Run #106

9/13/2026, 8:25:00 AM · cron · ok

AGL.AX AVOID (low)

Entry · Target · Stop · Size

Price below SMA20 (-2.78%), negative 1m momentum and weak 3m (+1.36%), with a low 52-week range position (0.24). RSI (44.5) is soft; signals are weak and offer no compelling entry.

Signals at recommendation time
{
  "last_price": 8.4,
  "sma20": 8.64,
  "sma50": 8.322,
  "price_vs_sma20_pct": -2.78,
  "price_vs_sma50_pct": 0.94,
  "rsi14": 44.5,
  "annualised_volatility_pct": 24.4,
  "momentum_1m_pct": -1.86,
  "momentum_3m_pct": 1.36,
  "range_position_52w": 0.24
}

BHP.AX HOLD (low)

Entry · Target · Stop · Size

Price is below SMA20 (-4.63%) and flat vs SMA50, with negative 3m momentum (-5.17%) and low RSI (34.2). Mixed signals near a support zone suggest waiting for confirmation rather than acting now.

Signals at recommendation time
{
  "last_price": 60.87,
  "sma20": 63.822,
  "sma50": 60.864,
  "price_vs_sma20_pct": -4.63,
  "price_vs_sma50_pct": 0.01,
  "rsi14": 34.2,
  "annualised_volatility_pct": 29.4,
  "momentum_1m_pct": 1.38,
  "momentum_3m_pct": -5.17,
  "range_position_52w": 0.81
}

COH.AX HOLD (low)

Entry · Target · Stop · Size

Solid 3m momentum (+20.5%) and above SMA50, but flat 1m momentum, price below SMA20, and very high volatility (53.1%). Neutral RSI (47.1) gives no clear edge to enter now.

Signals at recommendation time
{
  "last_price": 134.14,
  "sma20": 137.137,
  "sma50": 128.468,
  "price_vs_sma20_pct": -2.19,
  "price_vs_sma50_pct": 4.42,
  "rsi14": 47.1,
  "annualised_volatility_pct": 53.1,
  "momentum_1m_pct": 0.4,
  "momentum_3m_pct": 20.5,
  "range_position_52w": 0.21
}

CSL.AX BUY (medium)

Entry 165–167.3 · Target 180.47 · Stop 158.75 · Size 5%

Exceptional momentum (1m +24%, 3m +58.5%) with price far above SMA50 (+18.19%) and neutral RSI (50.4) that is not overbought. Price sitting right at SMA20 suggests a consolidation entry rather than chasing. High volatility (40.8%) warrants a smaller position.

Signals at recommendation time
{
  "last_price": 167.1,
  "sma20": 167.292,
  "sma50": 141.388,
  "price_vs_sma20_pct": -0.12,
  "price_vs_sma50_pct": 18.19,
  "rsi14": 50.4,
  "annualised_volatility_pct": 40.8,
  "momentum_1m_pct": 24.03,
  "momentum_3m_pct": 58.54,
  "range_position_52w": 0.61
}

DGT.AX AVOID (medium)

Entry · Target · Stop · Size

Below both SMAs with negative 1m momentum (-6.76%) yet RSI elevated at 65.9—an inconsistent, conflicting picture. Very high volatility (51.9%) makes this an unfavourable risk.

Signals at recommendation time
{
  "last_price": 2.62,
  "sma20": 2.681,
  "sma50": 2.647,
  "price_vs_sma20_pct": -2.29,
  "price_vs_sma50_pct": -1.03,
  "rsi14": 65.9,
  "annualised_volatility_pct": 51.9,
  "momentum_1m_pct": -6.76,
  "momentum_3m_pct": 4.38,
  "range_position_52w": 0.77
}

FMG.AX AVOID (medium)

Entry · Target · Stop · Size

Below both SMAs, sharply negative 3m momentum (-15.77%) and sitting at the bottom of its 52-week range (0.01). A clear downtrend with no reversal evidence—not a place to allocate capital.

