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MS · Morgan Stanley

RSI(2) signal · fired 2026-06-26 23:01 (Berlin) · RSI(2) 8.1 · RSI14 — · close $212.03 · EMA5 — · SMA200 175.98 · SPY40 — · sector ? · 20d avg vol 6,697,544
setup caution options avoid max gain +5.9% @ day 8 drawdown -2.2% @ day 3 ret so far +4.8% (day 9, 2026-07-10) classic exit -0.3% · close crossed 5-day SMA → sold at that close · day 4

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 2026-06-18 229.09 230.12 222.94 223.19 369,693 +8.5% +5.3%
-4 2026-06-22 227.18 228.19 225.00 227.28 382,241 +7.6% +7.2%
-3 2026-06-23 222.78 227.95 222.36 226.21 322,336 +7.5% +6.7%
-2 2026-06-24 225.70 226.09 219.90 219.99 375,684 +6.6% +3.8%
-1 2026-06-25 223.57 227.44 220.89 220.93 223.52 274,816 +7.3% +4.2%
0 2026-06-26 219.31 219.54 211.44 212.03 221.29 349,495 +3.5% +0.0%
1 2026-06-29 214.50 216.27 211.71 211.80 218.19 264,455 +2.0% -0.1%
2 2026-06-30 210.23 211.33 208.35 208.98 214.75 235,454 -0.3% -1.4%
3 2026-07-01 208.90 213.14 207.47 211.88 213.12 252,391 +0.5% -0.1%
4 2026-07-02 214.11 215.75 211.63 213.89 211.72 exit 146,228 +1.8% +0.9%
5 2026-07-06 216.85 222.10 216.59 222.07 213.72 280,499 +4.8% +4.7%
6 2026-07-07 221.93 223.22 219.89 222.07 215.78 321,256 +5.3% +4.7%
7 2026-07-08 219.87 220.56 216.10 218.12 217.61 182,848 +4.0% +2.9%
8 2026-07-09 221.19 224.44 220.16 222.10 219.65 216,057 +5.9% +4.7%
9 2026-07-10 223.53 224.38 220.86 222.17 221.31 173,518 +5.8% +4.8%