Wrap verdict

SPY +0.43% since prior close; Broken Momentum / Avoid leads (+0.78%), Extended Momentum Risk lags (-1.28%).

Constructive RotationConstructive Rotation — historically persists ~5 trading days; p(stay) 0.80; a risk-STATE gauge — monotone in forward volatility, not direction.

Actionable Trading Ideas

High convictionregime:04 · n=194

Regime context — size to the state: Constructive Rotation

Constructive Rotation (composite 0.56, confidence 0.80)

This regime historically persists ~5 td, p_stay 0.80. Labels are monotone in forward VOLATILITY, not direction — Distribution Risk historically preceded the BEST fwd-20d returns (+2.54%).

ExpressSet gross/net to the volatility state, not the label's tone; keep position sizing modest here.
FramingA risk-state gauge: size positions, do not chase direction off the label.
InvalidationInvalidated on a confirmed regime transition (the two-run confirmation rule).
Medium convictionsigma:04 · n=27

Stretched factor — mean-reversion watch: Quality - Extended Risk d1

Quality - Extended Risk d1 = +1.80% (+2.68σ vs 60d)

2.68σ extended vs 60d (n=27). Factor and regime extremes are risk-STATE signals, not direction calls (ref: the -3.45σ Momentum-LowVol week).

ExpressExpress via the pair: fade the leg that ran — long Extended Momentum Risk / short Quality / Low-Vol Uptrend (or trim the spread).
FramingA >=2σ dislocation has historically reverted more often than it extends — this is a fade-the-extreme probability, not a directional forecast.
InvalidationInvalidated if the print keeps widening on rising volume or a fresh regime break confirms the move.
Medium convictionsigma:04 · n=60

Stretched factor — mean-reversion watch: Credit w1

Credit w1 = +1.09% (+2.25σ vs 60d)

2.25σ extended vs 60d (n=60). Factor and regime extremes are risk-STATE signals, not direction calls (ref: the -3.45σ Momentum-LowVol week).

ExpressExpress via the pair: fade the leg that ran — long LQD / short HYG (or trim the spread).
FramingA >=2σ dislocation has historically reverted more often than it extends — this is a fade-the-extreme probability, not a directional forecast.
InvalidationInvalidated if the print keeps widening on rising volume or a fresh regime break confirms the move.
Low convictiongap:01 · n=74435

Gap fade — down-gap bounce into the close

RXT gapped -30.49% at the open

Down-gaps >=1% have bounced +13-14bps from 10:00 into the close (n=74,435, t=14.3, 51.6% up); strongest faders DIA/XLE/XLI/KRE/MDY/SPY.

ExpressFade intraday weakness in RXT, FRMI, SMPL, GVA, QTTB from ~10:00 ET toward the close.
FramingA small positive-expectancy mean-reversion, not a conviction long — tiny edge, tight risk.
InvalidationInvalidated if the gap keeps trending down through 10:30 on expanding volume.
Low convictionwarehouse:09

Event risk — crowded short float

TWST short float 28.4% (13 names >=20%)

High short-float names carry ~2.5x baseline odds of a +15% 10-day move (16.9% vs 6.8%), in BOTH directions.

ExpressTreat TWST, HIMS, MARA, APLD as elevated-variance event risk; size for a two-sided move, not a squeeze long.
FramingEvent risk, not a buy signal — the distribution is fat-tailed both ways.
InvalidationNot a trade until a catalyst and confirmation align.
SPY+0.43%gap +0.05% · open +0.39%
Best factor+0.78%Broken Momentum / Avoid
Worst factor-1.28%Extended Momentum Risk
Breadth70%baskets +ve · A/D 623/375

Sigma Board

−3σ0+3σ
Quality - Extended Risk d1spread · +1.80% · 60d · n=27+2.68σ
Credit w1spread · +1.09% · 60d · n=60+2.25σ
% above SMA200breadth · 68.10 · 60d · n=60+1.75σ
EqualWeight - CapWeight w1spread · -1.65% · 252d · n=252-1.38σ
Extended Momentum Risk d1basket · -1.28% · 60d · n=27-1.34σ
Growth - Value w1spread · +2.29% · 252d · n=252+1.34σ
Small - Large w1spread · -1.90% · 252d · n=252-1.32σ
Small - Large d1spread · -0.85% · 252d · n=252-1.20σ
% above SMA50breadth · 65.30 · 60d · n=60+0.95σ
Duration w1spread · -1.22% · 252d · n=252-0.92σ
Credit d1spread · +0.18% · 60d · n=60+0.86σ
Neutral / Transition d1basket · +0.68% · 60d · n=27+0.72σ

Most stretched print: Quality - Extended Risk d1 at +1.80% (z60 2.68, n=27); 3 metrics beyond 1.5 sigma.

