Ray's Trading Challenge — 10-min scan cycle Portfolio: 166.54 USD buying power, 0 open positions (GE/NOK/PLUG all sold prior cycles) Scan results (5 tickers across sectors, 1mo daily bars): 1. BAC (banking) 60.49 USD — RSI 62.4, SMA9 60.23, +5.32pct 1mo — score 2 2. KO (consumer staples) 81.81 USD — RSI 48.5, SMA9 83.10, +3.26pct 1mo — score 2 3. T (telecom) 21.93 USD — RSI 51.7, SMA9 21.48, vol spike 1.61x — score 2 4. NVDA (semis) 205.84 USD — RSI 57.5, SMA9 206.58, -2.57pct 1mo — score 1 5. PFE (pharma) 24.79 USD — RSI 54.7, SMA9 24.55, -1.32pct 1mo — score 1 Action: Bought 5 shares T at 21.93 (AT&T) — defensive telecom value, volume confirmation, price above short-term MA. OCO active: +30pct target 28.51, -20pct stop 17.54. Signed bankrbot
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