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Ticker Report — Active Last signal ·

$VZLA

Trade-Ideas alerts 49.0% at 15-min n=49 2024-12-16 → 2026-09-25

⚠ SMALL SAMPLE · 49 alerts only. Statistics may have high variance — interpret with caution.

🏢 Company Profile

Vizsla Silver Corp.
📍 NYSE American 📅 IPO: Oct 28, 2019 🔗 www.vizslasilvercorp.com
💰 Market Cap: $1.30B 👥 Employees: 79
Vizsla Silver Corp is a junior mineral exploration and development company focused on advancing its Panuco silver-gold project located in Sinaloa, Mexico. The property contains quartz-carbonate veins with workings defining both steeply plunging and sub-horizontal ore shoots. Mineralization occurs as silver sulphides including argentite and acanthite, native gold, electrum and native silver associated with pyrite, minor galena, sphalerite and rare chalcopyrite. It has one operating segment, which is principally mineral exploration.
Total alerts
49
Trade-Ideas signal history
Win rate · 15MIN
49.0%
Best timeframe baseline
Avg gain · 15MIN
-0.33%
Per-alert expectancy
Avg MFE
+2.65%
Max potential excursion

Practice trading VZLA on historical setups — browse all patterns across all tickers →

Playable VZLA setups

Historical VZLA setups in the simulator. Click to see chart, edge stats, and community discussion.

📈 Performance by Timeframe

5MIN

Win Rate: 44.9%
Avg Gain: -0.15%
Avg Winner: +1.26%
Avg Loser: -1.35%
Best: +3.87%
Worst: -5.50%
Trades: 22/26

15MIN

Win Rate: 49.0%
Avg Gain: -0.33%
Avg Winner: +1.25%
Avg Loser: -2.01%
Best: +4.05%
Worst: -7.08%
Trades: 24/23

30MIN

Win Rate: 44.9%
Avg Gain: -0.46%
Avg Winner: +1.63%
Avg Loser: -2.25%
Best: +3.39%
Worst: -9.08%
Trades: 22/26

60MIN

Win Rate: 44.9%
Avg Gain: -0.44%
Avg Winner: +2.29%
Avg Loser: -2.66%
Best: +5.63%
Worst: -10.02%
Trades: 22/27

EOD (End of Day)

Win Rate: 49.0%
Avg Gain: -0.09%
Avg Winner: +2.92%
Avg Loser: -3.10%
Best: +13.26%
Worst: -8.49%
Trades: 24/24

🚀 Max Favorable / Adverse Excursion (MFE/MAE)

Institutional-grade metrics showing the maximum profit potential and risk for each alert.

📈 MFE (Max Profit Potential)

Average MFE: +2.65%
Best MFE: +14.50%
Avg Time to MFE: 121 min

On average, VZLA alerts reach +2.65% profit potential within 121 minutes.

📉 MAE (Max Drawdown Risk)

Average MAE: -1.48%
Worst MAE: -4.19%
Avg Time to MAE: 10 min

Before reaching MFE, expect an average drawdown of 1.48%.

⚖️ Risk/Reward Ratio

1.79:1

Good risk/reward - favorable for momentum trading.

💡 Trading Insight: Based on 49 alerts, VZLA typically reaches +2.65% profit before pulling back. Consider setting profit targets around 2.1% to capture most of the move.

🌅 Premarket Gap Analysis (9:25 → 9:30)