Closing Factor Performance

Broken Momentum / Avoid+0.78%
154 names · 100% cov · rvol 0.64
ID+0.8%
1D+0.8%
3D-0.9%
1W-1.8%
MTD+0.8%
1M-4.6%
3M-13.8%
YTD-16.6%
1Y-14.1%
2Y+13.4%
Neutral / Transition+0.68%
430 names · 100% cov · rvol 0.59
ID+0.7%
1D+0.7%
3D+0.5%
1W-0.2%
MTD-1.4%
1M-0.0%
3M+9.7%
YTD+19.0%
1Y+33.8%
2Y+55.8%
Quality / Low-Vol Uptrend+0.52%
185 names · 99% cov · rvol 0.64
ID+0.5%
1D+0.5%
3D-0.8%
1W-0.3%
MTD+2.1%
1M+6.1%
3M+10.7%
YTD+12.7%
1Y+20.1%
2Y+36.8%
Oversold / Mean-Reversion Watch+0.48%
36 names · 97% cov · rvol 0.74
ID+0.5%
1D+0.5%
3D-0.5%
1W-3.7%
MTD-9.8%
1M-17.9%
3M-12.1%
YTD+0.5%
1Y+16.8%
2Y+43.1%
Institutional Large-Cap Accumulation-0.14%
18 names · 100% cov · rvol 0.62
ID-0.1%
1D-0.1%
3D-0.1%
1W+0.6%
MTD+2.8%
1M+15.5%
3M+50.9%
YTD+35.4%
1Y+48.9%
2Y+117.8%
Thematic Momentum Leadership-0.17%
165 names · 100% cov · rvol 0.62
ID-0.2%
1D-0.2%
3D-0.2%
1W-0.4%
MTD+0.2%
1M+16.1%
3M+37.0%
YTD+51.8%
1Y+83.7%
2Y+121.9%
Mega-Cap Liquid Momentum Leadership-0.86%
12 names · 100% cov · rvol 0.56
ID-0.9%
1D-0.9%
3D+5.4%
1W+3.0%
MTD-7.4%
1M+11.2%
3M+68.0%
YTD+149.3%
1Y+216.2%
2Y+207.3%
Extended Momentum Risk-1.28%
3 names · 100% cov · rvol 0.57
ID-1.3%
1D-1.3%
3D-0.9%
1W-1.2%
MTD+7.0%
1M+17.5%
3M-3.6%
YTD-23.5%
1Y-18.9%
2Y+3.3%

Best production basket: Broken Momentum / Avoid +0.78% D1; worst: Extended Momentum Risk -1.28%.

Sector Rotation

Consumer Discretionary+1.66%
Consumer Staples+1.06%
Financials+0.93%
Utilities+0.68%
Information Technology+0.57%
Materials+0.52%
Real Estate+0.39%
Industrials+0.35%
Communication Services+0.30%
Health Care-0.69%
Energy-1.01%

Best sector: Consumer Discretionary +1.66% D1; worst: Energy -1.01%.

Themes and Keyword Baskets

Consumer / Retail+1.1%1D
486 names · 76% cov
ID+1.1%WTD-1.2%MTD+0.1%YTD+8.3%
Industrial Automation+0.7%1D
491 names · 78% cov
ID+0.7%WTD-0.6%MTD-2.9%YTD+25.1%
Macro Rates / Inflation+0.6%1D
494 names · 78% cov
ID+0.6%WTD-1.1%MTD-1.0%YTD+15.6%
Housing / Real Estate+0.6%1D
423 names · 70% cov
ID+0.6%WTD-0.4%MTD+0.1%YTD+11.8%
Financials / Credit+0.6%1D
677 names · 62% cov
ID+0.6%WTD-0.6%MTD+0.9%YTD+13.0%
Crypto / Digital Assets+0.5%1D
151 names · 68% cov
ID+0.5%WTD-0.6%MTD+0.9%YTD+11.5%
Cloud Software+0.5%1D
262 names · 80% cov
ID+0.5%WTD+2.3%MTD+3.4%YTD+15.2%
AI Infrastructure+0.4%1D
830 names · 81% cov
ID+0.4%WTD-0.8%MTD-2.4%YTD+23.7%
Semiconductors+0.3%1D
247 names · 90% cov
ID+0.3%WTD-0.6%MTD-5.0%YTD+47.6%
Commodities / Materials+0.2%1D
184 names · 76% cov
ID+0.2%WTD-2.6%MTD-4.0%YTD+13.9%
Energy Transition+0.0%1D
1123 names · 68% cov
ID+0.0%WTD-1.2%MTD-1.3%YTD+18.2%
Cybersecurity-0.2%1D
158 names · 72% cov
ID-0.2%WTD-0.4%MTD-0.2%YTD+14.8%
Oil & Gas-0.4%1D
370 names · 77% cov
ID-0.4%WTD+0.3%MTD-0.1%YTD+22.0%
Defense / Aerospace-0.5%1D
259 names · 81% cov
ID-0.5%WTD-3.0%MTD-5.1%YTD+26.5%
Healthcare / Biotech degraded-1.1%1D
626 names · 57% cov
ID-1.1%WTD-0.3%MTD+1.2%YTD+31.7%

