ Strong Buy NEW. Pharma compounder, HUMIRA cliff absorbed, Skyrizi/Rinvoq ramping. Golden cross. Dividend aristocrat. Entry: <$195.
JNJ $227.50 <$225 35.8 -5.2% bargain-bin, healthcare-scan ✅ Strong Buy NEW. Triple-oversold pharma window. +12.1% above SMA200. Golden cross. -9.6% from 52wk high. Dividend aristocrat. Entry: <$225.
NKE $44.69 <$42 35.0 -15.7% bargain-bin, consumer 🔍 Research CARRY-FORWARD (was RSI 23 on 04/10). RSI bounced slightly but death cross, -30% vs SMA200. Research brand recovery before entry.
LULU $143.80 Wait for RSI <30 34.0 -9.4% bargain-bin, consumer 🔍 Watch CARRY-FORWARD. Death cross. Still falling. RSI 34 approaching entry but wait for stabilization. <$135 target zone.
SNOW $134.24 $120-135 34.5 -23.0% bargain-bin, cloud-saas ❌ Avoid CARRY-FORWARD. RSI 35 + $1.2B insider selling. Do not buy the dip.
LLY $883.96 <$880 38.3 -3.5% bargain-bin, healthcare-scan, biotech 📈 Accumulate NEW. Best quality in oversold pharma. GLP-1 monopoly. Golden cross intact despite -22% from 52wk high. Entry: <$880.
MRK $111.90 <$108 38.5 -6.3% healthcare-scan 🔍 Watch NEW. Keytruda franchise, golden cross. +5% 3M recently reversing. Approaching oversold entry.
TSLA $352.42 <$340 39.2 -10.9% bargain-bin, insider-scan 📈 Accumulate NEW. $200M insider BUY at RSI 39 — first major signal in months. Death cross still active. Wait for RSI <35 or confirmation close above $360.
WDAY $119.92 $110-120 38.4 -10.3% bargain-bin, ai-scan 🔍 Watch CARRY-FORWARD. HR SaaS, -57% from ATH, -41% vs SMA200. RSI approaching oversold but structural damage deep. No buy yet.
CRSP $48.78 <$45 40.7 +3.6% bargain-bin, insider-scan 📈 Accumulate NEW. $28M insider buy at RSI 40.7. Gene editing dip. -38% from 52wk high. Wait for RSI <40 on next leg.
ITA $215.80 $210-220 36.8 -4.5% defense-contractors 📈 Accumulate NEW. Diversified defense ETF-level oversold building. Cleaner vehicle than individual primes.

Entry Zones — Approaching Tier (RSI 40–50, watching)

Next-phase opportunities where setups are building but not yet actionable. Monitor daily.

