Technical analysis of US stocks using charts and indicators
Scanned 9/2/2026
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---
description: Technical analysis of US stocks using charts and indicators
---
# Technical Analysis
## ⚠️ Data Verification — Do This Before Any Analysis
Before running any analysis, always retrieve the latest market data for the ticker:
1. **Fetch current price** — use web search or ask the user for the live price, 52-week range, and market cap. Never assume a price from training data.
2. **Confirm key figures** — recent earnings, revenue, key ratios (P/E, P/S, etc.) as applicable to this skill.
3. **State your data source** — note where the numbers came from (e.g., "Google Finance, June 19 2026") at the top of the output.
4. **Flag stale data explicitly** — if live data is unavailable, display this warning before proceeding:
> ⚠️ **Live data unavailable.** The following analysis uses training-data estimates which may be significantly out of date. Verify all prices and metrics before making any decisions.
Never silently substitute training-data estimates for current prices. When in doubt, ask the user to paste the latest quote.
---
Perform technical analysis of US stocks using price action, chart patterns, and technical indicators.
## Chart Pattern Analysis
1. **Trend Identification**
- Primary trend (uptrend, downtrend, sideways)
- Trend strength and momentum
- Support and resistance levels
- Trendline analysis
2. **Classic Chart Patterns**
- Head and shoulders, inverse H&S
- Double/triple tops and bottoms
- Cup and handle
- Triangles (ascending, descending, symmetrical)
- Flags and pennants
- Wedges and channels
3. **Candlestick Patterns**
- Reversal patterns (doji, hammer, shooting star, engulfing)
- Continuation patterns
- Multi-candle formations
## Technical Indicators
1. **Trend Indicators**
- Moving averages (SMA, EMA: 20, 50, 200-day)
- Moving average crossovers
- MACD (Moving Average Convergence Divergence)
- ADX (Average Directional Index)
2. **Momentum Indicators**
- RSI (Relative Strength Index)
- Stochastic oscillator
- Williams %R
- Rate of Change (ROC)
3. **Volume Indicators**
- Volume trends and patterns
- On-Balance Volume (OBV)
- Volume-weighted average price (VWAP)
- Accumulation/Distribution line
4. **Volatility Indicators**
- Bollinger Bands
- Average True Range (ATR)
- Volatility Index correlation
## Price Levels
- Key support and resistance zones
- Fibonacci retracement levels
- Pivot points
- Round number psychology
- Gap analysis
## Market Context
- Relative strength vs. market indices
- Sector rotation analysis
- Market breadth indicators
- Correlation with related assets
## Moving Average Chart Analysis
When given a stock ticker, always generate an MA chart and trade recommendation table as part of the analysis. This is the first required output section.
### MA Chart — Markdown Format
Retrieve or estimate recent price data and compute the following MAs:
| MA Period | Label | Trend Role |
|-----------|-------|------------|
| 30-day SMA | MA30 | Short-term trend |
| 60-day SMA | MA60 | Intermediate trend |
| 90-day SMA | MA90 | Medium-term trend |
| 200-day SMA | MA200 | Long-term bull/bear line |
| 365-day SMA | MA365 | Annual trend baseline |
**Required output — MA Position Table:**
```
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
MOVING AVERAGE CHART — [TICKER] [DATE]
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Current Price : $[PRICE]
MA Value vs Price Signal
────── ──────── ───────── ───────────────────
MA30 $[val] ▲ +X.X% [Above/Below] ← Short-term
MA60 $[val] ▲ +X.X% [Above/Below] ← Intermediate