Signals at recommendation time
{
  "last_price": 16.67,
  "sma20": 17.286,
  "sma50": 17.7,
  "price_vs_sma20_pct": -3.56,
  "price_vs_sma50_pct": -5.82,
  "rsi14": 41.4,
  "annualised_volatility_pct": 29.1,
  "momentum_1m_pct": -2.98,
  "momentum_3m_pct": -15.77,
  "range_position_52w": 0.01
}

GMG.AX AVOID (medium)

Entry · Target · Stop · Size

Below both SMAs, negative 1m (-9.3%) and 3m (-17.32%) momentum, and low range position (0.22). Trend is clearly down with no reversal evidence.

Signals at recommendation time
{
  "last_price": 26.91,
  "sma20": 27.877,
  "sma50": 28.989,
  "price_vs_sma20_pct": -3.47,
  "price_vs_sma50_pct": -7.17,
  "rsi14": 41.9,
  "annualised_volatility_pct": 28.4,
  "momentum_1m_pct": -9.3,
  "momentum_3m_pct": -17.32,
  "range_position_52w": 0.22
}

LYC.AX AVOID (high)

Entry · Target · Stop · Size

Below both SMAs (~-9%), steep negative 1m (-12.16%) and 3m (-20.61%) momentum with very high volatility (56.7%). Downtrend intact; no reversal to justify a trade.

Signals at recommendation time
{
  "last_price": 14.37,
  "sma20": 15.828,
  "sma50": 15.826,
  "price_vs_sma20_pct": -9.21,
  "price_vs_sma50_pct": -9.2,
  "rsi14": 26.4,
  "annualised_volatility_pct": 56.7,
  "momentum_1m_pct": -12.16,
  "momentum_3m_pct": -20.61,
  "range_position_52w": 0.22
}

MAQ.AX AVOID (high)

Entry · Target · Stop · Size

Steeply below both SMAs (-8% / -13.5%), heavy 3m decline (-31.78%) and sitting at the absolute bottom of its 52-week range (0.0). Oversold RSI (28.5) does not offset a strong downtrend.

Signals at recommendation time
{
  "last_price": 53,
  "sma20": 57.628,
  "sma50": 61.254,
  "price_vs_sma20_pct": -8.03,
  "price_vs_sma50_pct": -13.48,
  "rsi14": 28.5,
  "annualised_volatility_pct": 35.8,
  "momentum_1m_pct": -17.06,
  "momentum_3m_pct": -31.78,
  "range_position_52w": 0
}

NST.AX AVOID (low)

Entry · Target · Stop · Size

Below SMA20 (-4.67%) with weak momentum and very high volatility (55.5%). Low RSI (32.1) is oversold but the setup is uncertain, and the risk profile is unattractive.

Signals at recommendation time
{
  "last_price": 22.08,
  "sma20": 23.162,
  "sma50": 21.593,
  "price_vs_sma20_pct": -4.67,
  "price_vs_sma50_pct": 2.26,
  "rsi14": 32.1,
  "annualised_volatility_pct": 55.5,
  "momentum_1m_pct": -0.68,
  "momentum_3m_pct": 2.37,
  "range_position_52w": 0.36
}

NXT.AX AVOID (high)

Entry · Target · Stop · Size

Sharp declines below both SMAs (-9.6% / -11.3%), severe 1m momentum (-18.95%) and bottom-of-range position (0.12). A pronounced downtrend with no support signal.

Signals at recommendation time
{
  "last_price": 12.06,
  "sma20": 13.339,
  "sma50": 13.601,
  "price_vs_sma20_pct": -9.59,
  "price_vs_sma50_pct": -11.33,
  "rsi14": 33.5,
  "annualised_volatility_pct": 40.5,
  "momentum_1m_pct": -18.95,
  "momentum_3m_pct": -19.55,
  "range_position_52w": 0.12
}

ORG.AX HOLD (low)

Entry · Target · Stop · Size

Price barely above SMA20 (+0.5%) with negative 1m momentum (-1.62%) despite a positive 3m trend. Neutral RSI (53.5) and mid-range position give no clear edge, so no action is warranted.