Stock Current Zone RSI 30D Chg Source Action Notes
MCD $299.36 <$290 37.8 -4.0% bargain-bin 📈 Accumulate Fast food, recession-proof. RSI 37.8. -4% from SMA20. Quality compounder at discount.
BRK-B $469.32 <$460 39.8 -1.4% bargain-bin 📈 Accumulate Buffett's cash fortress pulling back. RSI 39.8.
CME $285.06 <$280 36.4 -3.0% bargain-bin 📈 Accumulate Benefits from volatility. RSI 36.
XLE $55.81 $53-57 38.9 -3.0% market-pulse, geopolitical 📈 Accumulate Energy sector RSI 39 approaching oversold while USO still +71% 3M. Sector lagging commodity = catch-up trade.
GDX $94.34 <$95 47.7 +9.3% macro-commodities, geopolitical 📈 Accumulate Gold-crash perspective HIT: miners outperforming gold on 30D. Operating leverage > safe-haven bid.
FCX $61.05 $56-63 44.1 +7.2% ai-infrastructure 📈 Accumulate -13.8% 7D on tariff fears. Copper essential for AI buildout (power wiring, cooling, packaging).
DE $562.64 $540-555 42.1 -2.4% food-security 📈 Accumulate Farm equipment cascade beneficiary. Approaching oversold. Golden cross still intact. Stage 3-4 bridge play.
URA $52.18 <$52 57.4 +4.5% macro-commodities 📈 Accumulate +5% 7D breakout from 3M flat range. AI power demand + nuclear licensing. Golden cross, +13.9% above SMA200.
LITE $881.64 $830-890 58.4 +13.4% ai-infrastructure, optical-supply-chain ✅ Strong Buy Best optical play at non-overbought RSI despite +165% 3M run. Coherent interconnects essential for AI data centers. Best risk/reward in entire AI infra scan.
VEEV $158.45 <$155 32.9 -14.5% ai-scan, healthcare-scan 🔍 Research Also listed in Oversold tier. Life sciences SaaS moat. Watch for trend reversal.
DDOG $129.48 $120-130 58.3 +5.0% cloud-saas 📈 Accumulate Best SaaS name in scan. Not broken. Observability secular trend. RSI 58, not overbought.
TSM $369.57 $340-370 62.0 +8.9% ai-scan, nvda-ecosystem 📈 Accumulate Healthiest big chip name. Manufacturing duopoly. RSI 62. Wait for SMA20 pullback to $343.
ASML $1,457.70 $1,380-1,460 54.5 +4.6% ai-scan, ai-infra 📈 Accumulate EUV monopoly. RSI healthy at 55. Only way to build leading-edge chips. Cooling from $1,482 high.
CROX $102.32 $92-97 61.1 +27.8% cultural-thesis 📈 Accumulate Cultural brand intact, golden cross. -6.2% this week = pullback opportunity. Target: <$97.
SBUX $97.48 $90-94 57.9 -0.3% cultural-thesis 📈 Accumulate Brian Niccol turnaround reading through. Golden cross. +10% above SMA200. Target: <$94.
CF $120.93 $110-115 49.5 -5.6% food-security 🔍 Watch Stage 2 food security thesis confirmed. +33% 3M pullback is normal profit-taking. Entry on next dip.
NTR $73.35 $68-71 46.5 -5.0% food-security 🔍 Watch World's largest potash producer. Stage 3 thesis building. Pulling back from 3M high.
IBIT $44.02 <$42 60.8 +9.6% crypto-scan 📈 Accumulate BTC proxy. Pull to SMA20 on BTC $73-75K retest.

Exit Alerts — Overbought Trim Candidates (RSI > 75 or Extended)

These are either holdings to reduce or new positions to avoid. Insiders distributing into many of these.

