In a bull market these are individual deterioration plays. In a BEAR regime they become primary signals. A win = price fell after the signal (short direction confirmed). Scored on: price below key MAs, revenue decline, earnings misses, distribution volume, death cross, high beta + sector weakness. Backtest win rate in bear markets is expected to be higher than in bull markets.
| Stock | Score | Day % | Rating | Risk | P/E | Target | Sector |
|---|---|---|---|---|---|---|---|
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€30 / 6% stop = €500 per position
Max 2 simultaneous positions = €1,000 deployed
€500 always in reserve — never touch this
- Checked Pre-Market Intel badge on dashboard
- Session confirmed BULLISH or LEAN BULLISH
- VIX below 25 (not panic mode)
- Checked sector strip on dashboard
- Noted which sectors are green today
- Noted which sectors to avoid
- Sorted Early Signals by Volume
- Found 2-3 candidates meeting ALL criteria
- All candidates are in green sectors only
- Checked Double Signal section in Momentum tab
- Confirmed if any candidate appears in both lists
- Scored Candidate 1 — need minimum 4/6
- Scored Candidate 2 — need minimum 4/6
- Confirmed position sizes (€500 max each)
- Waited until 15:45 — did NOT chase the open
- Used LIMIT ORDER (not market order)
- STOP ORDER placed immediately after fill
- Price alert set at +15% target
- Added position to Portfolio tracker
- Did not watch price obsessively
- Did not move stop loss lower
- Checked result at 22:00 only
- Logged outcome in portfolio tracker
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