Performance by score band
Every alert counted · verified nightly
| Score band |
Avg 5-day return |
Win rate |
Alerts measured |
| 60+ (Triggered) |
+6.13% |
50% |
469 |
| 50-59 |
+1.61% |
51% |
3419 |
| 40-49 |
+0.43% |
50% |
11502 |
Return measured from the close on alert day to the close ~5 trading days later. Higher scores win less often but win much bigger — the payoff is asymmetric, not a coin flip.
Earnings Aug 10
Pharmaceuticals, Biotechnology & Life Sciences
IWM
IWO
RSI 13 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLV markup ✓+3.3%
📊
81x unusual options activity (avg 15.2)
📈5.3x normal volume
Earnings 2d ago
Capital Goods
ITA
QQQJ
XAR
RSI 38+0.7%
MACD bottoming ✓+1.8%
Below 50-day+3.0%
XLI weak+0.6%
📊
80x unusual options activity (avg 9.6)
📈2.5x normal volume
Earnings 2d ago
Financial Services
ARKK
FINX
RSI 35+0.7%
MACD bearish+2.8%
Below 50-day+3.0%
XLF markup ✓+3.3%
📊
78x unusual options activity (avg 5.5)
📈2.4x normal volume
Earnings Aug 12
Materials
RSI 32 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLB markup ✓+3.3%
📊
80x unusual options activity (avg 7.4)
📈1.6x normal volume
Earnings 1d ago
Semiconductors & Semiconductor Equipment
IWM
IWO
RSI 32 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLK weak+0.6%
📊
73x unusual options activity (avg 3.9)
📈1.7x normal volume
Earnings 2d ago
Capital Goods
RSI 29 · oversold ✓+7.4%
MACD bottoming ✓+1.8%
Below 50-day+3.0%
XLI weak+0.6%
📊
80x unusual options activity (avg 8.7)
📈2.8x normal volume
Earnings in 6d
Commercial & Professional Services
IWM
XITK
IWO
RSI 33 · oversold ✓+7.4%
MACD bottoming ✓+1.8%
Below 50-day+3.0%
XLI weak+0.6%
📊
82x unusual options activity (avg 9.8)
Earnings in 4d
Technology Hardware & Equipment
RSI 33 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLK weak+0.6%
📊
81x unusual options activity (avg 3.3)
📈1.8x normal volume
Earnings 3d ago
Semiconductors & Semiconductor Equipment
SOXX
ARKK
XLK
RSI 44+0.7%
MACD bearish+2.8%
Below 50-day+3.0%
XLK weak+0.6%
📊
80x unusual options activity (avg 5.4)
📈2.5x normal volume
Earnings in 5d
Software & Services
IWM
IGV
IWO
RSI 36+0.7%
MACD bearish+2.8%
Below 50-day+3.0%
XLK weak+0.6%
📊
80x unusual options activity (avg 7.2)
Earnings Oct 23
Financial Services
XLF
DIA
RSI 36+0.7%
MACD bearish+2.8%
Below 50-day+3.0%
XLF markup ✓+3.3%
📊
75x unusual options activity (avg 5.2)
📈2.1x normal volume
Earnings 2d ago
Energy
IWM
OIH
IWO
RSI 28 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLE weak+0.6%
📊
61x unusual options activity (avg 5.7)
📈1.6x normal volume
Earnings 2d ago
Capital Goods
XLI
LOUP
RSI 27 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLI weak+0.6%
📊
80x unusual options activity (avg 6.8)
📈4.6x normal volume
Earnings 2d ago
Technology Hardware & Equipment
QQQJ
RSI 31 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLK weak+0.6%
📊
67x unusual options activity (avg 2.7)
📈2.2x normal volume
Earnings 3d ago
Capital Goods
ICLN
RSI 34 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLI weak+0.6%
📊
80x unusual options activity (avg 6.6)
📈3.1x normal volume
Earnings in 4d
Financial Services
IWM
IGV
FINX
RSI 40+0.7%
MACD bearish+2.8%
Below 50-day+3.0%
XLF markup ✓+3.3%
📊
71x unusual options activity (avg 2.3)
📈1.6x normal volume
Earnings 3d ago
Materials
XLB
RSI 42+0.7%
MACD bottoming ✓+1.8%
Below 50-day+3.0%
XLB markup ✓+3.3%
📊
82x unusual options activity (avg 6.9)
📈2.4x normal volume
Earnings 2d ago
Pharmaceuticals, Biotechnology & Life Sciences
SBIO
XBI
RSI 41+0.7%
MACD bearish+2.8%
Below 50-day+3.0%
XLV markup ✓+3.3%
📊
80x unusual options activity (avg 8.0)
Earnings 2d ago
Insurance
IWM
FINX
KIE
RSI 29 · oversold ✓+7.4%
MACD bearish+2.8%
Below 50-day+3.0%
XLF markup ✓+3.3%
📊
60x unusual options activity (avg 6.1)
📈5.3x normal volume
Earnings 2d ago
Health Care Equipment & Services
XLV
IHF
RSI 42+0.7%
MACD bearish+2.8%
Above 50-day+0.8%
XLV markup ✓+3.3%
📊
80x unusual options activity (avg 23.4)
📈3.1x normal volume
What are Smart Alerts?
Smart Alerts surface stocks where unusual options activity coincides with a price pullback — the classic footprint of institutional accumulation into weakness. A single data point is usually noise; when heavy options positioning shows up in a stock that just dipped, the odds of a bounce improve measurably. Each stock in our universe (options-active names, market cap over $1B) is re-scored daily after the close.
How the score works
Every ticker gets a composite score out of 100, built from two measured components:
- Options flow (up to 50 pts) — unusual options activity vs. the ticker's own baseline (volume spikes, call/put skew, large sweeps), blended with our options signal and confidence models.
- Pullback & volume (up to 30 pts) — rewards stocks that have pulled back over the past five sessions on elevated volume. Our backtest across 90 days of alert history showed stocks up 5%+ over five days won just 47% of the time going forward, while stocks down 5%+ won 54% with a +2% average bounce — so the score buys weakness, not strength.
A stock becomes Triggered at a score of 60+, which mathematically requires both strong options flow and a meaningful pullback; below that it stays on the Watching list. News and social sentiment components are in development and will be added to the score once they pass the same forward-return verification.
Reading the setup badges
Each alert card carries a row of setup badges — RSI, MACD state, trend position, and the stock's sector ETF phase. The left side of a badge is the stock's condition right now; the number on the right is the average 5-day return of every past alert that fired under that same condition. So "RSI 28 · oversold ✓ +8.5%" means: this stock's RSI is currently 28, that counts as oversold, and historically our alerts firing while oversold went on to average +8.5% over the following five sessions. Green badges with a ✓ mark conditions that have historically helped; red badges (like an overbought RSI) mark conditions that have historically hurt. Stacked green badges mean multiple verified tailwinds are in place at once.
How we verify performance
Every alert — triggered or watching — is snapshotted nightly and scored against its actual 5-day forward return. The track record above includes every alert we generated, not a curated highlight reel. The "What actually worked" panel goes one level deeper: for each alert we record the technical context at trigger time (RSI, MACD state, position vs. moving averages, whether the stock's sector ETF was in a markup phase) and publish the win rate and average return that followed each condition — including the ones that hurt, like alerts firing with an overbought RSI. Smart Alerts are a research tool, not investment advice: always do your own due diligence.