Signals at recommendation time
{
  "last_price": 11.57,
  "sma20": 11.512,
  "sma50": 10.866,
  "price_vs_sma20_pct": 0.5,
  "price_vs_sma50_pct": 6.48,
  "rsi14": 53.5,
  "annualised_volatility_pct": 23.4,
  "momentum_1m_pct": -1.62,
  "momentum_3m_pct": 9.34,
  "range_position_52w": 0.65
}

PDN.AX AVOID (medium)

Entry · Target · Stop · Size

Price well below SMA20 (-9.34%), negative 3m momentum and extreme annualised volatility (67.8%). Oversold RSI (34.2) alone does not justify a catch, given the very high risk profile.

Signals at recommendation time
{
  "last_price": 10.28,
  "sma20": 11.339,
  "sma50": 10.291,
  "price_vs_sma20_pct": -9.34,
  "price_vs_sma50_pct": -0.1,
  "rsi14": 34.2,
  "annualised_volatility_pct": 67.8,
  "momentum_1m_pct": 1.48,
  "momentum_3m_pct": -3.47,
  "range_position_52w": 0.4
}

PLS.AX AVOID (high)

Entry · Target · Stop · Size

Deeply below SMA20 (-10.63%), collapsing 3m momentum (-28.28%) and extreme volatility (56.1%). Oversold RSI (27.8) reflects a strong downtrend, not a buy signal—avoid.

Signals at recommendation time
{
  "last_price": 4.52,
  "sma20": 5.058,
  "sma50": 4.67,
  "price_vs_sma20_pct": -10.63,
  "price_vs_sma50_pct": -3.21,
  "rsi14": 27.8,
  "annualised_volatility_pct": 56.1,
  "momentum_1m_pct": -6.33,
  "momentum_3m_pct": -28.28,
  "range_position_52w": 0.54
}

PME.AX AVOID (medium)

Entry · Target · Stop · Size

Extremely oversold RSI (13.1) below both SMAs (~-9%) with negative momentum and very high volatility (54.3%). Catching a falling knife at these levels is outside a conservative framework despite the oversold reading.

Signals at recommendation time
{
  "last_price": 164.35,
  "sma20": 180.167,
  "sma50": 181.029,
  "price_vs_sma20_pct": -8.78,
  "price_vs_sma50_pct": -9.21,
  "rsi14": 13.1,
  "annualised_volatility_pct": 54.3,
  "momentum_1m_pct": -7.92,
  "momentum_3m_pct": -2.49,
  "range_position_52w": 0.27
}

RIO.AX HOLD (low)

Entry · Target · Stop · Size

Below SMA20 (-3.91%), negative 3m momentum (-8.41%) and low RSI (36.2) indicate a pullback with no clear reversal signal. No trigger to enter yet.

Signals at recommendation time
{
  "last_price": 168.3,
  "sma20": 175.144,
  "sma50": 168.965,
  "price_vs_sma20_pct": -3.91,
  "price_vs_sma50_pct": -0.39,
  "rsi14": 36.2,
  "annualised_volatility_pct": 28.8,
  "momentum_1m_pct": 0.42,
  "momentum_3m_pct": -8.41,
  "range_position_52w": 0.72
}

RMD.AX HOLD (low)

Entry · Target · Stop · Size

Positive 3m momentum (+10.25%) but negative 1m (-5.17%), below SMA20 and near flat vs SMA50 with oversold RSI (32.0). Mixed signals near support—wait for stabilisation.

Signals at recommendation time
{
  "last_price": 30.31,
  "sma20": 31.813,
  "sma50": 30.507,
  "price_vs_sma20_pct": -4.72,
  "price_vs_sma50_pct": -0.65,
  "rsi14": 32,
  "annualised_volatility_pct": 29.4,
  "momentum_1m_pct": -5.17,
  "momentum_3m_pct": 10.25,
  "range_position_52w": 0.27
}

S32.AX HOLD (low)

Entry · Target · Stop · Size

Strong 3m momentum (+17.02%) and above SMA50, but price slipped below SMA20 (-1.52%) and RSI is neutral (47.5). High volatility (39.8%) and mixed short-term signals argue for patience.