Stock Current RSI 30D% Type Insider Action Notes
AMZN (held) $263.99 79.9 +24.7% HELD -$10.9B ⚠️ TRIM NOW 23% portfolio weight. +29.1% on position. Insiders dumping $10.9B. Trim 8-10 shares. Trail remaining at $240.
AMD $347.81 88.5 +57.9% Watchlist -$200M+ ⚠️ Avoid RSI 89 — most overbought large-cap in scan. +68% vs SMA200. Wait for RSI pullback to 60-65.
ARM $234.81 87.2 +49.5% Watchlist -$200M+ ⚠️ Avoid RSI 87, +104% 3M. Parabolic. Set alert at $190 (~SMA50+premium) for re-entry.
MRVL $164.31 87.2 +67.0% Watchlist Selling ⚠️ Avoid Custom ASIC thesis right, price wrong. +90.7% vs SMA200. Wait for RSI pullback.
INTC $82.54 82.4 +75.0% Watchlist -$200M ⚠️ Avoid +75% 30D, +94% 3M. Verify thesis before chasing. RSI 82 = mean reversion incoming.
ALAB $212.84 83.6 +76.9% Optical ⚠️ Trim RSI 84, +33% vs SMA200. Death cross present. Trim 25-33% if held.
FORM $155.08 82.3 +43.5% Optical ⚠️ Trim RSI 82, +148% vs SMA200. Semiconductor test equipment at extremes. Trim.
JBL $341.65 78.4 +20.6% Optical ⚠️ Trim RSI 78. Trim 25-33% if held.
SNDK $952.50 74.2 +35.4% Optical ⚠️ Trim RSI 74, +232% vs SMA200. Trim.
CLS $410.21 73.9 +35.7% Optical/AI infra ⚠️ Trim RSI 74, +49% vs SMA200.
AVGO $422.76 78.0 +32.6% AI infra -$1.4B ⚠️ Avoid Custom AI ASICs thesis intact but price at extremes. Hold only.
GEV $1,149.19 80.6 +24.4% Energy/AI ⚠️ Hold/Trail AI grid transformer near ATH. RSI 81. Hold with trailing stop at SMA20 ($970). Do not initiate.
BE $231.17 71.1 +53.9% Energy/AI -$400M ⚠️ Hold/Trail +113% vs SMA200. RSI 71. Hold with tight stops. Insiders selling.
EQIX $1,108.76 77.5 +14.8% REIT ⚠️ Avoid Data center REIT near ATH. RSI 78. Don't add.
CRDO $195.04 77.6 +87.7% Optical ⚠️ Avoid +87.7% 30D. Great thesis, terrible entry. Wait for $155-170.
TSEM $209.47 71.3 +51.3% Optical ⚠️ Trim RSI 71, +114% vs SMA200. Trim if held.
HIMS $30.56 68.2 +46.6% Cultural 🔒 Hold RSI 68, -2.33% 7D = digesting. Hold. New entry: wait for RSI pullback to 48-52.
TAC (held) $13.68 75.9 N/A Held 🔒 Hold RSI 76, +9.6% on position. Not at sell level yet but elevated. Set mental stop at $12.50.

Stop Alerts — Holdings Near Stops

Stock Stop Level Current Distance Status Action
MDT $83.00 $83.32 0.4% 🚨 CRITICAL Honor stop TODAY or exit proactively. RSI 36.5, death cross, -14.5% on position.
BTC (GBTC mini) $34.04 $34.37 1.0% 🚨 CRITICAL Exit or reset stop to $32 with written rationale. -14.2% on position.
WCLD $23.55 $25.40 7.9% ⚠️ Watch Stop intact. SaaS ETF RSI 33.6. Thesis under structural pressure. Consider exit thesis review.
CRM $162.00 $178.16 10.0% Watch Recovered from near-stop. RSI 45.3. Stop intact. -6.7% on position.
IQV $140.00 $162.28 15.9% Watch CRO sector -32% 3M. RSI 38.6. Stop well clear but thesis pressured by healthcare IT weakness.
PLTR $119.00 $142.15 19.5% Improving Death cross still active but recovered from -8.6% to +1.5%. RSI 48.2. Stop intact.
AS $30.71 $35.84 16.7% Stable RSI 60.8. Recovering. Stop intact.
NET $151.00 $207.07 37.1% Strong RSI 53.6. +16.7% on position. Death cross still active. Stop very comfortable.
WMT $108.86 $124.57 14.4% Watch RSI 49.8, golden cross. Weak-down near-term but structure intact.

