SPDETRADE
PatternSleeve · Trade Setups

Signal date 2026-04-30

Buy at next-session OPEN · Sell on target / stop / horizon
4h old2 picks
BUY OPEN
CAT
Range Breakout · 50d
Entry
$892.10
17 sh · $15,166
Profit Target
$983.31
+10.2%
Sell Stop
$828.36
7.7% · risk $1,084
Hold ≤
20d
R:R 1.43 · Q 0.97
Empirical Forecast — 1,245 analogues
Target hit: 38%P(positive 5d): 77%Median 5d: +2.1%Median 20d: +3.1%
BUY OPEN
LLY
Double Bottom
Entry
$939.75
17 sh · $15,976
Profit Target
$997.38
+6.1%
Sell Stop
$846.26
11.0% · risk $1,589
Hold ≤
30d
R:R 0.62 · Q 0.57
Empirical Forecast — 7,328 analogues
Target hit: 77%P(positive 5d): 80%Median 5d: +3.1%Median 20d: +3.9%
Trade rules · how to execute these in your broker

Entry:Place Market-on-Open (MOO) buy order before 9:30am ET on the next trading day. Fills at that day's opening price. The signal close shown on the card is a reference; actual fill will be the next day's open.

Sell Stop: Immediately after fill, place a GTC sell-stop at the listed Stop price. The stock auto-exits if it breaks the stop.

Profit Target: Optional limit-sell at the Target price, or close manually if it gets hit.

Hold ≤ horizon: If neither target nor stop hits within the horizon (typically 20–30 days), close the position at that day’s close. Don’t let stale trades drag.

Sizing: ~20% of equity per pick (5 equal-weight slots from $80K). Don’t double up on stronger-looking setups — the backtest validated equal weight.