MA90 $[val] ▲ +X.X% [Above/Below] ← Medium-term
MA200 $[val] ▼ -X.X% [Above/Below] ← Long-term bull/bear
MA365 $[val] ▼ -X.X% [Above/Below] ← Annual baseline
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
MA Stack: [BULLISH / BEARISH / MIXED]
(Bullish = MA30 > MA60 > MA90 > MA200 > MA365)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
```
**ASCII Trend Chart (last ~90 trading days):**
```
Price ($)
[HIGH] ┤ ╭──╮ ╭──╮
┤ ╭────╯ ╰────╯ ╰──╮ ← Price
┤────╯ ╰──╮
┤· · · · · · · · · ╰── ← MA30
┤══════════════════════════════ ← MA60
┤- - - - - - - - - - - - - - - ← MA90
[LOW] ┤══════════════════════════════ ← MA200
└─┬─────┬─────┬─────┬─────┬──→
-90d -70d -50d -30d -10d Today
Legend: ──── Price · · · MA30 ════ MA60/MA200 - - - MA90
```
### MA Crossover Signals
Look for and report these high-significance crossover events:
| Crossover | Type | Significance |
|-----------|------|--------------|
| MA30 crosses above MA60 | Golden Cross (short) | Short-term bullish momentum |
| MA30 crosses below MA60 | Death Cross (short) | Short-term bearish reversal |
| MA50 crosses above MA200 | Golden Cross (classic) | Major long-term bullish signal |
| MA50 crosses below MA200 | Death Cross (classic) | Major long-term bearish signal |
| Price reclaims MA200 from below | Breakout | Shift from bear to bull regime |
| Price loses MA200 support | Breakdown | Shift from bull to bear regime |
State: **most recent crossover event** + how many days ago it occurred.
---
## Trade Recommendation from MA Analysis
After computing MAs, output a clear, specific trade recommendation table:
```
╔══════════════════════════════════════════════════════════════════╗
║ MA-BASED TRADE RECOMMENDATION — [TICKER] ║
╠══════════════════════════════════════════════════════════════════╣
║ Current Price : $[PRICE] ║
╠══════════════════════════════════════════════════════════════════╣
║ OPERATION │ ENTRY PRICE │ TARGET │ STOP-LOSS ║
║ ───────────────┼───────────────┼───────────────┼────────────── ║
║ [BUY/SELL/HOLD]│ $[price] │ $[price] │ $[price] ║
╠══════════════════════════════════════════════════════════════════╣
║ Rationale: [1-sentence MA-based reason] ║
║ Basis: MA[X] = $[val] acting as [support/resistance] ║
║ R/R Ratio: 1 : [X.X] ║
║ Horizon: [SHORT / SWING / LONG-TERM] ║
╚══════════════════════════════════════════════════════════════════╝
```
**Examples of well-formed recommendations:**
- "$185 is a good BUY entry for AAPL — price pulled back to MA90 ($183) which held as support, targeting MA resistance at $198 with stop below MA200 ($175). R/R 1:2.1."
- "$310 is a good SELL/SHORT entry for TSLA — price rejected MA60 ($312) as resistance while MA30 crossed below MA60, targeting $275 with stop at $320. R/R 1:2.5."
- "HOLD for MSFT — price is compressing between MA30 ($415) and MA60 ($420); wait for a confirmed break above MA60 before adding."
**Decision rules:**
- Price above all 5 MAs in bullish stack → BUY on MA30/MA60 dips
- Price below MA200 but reclaiming MA90 → speculative BUY with tight stop
- Price below all 5 MAs → SELL/AVOID; short only if MA30 < MA60 confirmed
- Price between MAs with no clear stack → HOLD, wait for resolution
---
## Chart Visualization Support
When `--chart` flag is used, include chart specifications and data tables:
### 1. Price Chart with Moving Averages
**Chart Type**: Candlestick chart with overlay lines
**Data Table**:
```
Date Open High Low Close Volume SMA_20 SMA_50 SMA_200
2024-01-01 [price] [price] [price] [price] [volume] [price] [price] [price]
2024-01-02 [price] [price] [price] [price] [volume] [price] [price] [price]
...