Price Alerts — Key Levels to Watch

Asset Alert Level Direction Source Status Context
BTC $80,000 Above crypto-geopolitics perspective Active Former support-turned-resistance. If BTC holds $77K and pushes through $80K with RSI above 60, perspective bull case strengthens materially.
BTC $74,926 (SMA20) Below crypto-geopolitics Active If breached, crypto bounce over — back to neutral.
USO $110-115 (SMA50 zone) Below iran-war-oil perspective Active Real test of oil thesis: if USO breaks SMA50, Iran premium fully removed — reassess COP/OXY/DVN.
LMT/NOC RSI 25-30 crossback Above defense-contractors Active RSI upturn confirmation = buyers returning. Add GD/LHX first, then stage into LMT/NOC.
GLD $445 Above gold-crash perspective Active Geopolitical safe-haven bid returning — Iran/escalation back on. Currently RSI 47 below SMA50.
META $679 (SMA200) Above mag7 candidates Active Breakout above $679 confirms trend reversal. Currently -0.6% vs SMA200.
MSFT $468.65 (SMA200) Above mag7 candidates Active Structural confirmation of MSFT recovery. Currently -9.4% vs SMA200.
NVDA $187 (SMA20 pullback) Below ai-scan Active CARRY-FORWARD. RSI 70, healthy. Wait for SMA20 dip to add.
ARM $190 Below ai-infra Active CARRY-FORWARD. RSI 87. Re-entry alert at ~SMA50 level.
AMD $280-300 Below ai-scan Active RSI 89 now. Entry zone target on pullback.
ASML $1,407 (SMA20) Below ai-infra Active CARRY-FORWARD. Cooling from $1,482. Entry on SMA20 pullback.
RKLB RSI 50 reclaim Above space Active CARRY-FORWARD. Space sector all golden cross. RKLB RSI 49 near trigger.
MOS Close above $25.02 (SMA20) Above food-security Active Stage 4 cascade indicator. MOS RSI 41, still in downtrend. Do not buy until triggered.
URA $55 Above macro-commodities Active Next resistance level. Uranium breakout consolidating.
TSM $343 (SMA20) Below ai-infra Active Best large-cap chip entry. Currently $369 — wait for SMA20 dip.
CROX $92-97 Below cultural-thesis Active Pullback entry after +28% 30D run.
HIMS $25-27 Below cultural-thesis Active 30D explosion needs digestion. Re-entry zone on RSI pullback to 48-52.

Sector Rotation Signals

Signal Trigger What It Means Status
AI chip blowoff AMD RSI 89, ARM RSI 87, MRVL RSI 87 Statistical extremes — not sustainable. Mean reversion risk is high. Do not initiate new positions. Active — Danger Zone
Optical supercycle confirmed LITE +165% 3M, CIEN +124%, AXTI +328% — all running simultaneously Physical AI infrastructure is real demand, not sentiment. But trim names at RSI 70+ (ALAB, FORM, JBL, TSEM, SNDK, CLS). SUSTAIN — Trim Mode
AI Power infrastructure BE +113% vs SMA200, GEV RSI 81, VRT +75% 3M Data center power buildout is the picks-and-shovels of AI. GEV/BE extended — hold with stops. SUSTAIN — Extended
Defense capitulation LMT RSI 19.3, NOC RSI 18.2 — deepest oversold in years War-premium unwind violent. GD/LHX RSI 25-27 are actionable. LMT/NOC wait for RSI upturn. EVOLVE — Staging
Energy services > producers HAL +7.4% 7D vs XOM -5.1% Late-cycle US Energy Dominance signal confirmed. Services capturing durable margin. Add OIH on weakness. SUSTAIN — Active
SaaS structural decline deepening ZS -15% 7D, SNOW -18.6% 7D — renewed freefall Not capitulation buying territory. Insiders selling. CRWD/DDOG the only quality exceptions. Active — Stay Away
Gold-crash thesis hit GDX +9.3% 30D vs GLD +4.1% Miners outperforming metal = operating leverage valued. Constructive for gold complex. SUSTAIN — Confirmed
BTC perspective trigger breached BTC $77,808 cleared $75K threshold Crypto-geopolitics perspective trigger confirmed. Watch $80K as next decision point. SUSTAIN — Monitor
BRBR/Protein Economy closed BRBR -79% from 52wk high, death cross Thesis failed. Remove from all consideration. HIMS was the actual consumer health winner. CLOSED — Remove
War-ends playbook emerging BA +16% 30D while LMT/NOC -15-17% Civilian recovery > defense budget fears. BA, airlines (DAL, UAL), travel (MAR, RCL) are the tells. EVOLVE — Early Signal
Monster breadth 7x 180 monsters vs 26 prior scan Near-term exhaustion risk is elevated. Vol (VXX -16% 7D) at floor. Peak complacency signal. Active — CAUTION

