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GPW
Index
fx
INC
GPW
Inc
STAY IN CASH
Close
2.1600
Prev.Close
2.1400
Change
+0.0200
Change%
+0.93%
BULLISH HOMING PIGEON
Sold at
2.2500
Open
2.2800
High
2.2800
Low
2.1600
Close
2.1600
Gain%
-4.00%
Signal History
6 mo.
6 mo.
24 mo.
24 mo.
Date
Price
Signal
Change%
PLN100⇨
10/09
2.2500
SELL
-4.0%
✔
89
02/09
2.3300
BUY
-3.4%
❌
93
27/08
2.2500
SELL
+3.6%
❌
93
23/08
2.2700
BUY
-0.9%
❌
94
19/08
2.2000
SELL
+3.2%
❌
94
12/08
2.0800
BUY
+5.8%
✔
89
22/07
2.2400
SHORT
-7.1%
✔
84
17/07
2.3100
BUY
-3.0%
❌
86
04/07
2.3900
SELL
-3.3%
✔
87
20/06
2.3800
BUY
+0.4%
✔
86
17/05
2.5800
SELL
-7.8%
✔
87
10/05
2.6000
BUY
-0.8%
❌
87
06/05
2.5200
SHORT
+3.2%
❌
91
22/04
2.6800
BUY
-6.0%
❌
97
09/04
2.6700
SHORT
+0.4%
❌
98
28/03
2.7200
BUY
-1.8%
❌
100
† Trade commissions are taken as 0.20%.
Date
Price
Signal
Change%
PLN100⇨
10/09
2.2500
SELL
-4.0%
✔
247
02/09
2.3300
BUY
-3.4%
❌
256
27/08
2.2500
SELL
+3.6%
❌
257
23/08
2.2700
BUY
-0.9%
❌
259
19/08
2.2000
SELL
+3.2%
❌
260
12/08
2.0800
BUY
+5.8%
✔
246
22/07
2.2400
SHORT
-7.1%
✔
231
17/07
2.3100
BUY
-3.0%
❌
239
04/07
2.3900
SELL
-3.3%
✔
239
20/06
2.3800
BUY
+0.4%
✔
239
17/05
2.5800
SELL
-7.8%
✔
239
10/05
2.6000
BUY
-0.8%
❌
242
06/05
2.5200
SHORT
+3.2%
❌
251
22/04
2.6800
BUY
-6.0%
❌
268
09/04
2.6700
SHORT
+0.4%
❌
270
28/03
2.7200
BUY
-1.8%
❌
276
20/03
2.8100
SELL
-3.2%
✔
276
26/02
2.5600
BUY
+9.8%
✔
252
22/02
2.4950
SELL
+2.6%
❌
253
20/02
2.5000
BUY
-0.2%
❌
254
16/02
2.4300
SHORT
+2.9%
❌
262
12/02
2.5000
BUY
-2.8%
❌
271
08/02
2.4800
SELL
+0.8%
❌
272
22/01
2.2700
BUY
+9.3%
✔
249
16/01
2.3700
SELL
-4.2%
✔
250
12/01
2.4900
BUY
-4.8%
❌
263
10/01
2.2600
SHORT
+10.2%
❌
294
03/01
2.1200
BUY
+6.6%
✔
277
20/12
2.1800
SHORT
-2.8%
✔
270
05/12
2.3200
BUY
-6.0%
❌
289
23/11
2.6400
SELL
-12.1%
✔
289
15/11
2.3000
BUY
+14.8%
✔ 👍
253
03/11
2.0900
SELL
+10.0%
❌
253
30/10
2.0800
BUY
+0.5%
✔
252
20/10
2.2200
SHORT
-6.3%
✔
238
18/10
2.2750
BUY
-2.4%
❌
245
12/10
2.1700
SHORT
+4.8%
❌
259
09/10
2.2300
BUY
-2.7%
❌
267
13/09
2.6200
SHORT
-14.9%
✔
233
11/09
2.7000
BUY
-3.0%
❌
241
25/08
2.9550
SELL
-8.6%
✔
242
22/08
2.8000
BUY
+5.5%
✔
230
18/08
2.7700
SHORT
+1.1%
❌
233
10/08
3.0200
BUY
-8.3%
❌
255
01/08
3.3200
SELL
-9.0%
✔
256
29/06
1.9600
BUY
+69.4%
✔ 👍
151
23/06
1.9500
SHORT
+0.5%
❌
153
15/06
1.9900
BUY
-2.0%
❌
156
23/05
2.0900
SHORT
-4.8%
✔
150
19/05
2.0800
BUY
+0.5%
✔
150
21/04
2.2400
SELL
-7.1%
✔
150
19/04
2.2600
BUY
-0.9%
❌
152
17/04
2.1375
SELL
+5.7%
❌
152
31/03
1.8860
BUY
+13.3%
✔ 👍
134
28/03
1.9900
SELL
-5.2%
✔
135
17/03
2.2000
BUY
-9.5%
❌
149
09/03
2.2550
SHORT
-2.4%
✔
146
24/02
2.2200
BUY
+1.6%
✔
144
14/02
2.5390
SHORT
-12.6%
✔
129
09/02
2.5650
BUY
-1.0%
❌
131
24/01
2.5200
SELL
+1.8%
❌
131
03/01
2.1000
BUY
+20.0%
✔ 👍
109
27/12
1.9200
SHORT
+9.4%
❌
121
21/12
1.9150
BUY
+0.3%
✔
121
06/12
2.0100
SHORT
-4.7%
✔
116
24/11
2.0050
BUY
+0.2%
✔
116
10/11
2.0115
SELL
-0.3%
✔
117
27/10
1.7170
BUY
+17.2%
✔ 👍
100
† Trade commissions are taken as 0.20%.
Pattern & Confirmation Chart for the Last 6 Months
Signal Update
Our system’s recommendation today is to
STAY IN CASH
. The previous
SELL
signal was issued on 10/09/2024, 3 days ago, when the stock price was 2.2500. Since then
INC
has fallen by
-4.00%
.
Market Outlook
The market is finally giving hints of a bullish resurgence. Today a bullish pattern is detected. Based on this pattern, in response to emerging market bullishness the system established new confirmation and stop loss levels. The signal tells us to
STAY IN CASH
, but the chance of a bullish confirmation that will change the signal to
BUY
is quite high. The Delayed Intraday Module is ON. We strongly suggest you to follow the price action on an intraday basis in order to profit most from the early phase of a possible bull run.
Pattern Description
This pattern is a small black body contained by a prior relatively long black body. It resembles the Harami pattern, except that both bodies are black.
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