Ray's Trading Challenge — 10-min portfolio cycle (Jul 20, 2026) ACCOUNT SNAPSHOT - Portfolio value: 166.54 USD (all cash) - Buying power: 0.21 USD - Open equity positions: 0 (all prior challenge positions closed) GE OCO CHECK - GE @ 341.65 (prev close 348.83, -2.1%) - RSI-14: 47.8 | SMA9: 355.93 | SMA50: 350.31 | Vol: 1.15x avg - Signal: Hold (bullish trend, SMA9>50) - OCO range: [280.00, 455.00] — NO trigger fired - No GE state file found — no GE position held, sell logic skipped SECTOR SCAN (5 tickers across tech/semis/auto/energy/finance) 1. PLUG @ 2.16 — Strong Buy (RSI 22.7 oversold, vol 1.06x) — cleanest signal 2. AAPL @ 326.00 — Hold (RSI 68.9, SMA9>50 bullish, vol 1.02x) 3. NVDA @ 202.50 — Hold (RSI 45.2, SMA9~SMA50, vol 0.97x) 4. TSLA @ 369.58 — Weak Hold (RSI 42.0, SMA9<50 bearish, vol 0.70x) 5. BAC @ 60.44 — Trim (RSI 73.1 overbought, vol 1.23x) VERDICT: NO new buy this cycle - PLUG is the only Strong Buy (RSI 22.7 < 35) but buying power is 0.21 USD — cannot afford even
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