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AMEX
NYSE
NASDAQ
Index
fx
ACP
NYSE
abrdn Income Credit Strategies Mutual Fund
STAY SHORT
Close
5.3000
Prev.Close
5.2900
Change
+0.0100
Change%
+0.19%
BULLISH HOMING PIGEON
Sold at
5.2700
Open
5.3200
High
5.3250
Low
5.2750
Close
5.3000
Loss%
+0.57%
Signal History
6 mo.
6 mo.
24 mo.
24 mo.
Date
Price
Signal
Change%
$100⇨
03/13
5.2700
SHORT
+0.6%
❌
95
03/10
5.3600
BUY
-1.7%
❌
97
03/06
5.3500
SHORT
+0.2%
❌
98
03/04
5.5100
BUY
-2.9%
❌
101
02/19
5.7200
SHORT
-3.7%
✔
98
02/02
5.6300
BUY
+1.6%
✔
97
01/27
5.5700
SELL
+1.1%
❌
97
01/21
5.6000
BUY
-0.5%
❌
98
01/15
5.5700
SELL
+0.5%
❌
98
01/06
5.5000
BUY
+1.3%
✔
97
12/30
5.4300
SELL
+1.3%
❌
97
12/23
5.4500
BUY
-0.4%
❌
98
12/02
5.4000
SHORT
+0.9%
❌
99
11/25
5.3200
BUY
+1.5%
✔
98
11/04
5.5300
SHORT
-3.8%
✔
95
10/31
5.5600
BUY
-0.5%
❌
96
10/28
5.5200
SHORT
+0.7%
❌
97
10/22
5.6400
BUY
-2.1%
❌
99
10/10
5.7300
SHORT
-1.6%
✔
98
10/08
5.8000
BUY
-1.2%
❌
100
† Trade commissions are taken as 0.20%.
Date
Price
Signal
Change%
$100⇨
03/13
5.2700
SHORT
+0.6%
❌
99
03/10
5.3600
BUY
-1.7%
❌
101
03/06
5.3500
SHORT
+0.2%
❌
102
03/04
5.5100
BUY
-2.9%
❌
105
02/19
5.7200
SHORT
-3.7%
✔
102
02/02
5.6300
BUY
+1.6%
✔
101
01/27
5.5700
SELL
+1.1%
❌
101
01/21
5.6000
BUY
-0.5%
❌
102
01/15
5.5700
SELL
+0.5%
❌
102
01/06
5.5000
BUY
+1.3%
✔
101
12/30
5.4300
SELL
+1.3%
❌
101
12/23
5.4500
BUY
-0.4%
❌
102
12/02
5.4000
SHORT
+0.9%
❌
103
11/25
5.3200
BUY
+1.5%
✔
102
11/04
5.5300
SHORT
-3.8%
✔
98
10/31
5.5600
BUY
-0.5%
❌
99
10/28
5.5200
SHORT
+0.7%
❌
100
10/22
5.6400
BUY
-2.1%
❌
103
10/10
5.7300
SHORT
-1.6%
✔
102
10/08
5.8000
BUY
-1.2%
❌
104
09/02
5.9100
SHORT
-1.9%
✔
102
07/01
5.9300
BUY
-0.3%
❌
103
06/17
5.8800
SELL
+0.9%
❌
103
06/12
5.8900
BUY
-0.2%
❌
103
05/21
5.8600
SELL
+0.5%
❌
104
04/29
5.5900
BUY
+4.8%
✔
99
04/21
5.4900
SHORT
+1.8%
❌
101
04/15
5.5200
BUY
-0.5%
❌
102
03/31
5.8900
SHORT
-6.3%
✔
97
03/19
5.9700
BUY
-1.3%
❌
98
03/13
5.9500
SHORT
+0.3%
❌
99
03/07
6.0600
BUY
-1.8%
❌
101
02/21
6.1400
SELL
-1.3%
✔
101
01/30
6.0400
BUY
+1.7%
✔
100
01/21
6.0700
SELL
-0.5%
✔
100
01/15
6.0600
BUY
+0.2%
✔
100
01/06
5.9200
SHORT
+2.4%
❌
103
12/20
5.8550
BUY
+1.1%
✔
102
11/25
6.4200
SHORT
-8.8%
✔
94
11/18
6.5300
BUY
-1.7%
❌
96
11/13
6.5050
SELL
+0.4%
❌
97
11/07
6.5100
BUY
-0.1%
❌
97
10/25
6.5500
SHORT
-0.6%
✔
97
10/09
6.5800
BUY
-0.5%
❌
98
10/02
6.5500
SELL
+0.5%
❌
98
09/25
6.4500
BUY
+1.6%
✔
96
09/23
6.4000
SELL
+0.8%
❌
97
09/16
6.5300
BUY
-2.0%
❌
99
09/12
6.4600
SELL
+1.1%
❌
99
09/10
6.4800
BUY
-0.3%
❌
100
09/06
6.4050
SELL
+1.2%
❌
100
09/04
6.4500
BUY
-0.7%
❌
101
08/30
6.4100
SELL
+0.6%
❌
101
08/19
6.4200
BUY
-0.2%
❌
101
08/06
6.3500
SHORT
+1.1%
❌
103
07/31
6.5300
BUY
-2.8%
❌
106
07/18
6.9500
SELL
-6.0%
✔
106
07/10
6.7800
BUY
+2.5%
✔
104
07/02
6.7000
SELL
+1.2%
❌
104
06/06
6.7600
BUY
-0.9%
❌
105
05/21
6.8900
SELL
-1.9%
✔
105
04/26
6.5000
BUY
+6.0%
✔
100
04/22
6.5800
SHORT
-1.2%
✔
99
04/17
6.6300
BUY
-0.8%
❌
100
04/11
6.7400
SHORT
-1.6%
✔
99
03/28
6.7800
BUY
-0.6%
❌
100
† Trade commissions are taken as 0.20%.
Pattern & Confirmation Chart for the Last 6 Months
Signal Update
Today's recommendation from our system is to
STAY SHORT
. The previous
SHORT
signal was issued on 03/13/2026, 4 days ago, when the stock price was 5.2700. Since then,
ACP
has risen by
+0.57%
.
Market Outlook
Alarm bells are ringing for those holding short positions. We are on the brink of concluding the bearish phase in the market and recognizing the dominance of the bulls. The share price is above the confirmation level of the last bullish pattern, but the signal is still suggesting to
STAY SHORT
. The
BUY
signal requires a white body whose close is above the confirmation level and the chance of detecting such a white candlestick is high. The Delayed Intraday Module is ON. Considering the high risk and the advantage of prompt action, it's crucial to monitor the price movements on an intraday basis.
Pattern Description
This pattern consists of a small black candlestick within a preceding relatively long black candlestick. It resembles the Harami pattern, except that both candlesticks are black.
more...
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