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Safran up 7.7% but confirmation week stalls: dynamic stop in place

·46 min read
EXECUTIVE VIEW

Safran SA weekly trade setup, week 3 of a buy signal with +7.7% performance since entry. Confirmation week closed bearish and signal strength is fading: dynamic stop tighter than the structural level, protecting the open position.

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Recursion Pharmaceuticals: 18% rebound, but moving averages push back

·45 min read
EXECUTIVE VIEW

Week 4 of the sell signal on Recursion Pharmaceuticals — the week closed up 2.5% after 2 consecutive declines. The rebound failed to break the wall of moving averages in the 3.3 area: technical analysis still points bearish and trading is not recommended per our model.

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RTX Corporation: A Cautious Buy in a Still-Locked Range

·45 min read
EXECUTIVE VIEW

RTX Corporation weekly technical analysis — fresh buy signal, trade setup in week 1. Signal strength 50/100, IQS 52, 8th among 12 fresh US stock Longs. Price structure shows a double bottom in the 172 area; first attempt on highs, cautious entry warranted by a still-locked range.

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Roku at week 10: 3 targets hit, distribution building

·46 min read
EXECUTIVE VIEW

Roku weekly technical analysis — week 10 of a buy setup, +34.74% performance since entry. All 3 model targets reached. Distribution signals building and sector weakening; residual capital runs with a breakeven stop. Trade setup at final gate.

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Hermes International — a mature decline sending mixed signals

·45 min read
EXECUTIVE VIEW

Hermes International — week 20 of a sell signal, with a 15% gain from the short position. Technical analysis shows mixed signals: MACD histogram turning positive and momentum recovering, but sellers back in control this week. A double bottom in the 1550 area is the key structure to monitor

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RKLB: weekly downtrend confirmed, but setup remains high risk

·45 min read
EXECUTIVE VIEW

RKLB week 2 sell signal, swing trade setup in bearish territory — confirmation week closed lower, but technical analysis flags elevated risk: the stock trades nearly twice above its 200-week moving average, making new short positions high risk per our model.

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