SG Off-the-Radar — End-of-Day Verdict
2 DISPOSE (9CI EXIT 100% 2000 free ~S; B61 TRIM 50% 13100 free ~S) + 1 QUEUED ADD (U11 ~1200 @39.09) + C07 exit retired (faded) + S63 hold/flag. ADD-NEW/PROFIT-TAKE NO ACTION. Shared SG ~S; net cash raised. Execute ONCE with sg.
Recommendations
1 to acquire · 2 to dispose
| Ticker | Name | Close | Action | Action Price Where to act — a buy-limit on a pullback or a buy-stop above resistance, not the current price. Sanity-check vs Close: on a held name, an action price stranded above the close means the queued level was set when the stock was higher — stale, awaiting reprice. | Stop The risk-defined exit, set below the entry for a long (~1.2–1.8×ATR). A held long whose Stop sits at/above the Close is already below its stop — a stale box awaiting reprice. | 1wk Model estimate of the likely price at this horizon — a forward projection, not a guarantee, and separate from the trade's Action Price or Stop. Where the ML estimator is enabled these are per-ticker calibrated forecasts (~80% coverage band) that are refreshed periodically and can drift between refreshes; otherwise they're interpolated from the signal's swing target. Confirm against the settled close. | 4wk Model estimate of the likely price at this horizon — a forward projection, not a guarantee, and separate from the trade's Action Price or Stop. Where the ML estimator is enabled these are per-ticker calibrated forecasts (~80% coverage band) that are refreshed periodically and can drift between refreshes; otherwise they're interpolated from the signal's swing target. Confirm against the settled close. | 12wk Model estimate of the likely price at this horizon — a forward projection, not a guarantee, and separate from the trade's Action Price or Stop. Where the ML estimator is enabled these are per-ticker calibrated forecasts (~80% coverage band) that are refreshed periodically and can drift between refreshes; otherwise they're interpolated from the signal's swing target. Confirm against the settled close. | Rationale |
|---|---|---|---|---|---|---|---|---|---|
| 9CI | CapitaLand Investment | 2.48 | EXIT 100% | 2.48 | 2.48 | n/a | n/a | 1.97 (-20.6%) | |
| B61 | BT Swang Est (Bukit Sembawang) | 4.74 | TRIM 50% | 4.74 | 4.74⚠ | n/a | n/a | 4.40 (-7.2%) | |
| U11 | UOB | 40.07 | QUEUED ADD ~1200 @39.09 GTC limit | 39.09 | 38.18 | 39.54 (+1.2%) | 40.60 (+3.9%) | 43.63 (+11.6%) | |
| C07 | Jardine C&C | 27.14 | HOLD - prior pending exit RETIRED; keep 26.92 stop, re-arm on reprint | — | 26.92 | n/a | n/a | 17.65 | |
| S63 | ST Engineering | 10.84 | HOLD/flag - protective stop, execute once | 10.84 | 10.40 | n/a | n/a | 9.96 (-8.1%) | |
| D05 | DBS | 66.43 | HOLD core | 66.43 | 64.90 | n/a | 67.96 (+2.3%) | 76.43 (+15.1%) |
Outcome & track record
Accuracy at the time of this record.
22 Graded decisions Past recommendations old enough to score against what actually happened (target hit / stopped out / closed). This is the evidence base — the bigger the number, the more history behind the calls. Click to inspect every one. See the decisions →
0.065 1-week calibration How much of the eventual 4-week move typically shows up in the first week (0 = almost none, 1 = most of it). Use it to read the 1-week estimates: a low number means prices drift toward the target slowly, so don't over-read a soft week-1.
23 Published records How many dated end-of-day verdicts exist for this book — the length of the public track record you can browse in the Archive below.