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PM · Philip Morris International Inc.

RSI(2) signal · fired 2026-06-01 23:01 (Berlin) · RSI(2) 1.3 · RSI14 — · close $172.66 · EMA5 — · SMA200 163.69 · SPY40 — · sector ? · 20d avg vol 4,893,042
setup caution options avoid max gain +7.2% @ day 9 drawdown -1.5% @ day 1 ret so far +6.7% (day 9, 2026-06-12) classic exit +3.4% · close crossed 5-day SMA → sold at that close · day 2

Daily bars (9 held / 10)

Day 0 is the signal bar. High/close performance columns are measured vs the signal close; classic exit return is measured vs the next session's open.

daydateopenhighlowcloseSMA5classicvolumehigh vs signalclose vs signal
-5 2026-05-22 187.62 190.37 187.60 188.98 99,835 +10.3% +9.5%
-4 2026-05-26 189.81 189.81 181.21 181.61 238,915 +9.9% +5.2%
-3 2026-05-27 183.22 183.22 180.51 182.01 209,847 +6.1% +5.4%
-2 2026-05-28 181.99 183.59 178.28 178.57 146,368 +6.3% +3.4%
-1 2026-05-29 176.90 178.08 174.96 177.41 181.72 144,915 +3.1% +2.8%
0 2026-06-01 175.64 176.12 172.18 172.66 178.45 3,785,147 +2.0% +0.0%
1 2026-06-02 170.15 175.23 170.00 173.66 176.86 3,939,110 +1.5% +0.6%
2 2026-06-03 173.95 178.92 173.50 175.94 175.65 exit 2,152,253 +3.6% +1.9%
3 2026-06-04 177.89 179.28 174.73 174.99 174.93 3,294,847 +3.8% +1.3%
4 2026-06-05 176.77 180.36 175.07 178.29 175.11 4,571,672 +4.5% +3.3%
5 2026-06-08 178.41 180.00 174.46 176.06 175.79 2,548,231 +4.3% +2.0%
6 2026-06-09 175.04 179.16 172.40 178.49 176.75 2,927,047 +3.8% +3.4%
7 2026-06-10 180.94 183.10 179.23 182.95 178.16 4,351,156 +6.0% +6.0%
8 2026-06-11 184.57 184.91 180.25 180.77 179.31 5,389,430 +7.1% +4.7%
9 2026-06-12 181.00 185.12 180.42 184.30 180.51 3,222,768 +7.2% +6.7%