Insider Activity Summary

Signal Stocks Implication
🟢 BUYING TSLA (+$200M at RSI 39), CRSP (+$28M at RSI 40), TSM (+$0.8M) Smart money sees beaten-down value at TSLA and CRSP
⚠️ SELLING INTO DIP ZS (-$170M, RSI 32) Broken thesis — insiders validating the breakdown. Do NOT buy
🔴 SELLING INTO RIP AMZN (-$10.9B), AVGO (-$1.4B), ARM (-$200M), AMD (-$200M), INTC (-$200M), MRVL (selling) Distribution at parabolic tops — confirms trim rationale
🔴 HEAVY SELLING NVDA (-$3B), PLTR (-$3.7B), SNOW (-$1.2B), NET (-$742M), CRWD (-$438M), BE (-$401M) Broad tech distribution ongoing
🔴 KEY RISK: LLY LLY (-$4.8B selling into RSI 38 dip) GLP-1 giant: insiders selling $4.8B into -3.5% 30D dip raises questions. Still a buy on thesis, but size carefully

Perspective Retrospective Status (2026-04-26)

Perspective Status Action Implications
Optical Supercycle SUSTAIN — Thesis fully confirmed Trim RSI 70+ names (ALAB, FORM, JBL, SNDK, CLS, TSEM). Hold: LITE, COHR, CIEN, GLW. Add on pullback: AXTI, LWLG, SMTC
AI Power Bottleneck SUSTAIN — BE/GEV running, VRT +75% 3M Hold GEV/BE with tight stops. Add NEE, MOD on dips. Avoid SMR/OKLO (thesis broken)
Food Security Cascade SUSTAIN — Stage 2-3 confirmed Hold CF/NTR. Accumulate DE on dips. Watch MOS for Stage 4 trigger. Remove FMC.
US Energy Dominance SUSTAIN — Services outperforming Hold HAL/SLB/OIH. Accumulate XLE at RSI 39. USO hold above SMA50.
Gold-Crash SUSTAINGDX beating GLD on 30D Accumulate GDX. GLD approaching contrarian entry (RSI 47, below SMA50).
Crypto-Geopolitics SUSTAINBTC cleared $75K Watch BTC $80K. Accumulate IBIT on dips. Hold RIOT/CLSK.
War-Ends Playbook 🟡 EVOLVE — Split signals Long BA (+16% 30D). Watch airlines (DAL, UAL) and travel (MAR, RCL). Defense primes (LMT/NOC) at extreme oversold — stage, don't buy yet.
Gulf Infrastructure Strike 🟡 EVOLVE — Risk premium deflating VXX -16% 7D. USO cooling. Market pricing de-escalation. Watch USO SMA50 for thesis test.
Iran War Oil 🟡 EVOLVE — Cooling scenario playing out USO -10% 7D. Services > producers. Thesis intact but entering consolidation.
Protein Economy / BRBR CLOSED Remove BRBR from all tracking. HIMS is the real consumer health winner (GLP-1 access).