Best theme: Consumer / Retail +1.13% D1; worst: Defense / Aerospace -0.49%.

Factor × Sector Map

Oversold / Mean-Reversion Watchn4
Consumer Discretionary
+3.7%1D
ID+3.7%WTD-2.0%MTD-3.9%
Oversold / Mean-Reversion Watchn3
Real Estate
+2.1%1D
ID+2.1%WTD+0.2%MTD-3.0%
Thematic Momentum Leadershipn17
Consumer Discretionary
+1.8%1D
ID+1.8%WTD+1.2%MTD+2.5%
Thematic Momentum Leadershipn7
Consumer Staples
+1.7%1D
ID+1.7%WTD-0.6%MTD+2.1%
Neutral / Transitionn47
Consumer Discretionary
+1.6%1D
ID+1.6%WTD-1.0%MTD-1.4%
Quality / Low-Vol Uptrendn13
Consumer Discretionary
+1.6%1D
ID+1.6%WTD-0.8%MTD+1.8%
Broken Momentum / Avoidn11
Materials
+1.4%1D
ID+1.4%WTD-2.1%MTD+0.1%
Broken Momentum / Avoidn25
Consumer Discretionary
+1.4%1D
ID+1.4%WTD-1.8%MTD-0.3%
Neutral / Transitionn12
Utilities
+1.2%1D
ID+1.2%WTD+1.0%MTD+1.2%
Broken Momentum / Avoidn11
Consumer Staples
+1.2%1D
ID+1.2%WTD-0.7%MTD+2.2%
Broken Momentum / Avoidn13
Financials
+1.2%1D
ID+1.2%WTD+0.9%MTD+6.8%
Broken Momentum / Avoidn9
Real Estate
+1.2%1D
ID+1.2%WTD-0.4%MTD+1.6%
Neutral / Transitionn19
Consumer Staples
+1.1%1D
ID+1.1%WTD-2.5%MTD+1.8%
Neutral / Transitionn61
Financials
+1.0%1D
ID+1.0%WTD+0.5%MTD+1.4%
Quality / Low-Vol Uptrendn42
Financials
+1.0%1D
ID+1.0%WTD+0.6%MTD+3.2%
Broken Momentum / Avoidn17
Communication Services
+0.9%1D
ID+0.9%WTD-1.7%MTD+1.9%
Broken Momentum / Avoidn4
Utilities
+0.9%1D
ID+0.9%WTD-0.5%MTD-2.7%
Neutral / Transitionn89
Information Technology
+0.7%1D
ID+0.7%WTD+1.3%MTD-4.0%
Quality / Low-Vol Uptrendn15
Information Technology
+0.7%1D
ID+0.7%WTD+2.2%MTD+4.9%
Broken Momentum / Avoidn21
Information Technology
+0.7%1D
ID+0.7%WTD-1.1%MTD+5.1%
Thematic Momentum Leadershipn23
Financials
+0.6%1D
ID+0.6%WTD+0.7%MTD+3.4%
Neutral / Transitionn16
Materials
+0.6%1D
ID+0.6%WTD-2.7%MTD-3.7%
Quality / Low-Vol Uptrendn22
Industrials
+0.5%1D
ID+0.5%WTD-0.4%MTD+1.2%
Neutral / Transitionn37
Health Care
+0.5%1D
ID+0.5%WTD-0.8%MTD+3.2%
Neutral / Transitionn89
Industrials
+0.5%1D
ID+0.5%WTD-1.9%MTD-5.1%
Quality / Low-Vol Uptrendn25
Utilities
+0.5%1D
ID+0.5%WTD-1.6%MTD+0.2%
Oversold / Mean-Reversion Watchn7