[Last 90 trading days for detailed view]
```
**Visual Specifications**:
- Candlesticks: Green for up days, red for down days
- SMA 20: Blue line (short-term trend)
- SMA 50: Orange line (intermediate trend)
- SMA 200: Purple line (long-term trend)
- Support/resistance: Horizontal dashed lines with labels
### 2. Volume Bars
**Chart Type**: Bar chart (synchronized with price chart)
**Data Table**:
```
Date Volume Avg_Volume_20 Above_Avg Color
2024-01-01 [volume] [volume] [Yes/No] [Green/Red]
2024-01-02 [volume] [volume] [Yes/No] [Green/Red]
...
```
**Visual Specifications**:
- Green bars: Volume on up days
- Red bars: Volume on down days
- Dashed line: 20-day average volume
- Highlight bars exceeding 2x average volume
### 3. RSI Indicator Panel
**Chart Type**: Line chart with overbought/oversold zones
**Data Table**:
```
Date RSI_14 Overbought_70 Oversold_30 Signal
2024-01-01 [value] 70 30 [Neutral/OB/OS]
2024-01-02 [value] 70 30 [Neutral/OB/OS]
...
```
**Visual Specifications**:
- RSI line: Blue
- Overbought zone (>70): Red shaded area
- Oversold zone (<30): Green shaded area
- Midline (50): Dashed gray line
- Divergence annotations if present
### 4. MACD Indicator Panel
**Chart Type**: Line chart with histogram
**Data Table**:
```
Date MACD Signal Histogram Crossover
2024-01-01 [value] [value] [value] [None/Bullish/Bearish]
2024-01-02 [value] [value] [value] [None/Bullish/Bearish]
...
```
**Visual Specifications**:
- MACD line: Blue
- Signal line: Red
- Histogram: Green (positive), Red (negative)
- Zero line: Black dashed
- Crossover markers: Arrows or dots
### 5. Bollinger Bands
**Chart Type**: Overlay on price chart
**Data Table**:
```
Date Price BB_Upper BB_Middle BB_Lower %B Bandwidth
2024-01-01 [price] [price] [price] [price] [value] [value]
2024-01-02 [price] [price] [price] [price] [value] [value]
...
```
**Visual Specifications**:
- Upper band: Red dashed line
- Middle band (20 SMA): Blue solid line
- Lower band: Green dashed line
- Shaded area between bands: Light gray
- Price line: Black candlesticks
### 6. Support & Resistance Levels
**Annotation Overlay**:
```
Level Type Price Strength Touches Last Test Notes
Resistance $[price] Strong 5 [date] Historical high
Resistance $[price] Medium 3 [date] Recent rejection
Support $[price] Strong 4 [date] Key accumulation zone
Support $[price] Weak 2 [date] Minor bounce level
Fibonacci 61.8% $[price] N/A - - Retracement level
```
### 7. Pattern Recognition Annotations
**Chart Overlays**:
```
Pattern Type Start Date End Date Status Target Risk/Reward
Head & Shoulders 2024-01-15 2024-02-10 Confirmed $[price] 1:3.2
Ascending Triangle 2024-02-01 Current Forming $[price] 1:2.5
Flag Pattern 2024-02-05 2024-02-08 Complete $[price] 1:2.8
```
**Visual Elements**:
- Pattern boundaries: Colored rectangles or polygons
- Trendlines: Dashed connecting lines
- Breakout points: Arrows indicating direction
- Target levels: Horizontal lines with labels
### ASCII Chart Example (Terminal Display)
```
Technical Chart: AAPL (Last 30 Days)
Price ($)
180 ┤ ╭─╮
175 ┤ ╭─────╯ ╰─╮
170 ┤ ╭─────╯ ╰──╮
165 ┤ ╭─────╯ ╰─╮ ← Current: $172.50
160 ┤ ╭─────╯ ╰──
155 ┤ ╭─────╯ SMA 20: $168.23
150 ┤──────╯ SMA 50: $165.80
└──┬─────┬─────┬─────┬─────┬─────┬─────┬── ══════ Resistance: $178
1/15 1/22 1/29 2/05 2/12 2/19 2/26 ══════ Support: $155
RSI (14)
70 ┤ ● ← 68 (approaching OB)
50 ┤ ● ●
30 ┤ ●
└──┬─────┬─────┬─────┬─────┬─────┬─────┬──
