Technology · NASDAQ NMS - GLOBAL MARKET
AAPL
Apple Inc
$333.69
1.02%
Recent
Analysis controls
Run a new scan
Bullish trend
📈
Favor Long
The system favors the long side because Trend bias is bullish, Price is above 20-day average, Price is above 50-day average, Hammer. Focus on entries near support or inside the buy zone instead of ch…
Confidence: High Fear/Greed: Greed Macro: Low risk Trend: Strong uptrend
Edge
34pts
L vs S spread
💡
The system sees a long (buy) opportunity on this stock. Price is trending upward — buyers are in control. Reward is 1.7:1 vs risk — acceptable but not ideal. Enter near the entry zone, set your stop below it, and target T1 first.
Setup Intelligence — Long vs. Short
⬆ Long Setup
Strong Long
100
/ 100
🔥 Strong Setup
Entry zone $325.81
to $331.89
Stop loss $319.29
Below entry
Target 1 $345.34
Risk/Reward (T1) 1.72:1
Risk/Reward (T2) 3.53:1
Target 2 $362.61
Shares 10
$ Risk $100.00
Position $ $3,288.52
Setup Conditions (hover for explanation)
✓ Bullish trend bias The overall price trend favors buyers. Price is making higher highs and higher lows.
✓ Price above 20-day MA Short-term momentum is positive. Price sitting above its 20-day average is a sign of near-term strength.
✓ Price above 50-day MA Medium-term trend is intact. Price above the 50-day average means institutions are still holding.
○ Positive 20-bar momentum Price has moved up more than 5% over the last 20 bars — the stock has real energy behind it.
○ Volume confirms the move More shares are trading than usual. High volume on an upward move shows genuine buying interest.
✓ Reward:Risk ≥ 1.5:1 For every dollar you risk, you stand to make at least $1.50. Most professional traders require this minimum.
✓ Trend not mixed/sideways A clear trend direction reduces the chance the trade chops around and hits your stop randomly.
✓ Hammer Chart pattern or signal detected that supports a long position.
✓ Bullish Engulfing Chart pattern or signal detected that supports a long position.
⬇ Short Setup
Watch Short
66
/ 100
👀 Watch This
Entry zone $342.99
to $331.89
Stop loss $349.85
Above entry
Target 1 $309.90
Risk/Reward (T1) 2.22:1 ✓
Risk/Reward (T2) 3.47:1
Target 2 $294.41
Shares 8
$ Risk $100.00
Position $ $2,699.53
Setup Conditions (hover for explanation)
○ Bearish trend bias The overall price trend favors sellers. Price is making lower highs and lower lows.
○ Price below 20-day MA Short-term momentum is negative. Price trading below its 20-day average signals weakness.
○ Price below 50-day MA Medium-term trend has broken down. Institutions may be reducing or exiting positions.
○ Negative 20-bar momentum Price has dropped more than 5% over 20 bars — consistent selling pressure is present.
○ Volume confirms the move Volume above average on a downward move confirms sellers are in control, not just a lack of buyers.
✓ Reward:Risk ≥ 1.5:1 Even on the short side, a minimum 1.5:1 R:R is important to make the trade worth taking.
✓ Trend not mixed/sideways Choppy sideways action makes short trades risky — you want a clear downtrend.
✓ Shooting Star Chart pattern or signal detected that supports a short position.
✓ Bearish Engulfing Chart pattern or signal detected that supports a short position.
Chart view
AAPL price structure
Range high $345.34
Range low $300.00
Bars 60
Volume 33.28M
OHLCV O — H — L — C — V —
Hover the chart to see OHLCV · values update live in the bar above
Technical indicators
Chart diagnostics
20-day MA $331.89 ✓ Price above
50-day MA $322.42 ✓ Price above
20-bar momentum 1.67% Price change over 20 bars
Volume ratio 0.79x vs 20-day avg volume
Support $325.81 Recent 10-bar low
Resistance $345.34 Recent 20-bar high
Trend strength Strong uptrend
Trend bias Bullish

📋 Summary

This long framework favors pullbacks into support, reclaim behavior, and trend continuation instead of chasing extended moves.

📌 Entry idea

Best long entries are often pullbacks into the entry zone that hold support and then turn higher.

🎯 Exit idea

Scale some profits at target 1, then let the rest work if momentum and volume stay constructive.

⚠ Risk note

If price loses support and breaks the stop, respect it. Hoping after invalidation is where risk expands fast.

Earnings intelligence
Recent quarterly earnings
More beats (3/4)
2026-06-30
▼ Miss
Actual EPS $1.91
Estimate $1.93
Surprise -0.9%
EPS diff -$0.02
2026-03-31
▲ Beat
Actual EPS $2.01
Estimate $1.99
Surprise +1.1%
EPS diff +$0.02
2025-12-31
▲ Beat
Actual EPS $2.84
Estimate $2.73
Surprise +4.2%
EPS diff +$0.11
2025-09-30
▲ Beat
Actual EPS $1.85
Estimate $1.81
Surprise +2.4%
EPS diff +$0.04
EPS Surprise trend (oldest → newest)
+2.4% +4.2% +1.1% -0.9%
Recent news