Information Technology
+0.4%1D
ID+0.4%WTD-1.7%MTD-20.2%
Quality / Low-Vol Uptrendn3
Materials
+0.4%1D
ID+0.4%WTD-3.6%MTD-0.8%
Broken Momentum / Avoidn31
Industrials
+0.3%1D
ID+0.3%WTD-3.7%MTD-3.9%
Neutral / Transitionn11
Communication Services
+0.3%1D
ID+0.3%WTD+0.6%MTD+3.7%
Neutral / Transitionn22
Real Estate
+0.3%1D
ID+0.3%WTD-1.8%MTD-0.8%
Thematic Momentum Leadershipn19
Information Technology
+0.3%1D
ID+0.3%WTD-0.2%MTD-5.4%
Oversold / Mean-Reversion Watchn3
Utilities
+0.2%1D
ID+0.2%WTD+0.1%MTD-0.2%
Institutional Large-Cap Accumulationn6
Financials
+0.2%1D
ID+0.2%WTD+0.8%MTD+8.0%
Quality / Low-Vol Uptrendn24
Real Estate
+0.2%1D
ID+0.2%WTD-0.9%MTD+1.6%
Quality / Low-Vol Uptrendn9
Consumer Staples
+0.1%1D
ID+0.1%WTD-0.7%MTD+2.0%
Oversold / Mean-Reversion Watchn9
Industrials
+0.1%1D
ID+0.1%WTD-5.0%MTD-10.8%
Thematic Momentum Leadershipn24
Industrials
+0.1%1D
ID+0.1%WTD-2.5%MTD-3.9%
Institutional Large-Cap Accumulationn7
Information Technology
+0.0%1D
ID+0.0%WTD+3.3%MTD+0.7%
Thematic Momentum Leadershipn5
Energy
+0.0%1D
ID+0.0%WTD+7.0%MTD+8.5%
Quality / Low-Vol Uptrendn6
Communication Services
-0.1%1D
ID-0.1%WTD-1.4%MTD+1.4%
Oversold / Mean-Reversion Watchn6
Materials
-0.1%1D
ID-0.1%WTD-6.3%MTD-7.0%
Quality / Low-Vol Uptrendn24
Health Care
-0.2%1D
ID-0.2%WTD-0.6%MTD+2.7%
Thematic Momentum Leadershipn7
Real Estate
-0.3%1D
ID-0.3%WTD-2.7%MTD-0.5%
Broken Momentum / Avoidn6
Health Care
-0.3%1D
ID-0.3%WTD-1.4%MTD+2.7%
Mega-Cap Liquid Momentum Leadershipn8
Information Technology
-0.4%1D
ID-0.4%WTD+5.3%MTD-9.3%
Thematic Momentum Leadershipn8
Communication Services
-0.9%1D
ID-0.9%WTD-2.6%MTD-0.2%
Institutional Large-Cap Accumulationn4
Health Care
-1.0%1D
ID-1.0%WTD-3.7%MTD-0.9%
Neutral / Transitionn27
Energy
-1.0%1D
ID-1.0%WTD+3.9%MTD+2.9%
Thematic Momentum Leadershipn52
Health Care
-1.5%1D
ID-1.5%WTD-0.4%MTD+1.5%
Thematic Momentum Leadershipn3
Materials
-1.5%1D
ID-1.5%WTD-1.8%MTD-5.9%
Broken Momentum / Avoidn6
Energy
-1.7%1D
ID-1.7%WTD-4.3%MTD-3.5%
Where each factor basket is working by sector — sorted by 1-day equal-weight return, ≥3 names per cell.