Signals at recommendation time
{
  "last_price": 5.02,
  "sma20": 5.097,
  "sma50": 4.712,
  "price_vs_sma20_pct": -1.52,
  "price_vs_sma50_pct": 6.54,
  "rsi14": 47.5,
  "annualised_volatility_pct": 39.8,
  "momentum_1m_pct": 5.46,
  "momentum_3m_pct": 17.02,
  "range_position_52w": 0.9
}

SHL.AX AVOID (medium)

Entry · Target · Stop · Size

Below both SMAs, sharp 1m decline (-12.25%) and low range position (0.24). Oversold RSI (25.7) reflects selling pressure without a reversal signal.

Signals at recommendation time
{
  "last_price": 19,
  "sma20": 19.98,
  "sma50": 20.655,
  "price_vs_sma20_pct": -4.9,
  "price_vs_sma50_pct": -8.01,
  "rsi14": 25.7,
  "annualised_volatility_pct": 25.7,
  "momentum_1m_pct": -12.25,
  "momentum_3m_pct": -1.26,
  "range_position_52w": 0.24
}

STO.AX HOLD (low)

Entry · Target · Stop · Size

Strong trend and momentum (3m +19%) but RSI at 67.4 is near overbought and price sits at the top of its 52-week range (1.0). Chasing an extended move raises risk of buying near a local top; better to wait for a pullback.

Signals at recommendation time
{
  "last_price": 8.59,
  "sma20": 8.24,
  "sma50": 7.837,
  "price_vs_sma20_pct": 4.25,
  "price_vs_sma50_pct": 9.6,
  "rsi14": 67.4,
  "annualised_volatility_pct": 29.6,
  "momentum_1m_pct": 9.62,
  "momentum_3m_pct": 19,
  "range_position_52w": 1
}

TLX.AX HOLD (low)

Entry · Target · Stop · Size

Positive 3m momentum (+10.74%) and high range position (0.8), but negative 1m (-6.34%), below both SMAs and very high volatility (54.1%). Conflicting signals and high risk justify waiting.

Signals at recommendation time
{
  "last_price": 15.67,
  "sma20": 16.15,
  "sma50": 15.824,
  "price_vs_sma20_pct": -2.98,
  "price_vs_sma50_pct": -0.97,
  "rsi14": 44.2,
  "annualised_volatility_pct": 54.1,
  "momentum_1m_pct": -6.34,
  "momentum_3m_pct": 10.74,
  "range_position_52w": 0.8
}

WDS.AX BUY (medium)

Entry 32.26–32.86 · Target 35.489 · Stop 31.22 · Size 6%

Price is above both SMA20 (+1.87%) and SMA50 (+5.38%) with positive 1m (+3.28%) and strong 3m (+16.26%) momentum. RSI at 51.9 is neutral, leaving room to run, and range position (0.85) confirms an uptrend without being extreme. Moderate volatility (30.2%) supports a measured position. [risk rules clamped: target -> 35.489]

Signals at recommendation time
{
  "last_price": 32.86,
  "sma20": 32.257,
  "sma50": 31.183,
  "price_vs_sma20_pct": 1.87,
  "price_vs_sma50_pct": 5.38,
  "rsi14": 51.9,
  "annualised_volatility_pct": 30.2,
  "momentum_1m_pct": 3.28,
  "momentum_3m_pct": 16.26,
  "range_position_52w": 0.85
}

WHC.AX HOLD (low)

Entry · Target · Stop · Size

Strong short-term momentum (1m +12.61%) and above both SMAs, but weak 3m (+3.59%) shows inconsistency and RSI (64.7) is approaching overbought. High volatility (37.9%) makes a marginal entry risky here.

Signals at recommendation time
{
  "last_price": 8.6,
  "sma20": 8.275,
  "sma50": 7.745,
  "price_vs_sma20_pct": 3.93,
  "price_vs_sma50_pct": 11.03,
  "rsi14": 64.7,
  "annualised_volatility_pct": 37.9,
  "momentum_1m_pct": 12.61,
  "momentum_3m_pct": 3.59,
  "range_position_52w": 0.69
}

Portfolio note: Only two conservative energy/healthcare BUYs are recommended, keeping combined exposure near 11% and cash-heavy; the broad market signals here are largely bearish or mixed, so patience and diversification across the few clear uptrends is prudent.