Few overheating or already-surging signals — relatively calm. A good stage to observe pre-breakout conditions patiently.
Some risk factors present — volatility, short-term overheating, or thin liquidity. Size and scale in carefully if entering.
Already surged, RSI overheated, extended far from highs, or earnings imminent. Chasing now carries meaningful pullback risk.
GROY's RSI(14) currently reads 54. RSI is a momentum indicator that reflects how often and how sharply a stock has been rising lately. Readings above 70 are typically read as overbought and below 30 as oversold — this one falls in the 'normal' range. Treat this as one data point on GROY, not a standalone signal. → Learn more
ADX currently reads 34. ADX quantifies how strongly a trend is persisting, independent of whether it's up or down (25+ is considered pronounced). Right now GROY shows +DI sits above -DI, favoring the upside, putting it in the 'strong trend' range on ADX. This reading is specific to GROY on this scan date and can change quickly. → Learn more
GROY's Bollinger Band width is in the bottom 29% (narrow) of its past year, and the squeeze indicator is not currently active. A Bollinger Band squeeze means price volatility has contracted well below its usual range. A squeeze is often followed by a volatility expansion in either direction. Treat this as one data point on GROY, not a standalone signal. → Learn more
GROY's OBV is currently rising (1.4x), and the up/down volume ratio is 1.4x. OBV (On-Balance Volume) uses the cumulative direction of volume to estimate accumulation or distribution. This reading is specific to GROY on this scan date and can change quickly. → Learn more
GROY's recent volume is running at 0.7x its usual level. This ratio shows how many times normal volume the stock has been trading at lately — a reference point for whether order flow is concentrating around this stock. This reading is specific to GROY on this scan date and can change quickly. → Learn more
GROY's change over the last 5 trading days is -1.2%, and over the last 1 trading day is -2.1%. Both figures describe short-term price movement only and are not, on their own, a trading signal.
GROY's current price is 7.6% below its 20-day high. This gap to the recent high is often watched as a proxy for nearby resistance. On this measure it currently falls in the 'near resistance' category. This reading is specific to GROY on this scan date and can change quickly. → Learn more
GROY's ATR% currently reads 3.8%, a 'daily range' level. ATR% expresses how large the average daily move has been recently, as a percentage of price. As with any single metric, weigh this alongside GROY's full indicator set. → Learn more
GROY's 20-trading-day relative strength versus SPY (S&P 500 ETF) is +7.2%. A positive relative-strength reading means the stock outpaced the broad market. As with any single metric, weigh this alongside GROY's full indicator set. → Learn more
No significant edge was measured for OBV Accumulation: 26.5% versus a 29.3% base rate across 6001 cases. As with any single metric, weigh this alongside GROY's full indicator set. → OBV Accumulation
Stocks holding +DI Dominance reached +15% 27.0% of the time, versus a 29.3% base rate — not a statistically significant difference (8370 cases). This reading is specific to GROY on this scan date and can change quickly. → +DI Dominance
Limitations of this page — Automatically calculated, not a stock recommendation. Score is a count of conditions met, not a prediction; base rates are historical measurements only (GROY diagnostic as of 2026.09.09 15:22).
A history of past monitoring candidates — not investment advice. See the scanner's full track record here.