Regime Assessment

trend+1.05
breadth+1.40
volatility-0.50
rotation+0.15
size-1.25
style+1.75
p(stay 1d)0.80
p(persist 5d)0.31
expected dwell5.0 td
samplen=194

Labels are monotone in forward VOLATILITY, not direction — size positions to the risk state, don't chase the label. Transition is empirical; a label change needs two-run confirmation.

Regime: Constructive Rotation — an orderly tape that historically precedes subdued volatility; composite 0.56, historical p(stay 1d) 0.80 with expected dwell 5.0 trading days.

Session Snapshot

SPY+0.4%rvol 0.7
QQQ+0.3%rvol 0.6
DIA+0.3%rvol 0.7
IWM-0.4%rvol 0.6
MDY-0.1%rvol 0.7
IJR+0.1%rvol 0.5
RSP+0.4%rvol 0.5
VTI+0.3%rvol 0.8
XLK+0.2%rvol 0.5
XLF+0.3%rvol 0.7
XLE+0.5%rvol 0.7
XLV-0.8%rvol 0.8
XLI+0.5%rvol 0.7
XLY+0.3%rvol 0.7
XLP+1.1%rvol 0.7
XLU+0.6%rvol 0.7
XLB+1.2%rvol 0.6
XLC+1.0%rvol 0.8
XLRE+0.5%rvol 0.6
MTUM+0.2%rvol 0.6
VLUE+0.1%rvol 0.2
QUAL+0.5%rvol 0.9
USMV+0.2%rvol 0.8
SPLV+0.5%rvol 0.5
SPHB-0.1%rvol 0.5
IWF+0.5%rvol 0.4
IWD+0.2%rvol 0.4
VUG+0.5%rvol 1.1
VTV+0.3%rvol 1.0
SMH+0.5%rvol 0.6
XBI-3.2%rvol 1.2
ITA-0.2%rvol 0.7
KRE+0.5%rvol 0.7
XHB+0.9%rvol 0.6
TAN+0.0%rvol 0.4
TLT-0.0%rvol 0.6
IEF-0.1%rvol 1.0
HYG-0.1%rvol 0.8
LQD-0.2%rvol 1.2
GLD-0.3%rvol 0.7
USO-0.3%rvol 0.7
UUP+0.1%rvol 0.8

SPY +0.43% since close (gap +0.05%, rvol 0.71); session phase afterhours.

What Worked Today

BasketSideTickerReturnWeight
Broken Momentum / AvoidtopMETA+15.26%0.17
Broken Momentum / AvoidtopWMT+1.62%0.12
Broken Momentum / AvoidtopTMUS+4.15%0.02
Broken Momentum / AvoidbottomCOST-2.27%0.05
Broken Momentum / AvoidbottomNFLX-1.62%0.04
Broken Momentum / AvoidbottomPLTR-1.14%0.03
Neutral / TransitiontopNVDA+2.90%0.11
Neutral / TransitiontopMSFT+2.75%0.07
Neutral / TransitiontopAMZN+2.59%0.06
Neutral / TransitionbottomINTC-4.79%0.02
Neutral / TransitionbottomMRVL-4.53%0.01
Neutral / TransitionbottomAVGO-0.59%0.04
Extended Momentum RiskbottomINSM-2.24%0.46
Extended Momentum RiskbottomBRO-1.10%0.44
Extended Momentum RiskbottomRYAN-0.49%0.10

Broken Momentum / Avoid led the session at +0.78% D1, paced by META +15.26%.

Size and Breadth

Size bucketNIntradayD1WTDBreadth
Large (>=5B)1003+0.48%+0.48%-0.58%62.2% adv
Micro Cap $250M-$1B228-0.77%-0.77%-1.52%45.1% adv
Nano Cap <$250M21-1.26%-1.20%-2.08%45.0% adv
Small Cap $1B-$5B829+0.18%+0.18%-0.22%57.7% adv
% > SMA50% > SMA200AdvancersDecliners% Baskets Positive
65.3%68.1%62337570.2%

65.3% of the universe holds above the 50-day and 68.1% above the 200-day; advancers 623 vs decliners 375.

Volume and Participation

DimensionBasketMedian RVol% Members RVol>1.5
productionBroken Momentum / Avoid0.641.9%
productionExtended Momentum Risk0.570.0%
productionInstitutional Large-Cap Accumulation0.620.0%
productionMega-Cap Liquid Momentum Leadership0.560.0%
productionNeutral / Transition0.591.4%
productionOversold / Mean-Reversion Watch0.748.6%
productionQuality / Low-Vol Uptrend0.640.5%
productionThematic Momentum Leadership0.620.6%
TickerBasketRVolReturnNote
IONSOversold / Mean-Reversion Watch5.37-14.34%distribution volume
CRCLBroken Momentum / Avoid2.89+3.33%breakout volume

IONS prints 5.37x relative volume in Oversold / Mean-Reversion Watch at -14.34%.

Cross-Asset Confirmation

CAC +0.75 — risk-supportive (positive = risk-supportive)

Signal5dPoints
Credit (HYG−LQD)+0.90%+0.60
Risk vs defensives+0.38%+0.00
Dollar (−UUP)+0.46%+0.00
Curve (IEF/TLT)+0.87%+0.15

Duration-in-disguise — 63d TLT beta of style spreads

SpreadTLT ββ · SPY-ctrlβ%ileDuration read
Momentum - LowVol1.270.20100%duration-driven (current, unstable)
Growth - Value0.17-0.2472%factor-driven (current, unstable)
HighBeta - LowVol1.40-0.01100%duration-driven (current, unstable)
Small - Large0.630.6799%duration-driven (persistent)

Opportunity Watchlist

TickerSectorOpportunityWave stageRegime fit
OZKFinancials83.0Mixed / transition87.7
SWKSInformation Technology84.9Wave 1 / accumulation87.5
TAPConsumer Staples85.5Wave 1 / accumulation86.0
SYFFinancials80.9Wave 2-4 / pullback86.0
SMEnergy80.7Wave 3-5 / breakout85.9
TickerSince closeVs basketRead
OZK+1.14%+0.46%confirms
SWKS-0.05%-0.73%diverges
TAP+0.98%+0.20%confirms
SYF+2.03%+1.35%confirms
SM-0.81%-1.49%diverges

Top screener pick: OZK (Financials), opportunity score 83.0, Mixed / transition.

