MGU Signals
●Volume surging at 3.0x normal while price falls — heavy selling pressure
●Volatility is contracting — like a spring being compressed, breakouts often follow
●Below the 200-day average — the long-term trend is still working against it
●Adequate cash runway (8 quarters)
●Very high P/S ratio (149.6x)
●Piotroski F-Score weak (3/9, low-confidence approx)
●Near 52-week low (20% of range)
●Micro-cap ($5-20M) - high risk
THR Signals
●Trading below both moving averages — the trend is working against this one
●Above-average volume (1.7x) on a red day — sellers in control
●Drifting lower — down 8.3% over the last 5 days
●Volume-price trend says buyers are quietly accumulating — price hasn't caught up yet
●Below the 200-day average — the long-term trend is still working against it
●Low cash runway (3 quarters) - dilution risk
●Pre-revenue with limited cash
●Piotroski F-Score weak (3/9, low-confidence approx)