Pending Research / Watch List

Action Source Priority Status
ACT: Honor MDT $83 stop or set new stop with written rationale Holdings — 0.4% above stop, death cross HIGH Today
ACT: Exit BTC (Grayscale) or reset stop to $32 Holdings — 1.0% above stop, -14.2% on position HIGH Today
ACT: Trim AMZN 8-10 shares, set trailing stop at $240 Holdings — RSI 80, $10.9B insider selling, 23% weight HIGH Today
RESEARCH: GD/LHX entry zones Defense-contractors RSI 25-27 — most actionable defense buys HIGH This week
RESEARCH: Verify INTC thesis before RSI 82 Intel +75% 30D — what's driving the turnaround narrative? MEDIUM This week
REVIEW: WCLD thesis Cloud SaaS ETF -8.3% on position, SaaS structural decline ongoing MEDIUM This week
WATCH: META SMA200 crossback ($679) Mag7 — one good week from confirmation MEDIUM Monitor
WATCH: MSFT SMA200 reclaim ($468) Mag7 — dramatic RSI 38 → 63 reversal MEDIUM Monitor
WATCH: MOS Stage 4 trigger Food security cascade — buy signal: MOS close above $25.02 SMA20 + RSI >50 MEDIUM Monitor
WATCH: BTC $80K resistance test Crypto-geopolitics perspective — bull case confirmation MEDIUM Monitor
RESEARCH: VEEV thesis (structural vs. sentiment) Healthcare-scan RSI 33, -49% from 52wk high MEDIUM This week
RESEARCH: ABT medical device selloff catalyst Healthcare-scan RSI 26 — tariffs vs demand destruction? MEDIUM This week
MONITOR: LMT/NOC for RSI upturn above 25-30 Defense capitulation — entry signal when sellers exhausted MEDIUM Daily
RESEARCH: War-ends playbook activation BA/airlines/travel — when does the ceasefire pricing become a buy? LOW This week
REVIEW: WCLD exit thesis -8.3% position, cloud SaaS structural decline LOW End of week
WATCH: CROX/SBUX entry on dip Cultural thesis — both golden cross, pulling back LOW Monitor
MONITOR: Space sector golden crosses RKLB RSI 49, first space sector golden cross in 12+ months LOW Monitor
REVIEW: PLTR stop / thesis Death cross, -31% from ATH, RSI 48 bounce. Stop at $119 — does it stay? LOW This week
REMOVE FMC from food security tracking Broken thesis (-14% 7D, -62% 1Y, death cross) LOW Admin

The Gold

Key Discoveries (2026-04-26)

Discovery Implication
180 monsters vs 26 prior scan (+593%) — zero dropouts Historic breadth surge. Rally is real and broad. But breadth extremes also mark intermediate tops. Vol collapse (VXX -16% 7D) = peak complacency. Risk management is the job now.
AMZN insiders sold $10.9B into +29% position gain Largest single insider distribution signal in scan history. The smart money exiting into your strength. Trim is not optional — it's required.
Defense capitulation (LMT RSI 19, NOC RSI 18) in same scan as AI chip blowoff (AMD RSI 89, ARM RSI 87) Two opposite extremes simultaneously. Market is pricing geopolitical de-escalation (sell defense) AND AI capex arms race (buy chips) at the same time. Both are rational but one of them is wrong.
LITE +165% 3M at RSI 58 — best risk/reward in scan The optical supercycle has +165% 3M runs yet RSI only 58 = genuine supply constraint, not just sentiment. Unlike AMD/ARM (RSI 87-89), LITE is still a viable entry.
Triple-oversold pharma: GILD/JNJ/ABBV all RSI 31-36 simultaneously Rare pharma capitulation window. Quality franchises at generational discounts. GILD golden cross, JNJ +12% above SMA200, ABBV dividend aristocrat. The "boring" best trade on the board today.
BRBR -79% from thesis target while HIMS +47% 30D Cultural arbitrage was right about the behavior (GLP-1/wellness) but wrong about the vehicle. The meta-lesson: verify that the macro trend's stock beneficiary is actually the stock, not the downstream category.
MDT and BTC simultaneously at stops Two concurrent stop situations is unusual. One position at 0.4% from stop while the other is 1.0% — both require same-day decisions. Don't let urgency paralysis turn two decisions into two losses.

Regime Read (Perspectives Context)

The 6 SUSTAIN perspectives (Optical, AI Power, Food Security, US Energy Dominance, Gold Crash, Crypto-Geopolitics) are all working. The 3 EVOLVE perspectives (War-Ends, Gulf Strike, Iran-Oil) are showing split signals — de-escalation pricing dominant. One perspective CLOSED (BRBR/Protein Economy). The regime is: manage extended positions, accumulate quality oversold, honor stops, and wait for the chip blowoff to exhaust before adding tech.

Sources

Price, RSI and trend figures read from the desk's validated daily scan summaries (summaries). No number in this note was computed in prose.

4 events

No direct external sources are attached to this read.