3D Summary
SideDimensionBasketReturn
bestproductionMega-Cap Liquid Momentum Leadership+5.41%
bestsectorInformation Technology+1.94%
bestthemeSemiconductors+1.35%
worststyleExtended Overbought Momentum-1.86%
worstsectorHealth Care-1.46%
worstsectorReal Estate-1.29%
SpreadMove
Momentum - LowVol+3.59%
HighBeta - LowVol+3.89%
Growth - Value+2.51%
Small - Large-1.04%
EqualWeight - CapWeight-1.17%
Credit+0.33%
Duration-0.09%
Semis - Market+4.12%
Momentum Leadership - Broken Momentum+6.28%
Quality - Extended Risk+0.07%

Breadth trend: improving.

DateModeRegimeCompositeTop basketBottom basketSPY D1
2026-07-08wrapChoppy Neutral-0.2Oversold / Mean-Reversion WatchExtended Momentum Risk-0.31%
2026-07-09wrapChoppy Neutral0.3Oversold / Mean-Reversion WatchExtended Momentum Risk+0.85%

D3: best Mega-Cap Liquid Momentum Leadership +5.41%, worst Extended Overbought Momentum -1.86%; breadth improving.

WTD Summary
SideDimensionBasketReturn
bestproductionMega-Cap Liquid Momentum Leadership+3.05%
bestsectorEnergy+3.01%
bestthemeCloud Software+2.27%
worststyleOversold / Mean-Reversion Watch-3.71%
worstproductionOversold / Mean-Reversion Watch-3.71%
worstsectorMaterials-3.09%
SpreadMove
Momentum - LowVol+1.79%
HighBeta - LowVol+2.24%
Growth - Value+2.29%
Small - Large-1.90%
EqualWeight - CapWeight-1.65%
Credit+1.09%
Duration-1.22%
Semis - Market+1.80%
Momentum Leadership - Broken Momentum+4.81%
Quality - Extended Risk+0.86%

Breadth trend: improving.

DateModeRegimeCompositeTop basketBottom basketSPY D1
2026-07-08wrapChoppy Neutral-0.2Oversold / Mean-Reversion WatchExtended Momentum Risk-0.31%
2026-07-09wrapChoppy Neutral0.3Oversold / Mean-Reversion WatchExtended Momentum Risk+0.85%

WTD: best Mega-Cap Liquid Momentum Leadership +3.05%, worst Oversold / Mean-Reversion Watch -3.71%; breadth improving.

MTD Summary
SideDimensionBasketReturn
bestproductionExtended Momentum Risk+6.97%
beststyleExtended Overbought Momentum+6.10%
bestthemeCloud Software+3.36%
worststyleOversold / Mean-Reversion Watch-9.81%
worstproductionOversold / Mean-Reversion Watch-9.81%
worstproductionMega-Cap Liquid Momentum Leadership-7.37%
SpreadMove
Momentum - LowVol-7.49%
HighBeta - LowVol-5.20%
Growth - Value-2.00%
Small - Large-2.58%
EqualWeight - CapWeight-0.38%
Credit+1.15%
Duration-2.26%
Semis - Market-7.93%
Momentum Leadership - Broken Momentum-8.18%
Quality - Extended Risk-4.86%

Breadth trend: deteriorating.

DateModeRegimeCompositeTop basketBottom basketSPY D1
2026-07-08wrapChoppy Neutral-0.2Oversold / Mean-Reversion WatchExtended Momentum Risk-0.31%
2026-07-09wrapChoppy Neutral0.3Oversold / Mean-Reversion WatchExtended Momentum Risk+0.85%

MTD: best Extended Momentum Risk +6.97%, worst Oversold / Mean-Reversion Watch -9.81%; breadth deteriorating.