Volume (M)
100M┤ █
75M┤ █ █
50M┤ █ █ █ █ █ █ █
25M┤ █ █ █ █ █ █ █ █ █ █ █ █
└──┬─────┬─────┬─────┬─────┬─────┬─────┬──
Signals:
↗ Bullish: Price above SMA 20 & 50
● RSI approaching overbought (68) - potential pullback
📊 Volume increasing on up days - healthy uptrend
🎯 Target: $178 (resistance), Stop: $165 (below SMA 50)
```
### Integration with Report Generator
When `--chart` flag is used, output is optimized for `/report-generator`:
- All chart data tables formatted for Chart.js/Plotly
- Color schemes specified for consistent visualization
- Annotations and overlays clearly defined
- Time axis formatting (date range, granularity)
- Y-axis scaling recommendations (log scale for long-term charts)
### Chart Configuration Recommendations
**Timeframe Selection**:
- **Day Trading**: 1-minute to 1-hour candles, last 5-10 days
- **Swing Trading**: 4-hour to daily candles, last 3-6 months
- **Position Trading**: Daily to weekly candles, last 1-3 years
**Indicator Combinations**:
- **Trend Following**: SMA 50/200 + MACD + ADX
- **Mean Reversion**: Bollinger Bands + RSI + Stochastic
- **Momentum**: RSI + MACD + Volume
- **Breakout**: Bollinger Bands + Volume + Pattern Recognition
---
## Multi-Timeframe Analysis (MTF)
### Framework
Analyze 3 timeframes simultaneously — higher timeframe establishes the trend, primary timeframe identifies the setup, lower timeframe refines the entry. Trade only in the direction of the higher timeframe trend.
### Trading Setups by Approach
| Approach | Higher TF (Trend) | Primary TF (Setup) | Lower TF (Entry) |
|-------------------|--------------------|---------------------|------------------|
| Day Trading | Weekly | Daily | 1-Hour |
| Swing Trading | Monthly | Weekly | Daily |
| Position Trading | Quarterly | Monthly | Weekly |
### MTF Alignment Scoring
| Alignment Score | Interpretation |
|-----------------|-------------------------------------------------------------------|
| 3/3 Bullish | Strong long setup — all timeframes confirm uptrend |
| 3/3 Bearish | Strong short setup — all timeframes confirm downtrend |
| 2/3 Aligned | Moderate setup — primary direction clear, minor conflict |
| 1/3 Aligned | Weak/conflicting — avoid new positions, wait for clarity |
| 0/3 Aligned | Contradiction across all timeframes — no trade |
### MTF Confluence Table
| Timeframe | Trend Direction | Key Signal | Support | Resistance | Alignment |
|------------|-----------------|---------------------|---------|------------|-----------|
| Higher TF | | | | | |
| Primary TF | | | | | |
| Lower TF | | | | | |
| **Overall**| | **Score: X/3** | | | |
### MTF Integration with `--chart` Flag
When `--chart` is used, MTF analysis adds the following data tables for report generation:
```
MTF Summary Table:
Timeframe Candle MA Trend RSI MACD Volume Trend Signal
Weekly [data] [Up/Down] [val] [Bull/Bear] [Rising/Fall] [Bullish/Bearish/Neutral]
Daily [data] [Up/Down] [val] [Bull/Bear] [Rising/Fall] [Bullish/Bearish/Neutral]
4-Hour [data] [Up/Down] [val] [Bull/Bear] [Rising/Fall] [Bullish/Bearish/Neutral]
Alignment Score: X/3
```
**Rule**: Never take a trade rated 1/3 or lower on MTF alignment. Wait for 2/3 minimum before entry.
---
## Volume Profile Analysis
### Key Concepts
- **Point of Control (POC)**: The price level with the highest volume traded over the selected period. Acts as a magnetic price level — markets frequently return to and consolidate around the POC.
