Regime
Mixed with sector rotation - Tech showing weakness while Financials/REITs show strength
Bias
Cautiously bullish on momentum names, selective short opportunities in broken tech
Best Setups
Individual stock momentum plays (AAPL long, ORCL short), sector rotation (XLF strength)
Avoid
Broad tech weakness, avoid catching falling software knives (CRM, ADBE, ORCL)
high
2-4 weeks
3-5% of portfolio
Breaking out with massive volume (58M vs ~30M avg), up 3.2% showing relative strength while tech overall flat. Price action suggesting institutional accumulation
Catalyst: Earnings momentum + AI narrative building into product cycle
Entry
264.00 on any pullback or 266.50 break of resistance
Target
280.00 (test of 52-week high zone)
Stop
255.00 (below previous close support)
Invalidation: Break below 250 kills momentum structure
medium
3-6 weeks
2-3% of portfolio
Financials showing relative strength vs broad market, up 1.06% with strong volume (54M). Sector rotation into value/cyclicals
Catalyst: Rate environment stabilizing, banking earnings strength
Entry
52.50 on any early weakness
Target
55.50 (approaching 52-week high)
Invalidation: Break below 50.00 major support
medium
4-8 weeks
2% of portfolio
REITs at/near 52-week highs with momentum, up 1.01%. Beneficiary of rate cycle positioning
Catalyst: Defensive rotation + yield appeal in uncertain environment
Entry
44.00 on any small dip
Invalidation: Break below 42.00 negates breakout
high
2-4 weeks
2-3% of portfolio
Massive breakdown -3.85% on heavy volume, showing severe relative weakness vs sector. Technical damage done
Catalyst: Cloud competition intensifying, breaking key support levels
Entry
153.00 on any bounce to resistance
Target
140.00 (next major support)
Stop
158.00 (back above breakdown level)
Invalidation: Reclaim above 160 negates breakdown
medium
2-3 weeks
2% of portfolio
Breaking down -2.86% near 52-week lows (180.24), showing persistent weakness in enterprise software
Catalyst: SaaS multiple compression + growth concerns
Entry
183.00 on any relief bounce
Target
175.00 (test of 52-week low)
Invalidation: Strong bounce above 190 changes structure
medium
2-4 weeks
2-3% of portfolio
Showing relative strength vs BTC, up 1.02% while BTC down -0.87%. Leading the bounce off lows
On-Chain Signal: ETH showing better momentum than BTC in recent sessions
Entry
2000 on any small pullback
Target
2200 (next major resistance)
speculative
1-3 weeks
1% of portfolio (high risk)
Up 1.1% showing momentum, 7-day +10.15% suggests meme revival. High beta play on crypto recovery
On-Chain Signal: Social sentiment and volume picking up
Entry
0.1015 on slight dip
medium
2-4 weeks
1-2% of portfolio
Monster 7-day performance +23.96%, maintaining momentum with +0.73% today. Privacy coin narrative building
On-Chain Signal: Strong week-over-week momentum, rank #23 showing institutional interest
Entry
295 on any pullback