Structural View (QTD YTD 1Y 2Y)
BasketQTDYTD1Y2Y
production: Broken Momentum / Avoid+0.81%-16.55%-14.07%+13.38%
production: Extended Momentum Risk+6.97%-23.47%-18.85%+3.31%
production: Institutional Large-Cap Accumulation+2.82%+35.35%+48.85%+117.79%
production: Mega-Cap Liquid Momentum Leadership-7.37%+149.34%+216.25%+207.30%
production: Neutral / Transition-1.35%+19.01%+33.76%+55.78%
production: Oversold / Mean-Reversion Watch-9.81%+0.45%+16.81%+43.08%
production: Quality / Low-Vol Uptrend+2.11%+12.67%+20.14%+36.78%
production: Thematic Momentum Leadership+0.21%+51.77%+83.65%+121.89%
theme: AI Infrastructure-2.37%+23.71%+40.31%+67.47%
theme: Cloud Software+3.36%+15.16%+18.28%+44.59%
theme: Commodities / Materials-3.98%+13.90%+44.31%+57.94%
theme: Consumer / Retail+0.09%+8.35%+11.50%+27.98%
theme: Crypto / Digital Assets+0.91%+11.52%+21.99%+57.43%
theme: Cybersecurity-0.21%+14.84%+22.54%+60.28%
theme: Defense / Aerospace-5.08%+26.52%+55.33%+103.79%
theme: Energy Transition-1.27%+18.25%+36.83%+49.07%
theme: Financials / Credit+0.88%+12.96%+17.69%+40.23%
theme: Healthcare / Biotech+1.16%+31.69%+79.83%+78.90%
theme: Housing / Real Estate+0.11%+11.83%+15.45%+28.09%
theme: Industrial Automation-2.86%+25.08%+40.33%+60.30%
theme: Macro Rates / Inflation-0.98%+15.64%+25.75%+38.69%
theme: Oil & Gas-0.13%+22.01%+45.89%+50.43%
theme: Semiconductors-4.99%+47.57%+72.06%+80.81%
sector: Communication Services+1.56%-4.20%+16.57%+66.91%
sector: Consumer Discretionary-0.20%+6.63%+10.03%+29.50%
sector: Consumer Staples+1.85%+7.06%+1.88%+10.28%
sector: Energy+2.51%+30.21%+30.77%+33.57%
sector: Financials+2.99%+9.48%+15.78%+56.12%
sector: Health Care+2.04%+28.01%+67.93%+74.16%
sector: Industrials-4.26%+19.42%+34.02%+71.01%
sector: Information Technology-2.96%+40.29%+66.76%+93.17%
sector: Materials-3.10%+20.15%+39.18%+51.48%
sector: Real Estate+0.37%+9.70%+11.13%+23.73%
sector: Utilities+0.20%+7.44%+14.71%+46.60%
size: Large (>=5B)-0.40%+18.83%+33.89%+58.91%
size: Micro Cap $250M-$1B-1.28%+17.64%+38.10%+49.81%
size: Nano Cap <$250M-5.47%+39.97%+5.91%-3.39%
size: Small Cap $1B-$5B-0.11%+22.08%+39.52%+52.96%
style: Base Building / Coiled+0.04%+7.16%+19.77%+38.57%
style: Extended Overbought Momentum+6.10%+38.61%+77.98%+97.72%
style: Low-Vol Uptrend+0.76%+31.77%+47.58%+73.32%
style: Momentum Breakout / Leadership+1.59%+50.69%+81.76%+122.82%
style: Neutral / Transition-1.30%+21.50%+37.98%+59.09%
style: Normal Vol/Trend-2.87%+4.73%+20.22%+48.88%
style: Oversold / Mean-Reversion Watch-9.81%+0.45%+16.81%+43.08%
style: Persistent Uptrend / Compounder+1.58%+26.10%+37.24%+62.68%
style: Weak Downtrend / Avoid Momentum+0.81%-16.55%-14.07%+13.38%

YTD leadership: Mega-Cap Liquid Momentum Leadership +149.34% against Extended Momentum Risk -23.47%.

Chart Pattern and Wave Census
BreakoutsBreakdownsOversold
1013236
Setup typeCount
tight_base8
double_top8
double_bottom8
bear_flag8
bull_flag8
donchian_breakdown8
gap_up_unfilled8
donchian_breakout8
head_shoulders8
TickerPatternDirectionScore
PSKYdouble_topshort76.4
CWENdouble_topshort73.1
BROSbull_flaglong68.3
TMHCtight_baselong64.0
LNCdouble_bottomlong63.8
EMNdouble_topshort61.8
CWANdonchian_breakoutlong56.3
RIOTdouble_topshort55.3
MPdouble_topshort52.8
RBLXdouble_bottomlong44.0
TickerFrom stageTo stage
SYFaccumulationpullback
ARMKmarkupbreakout
SNDRpullbackbreakout
ALLYpullbackbreakout
PRMpullbackbreakout
AESpullbackmarkup
BKHpullbackbreakout
GISaccumulationpullback
EXELmixedbreakout
BTSGmixedbreakout
RRCmixedaccumulation
KDPmixedpullback
IMVTmixedbreakout
LTHmixedbreakout
PBmixedbreakout

Pattern census: 101 breakouts, 32 breakdowns, 36 oversold names.

