Latest signal:
SOLV Stock Analysis
Data source: Trade-Ideas Alerts | 2 alerts analyzed | Backtest period: 2024-09-27 β 2025-01-22
β οΈ Small sample size (2 alerts). Statistics may have high variance. Interpret with caution.
π’ Company Profile
π Performance by Timeframe
5MIN
15MIN
30MIN
60MIN
EOD (End of Day)
π Max Favorable / Adverse Excursion (MFE/MAE)
Institutional-grade metrics showing the maximum profit potential and risk for each alert.
π MFE (Max Profit Potential)
On average, SOLV alerts reach +1.26% profit potential within 70 minutes.
π MAE (Max Drawdown Risk)
Before reaching MFE, expect an average drawdown of 0.66%.
βοΈ Risk/Reward Ratio
Good risk/reward - favorable for momentum trading.
π‘ Trading Insight: Based on 2 alerts, SOLV typically reaches +1.26% profit before pulling back. Consider setting profit targets around 1.0% to capture most of the move.
π Premarket Gap Analysis (9:25 β 9:30)
π Sector Comparison: SURGICAL & MEDICAL INSTRUMENTS & APPARATUS
How SOLV compares to 88 other tickers in the same sector.
π Last 20 Alerts
Historical SOLV alerts with performance metrics calculated from 1-minute price data. Each row shows the actual price movement at different timeframes after the alert.
| Date | Time | Price | 5min | 15min | 30min | 60min | EOD | MFE | MAE | Gap | Result |
|---|---|---|---|---|---|---|---|---|---|---|---|
| 2025-01-22 | 09:25:10 | $73.51 | +0.08% | +0.08% | +0.46% | +0.52% | +0.20% | +1.01% | -0.56% | +0.38% | WIN |
| 2024-09-27 | 09:26:13 | $68.1 | -0.21% | -0.35% | +0.54% | +1.19% | -0.78% | +1.51% | -0.76% | +0.46% | LOSS |
Table Metrics Explained:
- 5min/15min/30min/60min/EOD: Price change at each timeframe (calculated from real minute-by-minute data)
- MFE: Maximum Favorable Excursion - highest profit potential reached during the day
- MAE: Maximum Adverse Excursion - worst drawdown experienced before reaching MFE
- Gap: Premarket price gap from 9:25 AM to 9:30 AM market open
- Result: WIN if 5min change > 0%, LOSS otherwise
π Beat the 100.0% Baseline on SOLV
The 100.0% win rate is just the raw starting point. Launch the app to apply filters (Volume, RSI, Time) and see if you can push SOLV's performance to 75%+.
Optimize SOLV Strategy βWhy Analyze SOLV with FILTRIX?
π‘οΈ Realistic Entry Simulation
We don't inflate stats. Our analysis tracks only the first alert of the day for SOLV. This simulates a true "Gap & Go" entry at pre-market hours (9:25-9:30 AM), avoiding the trap of chasing a stock that has already extended.
π° Max Potential (MFE) Analysis
How much is left in the move? On winning days, SOLV historically offers an average upside of +1.26% intraday. Our data helps you distinguish between a quick scalp and a runner.
π SOLV Momentum Personality
With a baseline win rate of 100.0%, SOLV shows strong follow-through, making it a prime candidate for momentum strategies.
β±οΈ Optimized Exit Timing
Don't guess when to sell. Our backtests show SOLV performs best on the 30MIN timeframe (Avg Gain: +0.50%), signaling that gains often fade later in the session.