- **Value Area (VA)**: The price range where approximately 70% of total volume was traded. Defines the "fair value zone" as agreed upon by market participants.
- **Value Area High (VAH)**: Upper boundary of the Value Area. Strong resistance when price is approaching from below.
- **Value Area Low (VAL)**: Lower boundary of the Value Area. Strong support when price is approaching from above.
- **Low Volume Node (LVN)**: A price range with minimal volume. Price passes through LVNs quickly — acts as a gap zone.
- **High Volume Node (HVN)**: A price range with dense volume. Price is magnetically attracted and consolidates around HVNs.
### Volume Profile Shapes
| Shape | Description | Implication |
|----------------------|-----------------------------------------------------|-----------------------------------------------------|
| Normal (Bell Curve) | Symmetric distribution, clear POC in the middle | Balanced, range-bound market — fair value accepted |
| P-Shape | High volume at top, thin tail at bottom | Buying tail below = short-covering rally, bullish |
| b-Shape | High volume at bottom, thin tail at top | Selling tail above = distribution/top, bearish |
| Double Distribution | Two high-volume nodes with low-volume gap between | Market in transition — break of LVN is directional |
| Thin Profile | Volume evenly spread, no clear POC | Trending market — follow the trend, no anchoring |
### Volume Profile Trading Rules
| Scenario | Interpretation | Action |
|---------------------------------|---------------------------------------------------------|-------------------------------------------|
| Price > VAH (above Value Area) | Bullish — market accepted higher prices, strong trend | Buy breakouts above VAH with volume |
| Price < VAL (below Value Area) | Bearish — market rejected higher prices, breakdown | Sell breakdowns below VAL with volume |
| Price at POC | High acceptance zone — balanced, range-bound likely | Fade edges of range; buy VAL, sell VAH |
| Price enters LVN (thin area) | Fast move — price moves quickly through low-volume gap | Expect acceleration; don't fade momentum |
| Price at HVN | Magnetic zone — consolidation, range trade likely | Mean-reversion strategies appropriate |
### Session vs. Composite Profile
- **Session Profile**: Volume profile for a single trading day or week. Identifies intraday POC, VAH, VAL.
- **Composite Profile**: Aggregated over weeks, months, or custom date range. Identifies major structural levels.
- **Integration rule**: Composite HVNs = major structural support/resistance levels. LVNs = breakout acceleration zones. Session POC = short-term magnet.
---
## Advanced Indicators: Ichimoku Cloud
### Five Components
| Component | Calculation | Default Period | Purpose |
|---------------|-------------------------------------------------|----------------|--------------------------------------|
| Tenkan-sen | (9-period High + 9-period Low) / 2 | 9 periods | Short-term trend / momentum line |
| Kijun-sen | (26-period High + 26-period Low) / 2 | 26 periods | Medium-term trend / baseline |
| Senkou Span A | (Tenkan-sen + Kijun-sen) / 2, plotted 26 ahead | Leading | Fast cloud boundary |
| Senkou Span B | (52-period High + 52-period Low) / 2, plotted 26 ahead | 52 periods | Slow cloud boundary |
| Chikou Span | Current close plotted 26 periods back | Lagging | Confirms trend vs. historical price |
The shaded area between Senkou Span A and Senkou Span B is the **Kumo (Cloud)**.