Tomorrow Setup

SpreadLegsIntradayD1WTDMTD
Momentum - LowVolMTUM − USMV+0.01%+0.01%+1.79%-7.49%
HighBeta - LowVolSPHB − SPLV-0.57%-0.57%+2.24%-5.20%
Growth - ValueIWF − IWD+0.34%+0.34%+2.29%-2.00%
Small - LargeIWM − SPY-0.85%-0.85%-1.90%-2.58%
EqualWeight - CapWeightRSP − SPY-0.06%-0.06%-1.65%-0.38%
CreditHYG − LQD+0.18%+0.18%+1.09%+1.15%
DurationTLT-0.02%-0.02%-1.22%-2.26%
Semis - MarketSMH − SPY+0.11%+0.11%+1.80%-7.93%
Momentum Leadership - Broken MomentumMega-Cap Liquid Momentum Leadership − Broken Momentum / Avoid-1.64%-1.64%+4.81%-8.18%
Quality - Extended RiskQuality / Low-Vol Uptrend − Extended Momentum Risk+1.80%+1.80%+0.86%-4.86%

Carry-in regime: Constructive Rotation; watch OZK (Mixed / transition).

Top Single-Stock Setups (4h–1 Week)

#1OSCRHealth Care86
Momentum continuation4h–1 week
Thematic Momentum Leadership · factor score 9.4/10 (top quintile)

Leadership/uptrend with room

UptrendQ1RSI 621w +8.0%
Last$30.81
RSI63
1wk+8.0%
ATR stop−8.3%
1-week return vs Thematic Momentum Leadership basket (n=165)
-21%+21%
#2GHHealth Care86
Momentum continuation4h–1 week
Thematic Momentum Leadership · factor score 9.3/10 (top quintile)

Leadership/uptrend with room

UptrendQ1RSI 621w +4.1%
Last$156.17
RSI63
1wk+4.1%
ATR stop−7.4%
1-week return vs Thematic Momentum Leadership basket (n=165)
-21%+21%
#3DELLInformation Technology86
Momentum continuation4h–1 week
Mega-Cap Liquid Momentum Leadership · factor score 9.1/10 (top quintile)

Leadership/uptrend with room

UptrendQ1RSI 611w +3.3%
Last$439.21
RSI62
1wk+3.3%
ATR stop−10.1%
1-week return vs Mega-Cap Liquid Momentum Leadership basket (n=12)
-10%+4%
#4NAVNInformation Technology86
Momentum continuation4h–1 week
Thematic Momentum Leadership · factor score 9.1/10 (top quintile)

Leadership/uptrend with room

UptrendQ1RSI 621w +3.1%
Last$25.50
RSI63
1wk+3.1%
ATR stop−9.6%
1-week return vs Thematic Momentum Leadership basket (n=165)
-21%+21%
#5ETSYConsumer Discretionary86
Momentum continuation4h–1 week
Thematic Momentum Leadership · factor score 9.0/10 (top quintile)

Leadership/uptrend with room

UptrendQ1RSI 601w +2.5%
Last$77.20
RSI60
1wk+2.5%
ATR stop−5.9%
1-week return vs Thematic Momentum Leadership basket (n=165)
-21%+21%

Long-only opportunity lens: names where the factor basket and the technical state agree over a 4-hour-to-1-week window. Confluence score, not a price target — size to the ATR stop and treat every setup as a probability, not a promise.

Long-only confluence screen: the factor engine's basket and the technical state pointing the same way over a 4-hour-to-1-week window.

Data Quality and Coverage

SourceAs of
intraday_bars2026-07-10T19:45:00-04:00
warehouse_snapshot2026-07-10
proxy_daily2026-07-09
screener_artifact2026-07-11T17:23:30.911128-04:00
grouped_daily2026-07-10
  • Overall coverage: 99.8%
  • Degraded baskets: theme:Healthcare / Biotech
  • Missing archived report days: 2026-07-01, 2026-07-02, 2026-07-06, 2026-07-07
  • Report generated at 2026-07-12T09:59:54-04:00; every figure above is computed deterministically from report.json
  • Narration: all 16 narrative sections used the deterministic fallback (LLM narrative unavailable or disabled this run)