For this asset there is little historical relationship between the score and forward returns — treat the score as low-confidence. Based on 11.5 years of scored history (~11 independent yearly observations); forward-return windows overlap heavily, so this is indicative, not precise.
On 2026-07-17 the weekly close fell to 212.67 — below its previous low of 219.3 on 2026-05-15 — but weekly RSI(14) rose to 40.05 from 36.47. Price made a lower low on less downside momentum.
Shown for information only — this signal does not affect the score. Tested against 90/180/365-day forward returns across 63 assets, it did not predict better returns (and for crypto it pointed the wrong way), so it is displayed but not scored.
Price (log)
Risk Score
Neutral / Hold — for individual stocks, this band has historically returned 13.4% over the next year (72% of the time positive), across 27,224 observations. Forward-return windows overlap, so treat these medians as indicative, not precise.
| Risk Score | Samples | Median 90d | Median 365d | Win 365d |
|---|---|---|---|---|
Strong Accumulate | 240 | 4.9% | 12.9% | 92% |
Accumulate | 551 | 0.2% | 1.0% | 51% |
Neutral / Hold | 524 | 3.1% | -4.2% | 42% |
Caution / Trim | 669 | 1.9% | -2.2% | 43% |
Distribute / High Risk | 675 | 0.3% | 23.2% | 73% |
Test how buying this asset below a chosen risk score would have played out.
Buying below score 20 (Strong Accumulate) has historically returned 12.9% median at 1 year · 92% positive.