### Bullish Ichimoku Signals
| Signal | Condition | Strength |
|---------------------------|---------------------------------------------------------|----------|
| Price above Cloud | Price above both Span A and Span B | Base condition |
| Green Cloud | Span A > Span B (cloud is green/bullish) | Trend support |
| TK Cross (Bullish) | Tenkan-sen crosses above Kijun-sen | Medium signal |
| TK Cross above Cloud | Bullish TK cross while price is above the cloud | Strong signal |
| Chikou above price | Chikou Span is above historical price 26 periods ago | Confirms uptrend |
| All 5 elements aligned | All conditions bullish simultaneously | Strongest signal |
### Bearish Ichimoku Signals
| Signal | Condition | Strength |
|---------------------------|---------------------------------------------------------|----------|
| Price below Cloud | Price below both Span A and Span B | Base condition |
| Red Cloud | Span B > Span A (cloud is red/bearish) | Trend resistance |
| TK Cross (Bearish) | Tenkan-sen crosses below Kijun-sen | Medium signal |
| TK Cross below Cloud | Bearish TK cross while price is below the cloud | Strong signal |
| Chikou below price | Chikou Span is below historical price 26 periods ago | Confirms downtrend |
| All 5 elements aligned | All conditions bearish simultaneously | Strongest signal |
### Kumo Twist
- A **Kumo Twist** occurs when Senkou Span A and Span B cross — changing the cloud color from green to red (bearish twist) or red to green (bullish twist).
- The cloud is plotted 26 periods ahead, so a Kumo Twist is an early warning signal visible in advance.
- **Thin cloud**: Weak support/resistance — price can break through easily.
- **Thick cloud**: Strong support/resistance — price will struggle to penetrate.
### Ichimoku Signal Strength Matrix
| # Bullish Conditions Met | Signal Grade | Suggested Bias |
|--------------------------|------------------------|-------------------|
| 5/5 | Maximum Bullish | Strong long bias |
| 4/5 | Strong Bullish | Long bias |
| 3/5 | Moderate Bullish | Lean long |
| 2/5 | Mixed / Transitioning | Neutral |
| 1/5 or 0/5 | Bearish | Short bias |
---
## Options Flow Integration
### Put/Call Ratio Interpretation
The Put/Call ratio measures options market sentiment — the ratio of put volume to call volume on a given day.
| P/C Ratio | Interpretation |
|-------------|-------------------------------------------------------------------|
| < 0.6 | Extreme bullishness / complacency — contrarian warning (overbought)|
| 0.6–0.7 | Bullish — call buyers dominating, positive sentiment |
| 0.7–1.0 | Neutral — balanced activity |
| 1.0–1.3 | Bearish fear — put buyers dominating, defensive hedging |
| > 1.3 | Extreme fear — potential contrarian buy signal (maximum bearishness)|
**CBOE Total P/C vs. Equity-Only P/C**: Equity-only P/C more directly reflects retail/institutional directional bets (excludes index hedging).
### Unusual Options Activity (UOA) Signals
- **Large block trades**: Single orders of 500+ contracts, especially OTM (out-of-the-money)
- **OTM sweeps**: Aggressive market orders sweeping multiple exchanges at ask — directional conviction
- **Dark pool prints**: Large, off-exchange block prints can signal institutional accumulation/distribution
- **Short-dated OTM calls on takeover candidates**: One of the most reliable pre-announcement signals
- **Key UOA filters**: Volume > 5x open interest, expiry within 30 days, OTM strike, market order execution
### Implied Volatility (IV) vs. Historical Volatility (HV)
| Condition | Description | Options Strategy Implication |
|-------------|----------------------------------------------------------|-------------------------------------|
| IV >> HV | Options are expensive — market pricing elevated moves | Premium selling opportunity (write options) |
| IV ≈ HV | Options fairly priced | No directional vol edge |
| IV << HV | Options are cheap — market underpricing moves | Buying options (long vol opportunity)|
- **IV Rank (IVR)**: Current IV relative to its 52-week range. IVR > 50 = elevated; IVR < 25 = depressed.
- **IV Percentile**: % of days in the past year where IV was lower than current. More robust than IV Rank.
### Max Pain Theory
- **Max Pain** = The strike price at which the total value of all outstanding options (puts and calls) would expire worthless — the price that causes maximum loss for option buyers.
- Near expiration, market prices have a tendency to gravitate toward the max pain level (due to dealer hedging flows).
- Most useful in the final 5–7 days before monthly options expiration (OPEX).
- **Application**: If stock is significantly above max pain near OPEX, short-term mean reversion is possible.