Total Gaps Analyzed 49
Gap Up % 46.9%
Avg Gap +0.04%
Best Gap +1.57%

📋 Last 20 Alerts

Historical VZLA 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
2026-09-25 09:25:00 $4.04 -2.35% -2.35% -2.35% -3.22% -2.23% -0.99% -3.96% -1.73% LOSS
2026-09-24 09:25:00 $3.95 +0.51% +1.01% +0.76% +0.63% -0.25% +1.65% +0.00% +1.27% WIN
2026-09-17 09:25:00 $3.87 +0.19% -1.16% +0.65% +1.42% +3.62% +3.87% -1.55% -0.52% WIN
2026-09-16 09:25:00 $3.86 -0.78% -1.97% -2.89% -3.62% -4.40% +0.00% +0.00% -0.52% LOSS
2026-09-11 09:25:00 $4.01 +2.20% +2.24% +1.50% +1.37% -1.00% +2.62% +1.00% +1.50% WIN
2026-09-04 09:25:00 $4.02 +1.00% +0.37% +0.00% +0.44% -0.50% +1.37% -0.75% +0.00% WIN
2026-09-02 09:25:00 $4.04 -1.24% +0.00% +0.25% +1.61% +2.72% +3.59% -1.73% -1.73% LOSS
2026-09-01 09:25:00 $3.84 +0.63% +0.89% +1.41% +3.36% +0.50% +3.62% -0.02% +1.28% WIN
2026-08-31 09:25:00 $4.02 -0.37% -2.24% -1.99% -1.62% +0.75% +1.24% -2.61% -0.50% LOSS
2026-08-28 09:25:00 $4.25 -1.04% -1.51% -0.90% -4.33% -5.86% +0.02% -3.04% -1.16% LOSS
2026-08-24 09:25:00 $4.08 +0.25% -0.98% -2.64% -1.96% -3.68% +0.25% -2.21% -1.23% WIN
2026-08-07 09:25:00 $3.7 +2.39% +1.28% +1.31% -0.71% +1.04% +2.80% +0.23% +0.50% WIN
2026-08-06 09:25:00 $3.54 +0.14% +1.95% +1.55% +1.13% -0.28% +2.12% -0.99% +0.00% WIN
2026-08-05 09:25:00 $3.63 -1.38% -2.48% -1.24% -0.28% -1.10% +0.52% -2.89% -1.65% LOSS
2026-07-14 09:25:00 $3.1 +2.42% +3.39% +2.90% +2.10% +3.23% +4.19% +0.00% +0.65% WIN
2026-06-15 09:25:00 $3.85 +1.04% +1.17% +0.39% -1.69% -5.19% +2.60% -2.60% +0.52% WIN
2026-06-02 09:25:00 $4.13 -1.21% +0.00% -1.21% -2.06% +0.00% +1.41% -2.42% +0.24% LOSS
2026-05-11 09:25:00 $3.64 +0.54% +1.79% +3.02% +2.34% +2.47% +3.85% -0.55% -0.27% WIN
2026-05-06 09:25:00 $3.43 +0.87% +0.73% +1.17% +1.02% +0.87% +1.75% -0.15% -0.15% WIN
2026-04-08 09:25:00 $3.47 -0.69% -2.54% -2.58% -3.43% -4.87% +0.03% -1.12% -0.54% 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

⚠ VZLA Shows Negative Expectancy

With 49.0% win rate and -0.33% average gain, VZLA alerts have historically faded. Use the app to find specific filters that might reverse this pattern, or consider VZLA for short-selling strategies.

📉 Turn Negative Expectancy Positive →

Why Analyze VZLA with FILTRIX?

🛡️ Realistic Entry Simulation

We don't inflate stats. Our analysis tracks only the first alert of the day for VZLA. 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.

💰 Max Potential (MFE) Analysis

How much is left in the move? On winning days, VZLA historically offers an average upside of +2.65% intraday. Our data helps you distinguish between a quick scalp and a runner.

📊 VZLA Momentum Personality

With a baseline win rate of 49.0%, VZLA shows negative momentum - the stock tends to fade after alerts. This pattern suggests VZLA may be better suited for contrarian strategies or avoiding altogether.

⏱️ Optimized Exit Timing

⚠️ Caution Advised: VZLA shows negative expectancy across all tested intraday timeframes (Best: 15MIN at -0.33%). This suggests VZLA is prone to fading after the open, making it a potential candidate for short-selling or quick scalps only.