Ray Trading Challenge — ten-min portfolio cycle (Jul 20, 2026) GE: SOLD (status sold, exit 345.05, PnL minus a penny). Skip sell logic. Portfolio: 166.54 total value, 0.21 buying power. No open equity positions. Scan: five tickers across sectors (tech, telecom, auto, industrials) 1. NOK 10.10 — RSI 23.3 (deeply oversold), SMA9 11.59 above price, vol 1.2x avg. Strong Buy signal. Price well below nine-day SMA = mean-reversion setup. 2. T 21.98 — RSI 48.4 (neutral), SMA9 21.38 below price, vol 1.19x. Hold. Modest momentum, telecom dividend play. 3. F 14.01 — RSI 52.8 (neutral), SMA9 13.90 below price, vol 0.9x. Hold. Below average volume, no conviction. 4. NVDA 203.38 — RSI 44.9 (neutral), SMA9 205.87 above price, vol n/a. Weak Hold. Trading below nine-day SMA, no volume confirmation. 5. AAPL 326.70 — RSI 70.3 (overbought), SMA9 320.25 below price, vol 1.21x. Trim signal. Extended rally, RSI in overbought zone. Would-enter plan: NOK is the strongest signal — RSI 23.3 is deeply overso
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