### Gamma Exposure (GEX) and Spot Price Impact
- **Gamma** measures how much a dealer's delta changes per $1 move in the underlying.
- **Positive GEX (Dealer Long Gamma)**: Dealers buy into dips and sell into rallies — suppresses volatility, market stays range-bound.
- **Negative GEX (Dealer Short Gamma)**: Dealers sell into dips and buy into rallies — amplifies moves, increases volatility.
- **GEX Flip Level**: The price at which market transitions from positive to negative gamma — crossing this level can accelerate directional moves.
- **Practical rule**: Low realized volatility + tightening range = likely high positive GEX environment. Breakouts become more powerful when negative GEX zone is entered.
> **Note**: This section provides interpretive framework. Actual real-time options flow data, IV readings, and GEX levels must be sourced from the user's options data provider (e.g., Market Chameleon, Unusual Whales, SpotGamma, Thinkorswim).
---
## Output
Provide technical analysis report with:
- Current trend and momentum assessment
- Key chart patterns identified
- Support and resistance levels
- Technical indicator signals
- Volume and volatility analysis
- Entry/exit points and price targets
- Stop-loss recommendations
- Risk/reward ratio for trade setups
- Time horizon (short-term, swing, position trading)
- MTF alignment score and summary table
- Ichimoku Cloud status (price above/below/inside cloud)
- Volume Profile POC, VAH, VAL levels
### Enhanced Output (with --chart flag)
- All standard output sections above
- Chart data tables for price, volume, and indicators
- MTF confluence table with signal direction per timeframe
- ASCII charts for terminal display
- Pattern recognition overlays with annotations
- Support/resistance level visualizations
- Volume Profile data (POC, VA, LVN/HVN zones)
- Technical indicator panels (RSI, MACD, Bollinger Bands, Ichimoku)
- Chart specifications for HTML report generation
- Color-coded signals (bullish/bearish/neutral)
Keep analysis objective and data-driven, avoiding emotional bias.
## Standard Signal Output
All analysis concludes with this standardized block:
```
## Thesis Invalidation
After delivering the analysis signal, specify what would reverse it:
**If signal is BULLISH — thesis breaks if:**
- Price closes below the MA200 / key support level identified in this analysis on above-average volume
- MA30 crosses below MA60 (death cross) AND RSI drops below 40
- Macro regime shift: Fed pivots hawkish unexpectedly, recession probability >60%
**If signal is BEARISH — thesis breaks if:**
- Price closes above key resistance / MA200 level with volume confirmation
- price reclaims MA200 AND MA30 turns up AND volume confirms
- Fundamental improvement: surprise earnings beat >20% with guidance raise
**Re-run this analysis when:**
- [ ] Next earnings release
- [ ] Price moves ±15% from current level
- [ ] 60 days have elapsed
- [ ] Material news event (acquisition, leadership change, regulatory decision)
╔══════════════════════════════════════════════╗
║ INVESTMENT SIGNAL ║
╠══════════════════════════════════════════════╣
║ Signal: BULLISH / NEUTRAL / BEARISH ║
║ Confidence: HIGH / MEDIUM / LOW ║
║ Horizon: SHORT / MEDIUM / LONG-TERM ║
║ Score: X.X / 10 ║
╠══════════════════════════════════════════════╣
║ Action: BUY / HOLD / SELL ║
║ Conviction: STRONG / MODERATE / WEAK ║
╚══════════════════════════════════════════════╝
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Score Guide: 8.0–10.0 Strongly Bullish | 6.0–7.9 Moderately Bullish | 4.0–5.9 Neutral | 2.0–3.9 Moderately Bearish | 0.0–1.9 Strongly Bearish
Confidence: HIGH (strong data, clear signals) | MEDIUM (mixed signals) | LOW (limited data, conflicting signals)
Horizon: SHORT-TERM (1 week–3 months) | MEDIUM-TERM (3 months–1 year) | LONG-TERM (1+ years)
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