GUL Signals
●Volume surging at 5.0x normal while price falls — heavy selling pressure
●Knocking on the door of resistance — if it punches through, things could get interesting
●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
●Cash positive / operating cashflow positive
●Low P/S ratio (3.5x)
●Revenue in sharp decline (-26%)
●Piotroski F-Score strong (7/9, low-confidence approx)
TVN Signals
●Beating the Small Ords index — relative strength of 1.10, so it's outpacing the pack
●Below the 200-day average — the long-term trend is still working against it
●Strong cash runway (10 quarters)
●Piotroski F-Score weak (3/9, low-confidence approx)
●CANSLIM I: Institutional ownership (11%)
●Not enough chatter to gauge sentiment — defaulting to neutral
●Sentiment is mixed — no strong consensus either way
●Strong long-term momentum — up 162% over the past year (excluding last month)