Headline reaction grid

Candle patterns detected
17 patterns
⚖ Doji ⚖ Doji ⚖ Doji 💫 Shooting Star ⚖ Doji 🔄 Bearish Engulfing 🔨 Hammer ⚖ Doji 🔄 Bullish Engulfing 🔄 Bearish Engulfing ⚖ Doji ⚖ Doji 🔨 Hammer 🔄 Bullish Engulfing ⚖ Doji 💫 Shooting Star ⚖ Doji
Bullish continuation
🚩 Bull Flag Detected ⓘ
👀 Watching for breakout above $342.99
60 Moderate
Pattern schematic (hover for explanation)
↑ 9.4% · 17 bars Flag · 4 bars · vol ↓ Target Break ↑ FLAGPOLE FLAG PROJECTED
Pole move +9.4%
Pole bars 17
Flag bars 4
Vol ratio P:F 1.5×
Retracement 30.7%
R:R ratio 3.84:1
Trade setup from this pattern (hover each for guidance)
▲ Enter above $342.99
Stop loss $333.63
Projected target $378.93
Current price $333.69 2.7% below breakout trigger
STOP $333.63 ENTRY $342.99 TARGET $378.93
🚩 How to trade a Bull Flag — step by step
1️⃣Flagpole: A sharp, nearly vertical price rise — at least 4–5% — on well-above-average volume. This shows real buying conviction.
2️⃣Flag: A brief consolidation where price drifts slightly lower in a tight, orderly channel. Volume contracts — sellers are not aggressive.
3️⃣Breakout: Price closes above the upper flag boundary — ideally on rising volume — signaling the uptrend is resuming. That's your entry trigger.
🎯Target: The flagpole height is projected upward from the breakout point. Stop goes just below the flag low.
⚠Watch out for: Low volume on the breakout (weak conviction), a flag that retraces more than 50% of the pole, or a very wide flag channel.
Fundamental data
Financial overview Financial score: 89/100
Revenue 416.16B
Net income 112.01B
Revenue growth 6.43%
EPS 7.49
Net income growth 19.50%
Healthy revenue growth Profit growth improving Strong gross margin Strong operating margin Positive EPS
Quick metrics
Best trade Favor Long
Confidence High
Long score 100/100
Short score 66/100
Long R:R 1.72:1
Short R:R 2.22:1
Macro risk Low
Fear/Greed Greed
Market sentiment
Fear & Greed
68
Greed
EXTREME FEARNEUTRALEXTREME GREED
Economic environment
Macro risk 0 high-impact events

No major upcoming macro events found.

Watchlist
Saved setups
BA Expired
$224.11 · Mid range · High
Open
CRM Expired
$176.31 · Mid range · Low
Open
HIMS Expired
$29.01 · Mid range · Low
Open
HWM Expired
$240.88 · Mid range · Low
Open
VGT Expired
$102.68 · Mid range · High
Open
VOO Expired
$677.70 · Mid range · High
Open
AGG Expired
$99.67 · Mid range · High
Open
BND Expired
$73.86 · Mid range · High
Open
CDE Expired
$17.68 · Near support · High
Open
FOUR Expired
$45.21 · Near support · High
Open
GDX Expired
$77.59 · Near support · High
Open
GLW Expired
$173.94 · Near support · High
Open
HWM Expired
$240.88 · Mid range · High
Open
TNXP Expired
$13.11 · Near support · High
Open
VGT Expired
$102.02 · Near support · High
Open
WMT Expired
$114.42 · Mid range · High
Open
XOM Expired
$150.47 · Near support · High
Open
AAPL Expired
$271.35 · Mid range · Low
Open
AIQ Expired
$56.82 · Near resistance · Low
Open
CAT Expired
$808.87 · Mid range · Low
Open
Paper trading
AAPL
Win rate
0%
Total P&L
$0.00
Trades
2
✓ Stop loss required ✓ Min 3:1 R:R enforced
Entry —
Stop —
Target 1 —
Open trades (2)
WDC LONG Western Digital Corp Viewing AAPL — price shown is for WDC only when open
Entry $310.00
Current open WDC
Stop $373.95
T1 $401.94
Shares 20.0000
Opened 04/22 3:53pm
LKNCY SHORT Luckin Coffee Inc Viewing AAPL — price shown is for LKNCY only when open
Entry $32.50
Current open LKNCY
Stop $34.90
T1 $30.00
Shares 67.0000
Opened 04/22 3:45pm
hit resistance 2 days ago
📊 COT positioning
E-Mini S&P 500
bullish
Date2026-04-16
NC Long210,000
NC Short180,000
Net Spec30,000
Gold
bullish
Date2026-04-16
NC Long180,000
NC Short95,000
Net Spec85,000
US Dollar Index
bearish
Date2026-04-16
NC Long42,000
NC Short61,000
Net Spec-19,000
📓 Save to journal
📂 Saved setups (2)
TNXP long SHORT
Open
ConfidenceHigh
Entry$12.87
Stop$11.37
R:R2.76:1

waiting for it to do something

AKR long LONG
Open
ConfidenceHigh
Entry$19.44
Stop$18.61
R:R1.67:1

top of bolinger and rsi and macd look good

🎓 Trading Education
🗂 Symbol management

Archive AAPL

Archive bad tickers or symbols that waste API requests.

⤢ AAPL Chart — Pop-out
Quick paper trade — AAPL
L Stop
$319.29
L T1
$345.34
S Stop
$349.85
S T1
$309.90