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AMEX
NYSE
NASDAQ
OTC PINK
Index
fx
GCV
NYSE
Gabelli Convertible and Income Securities
STAY LONG
Close
3.6700
Prev.Close
3.6700
Change
0.0000
Change%
0.00%
BEARISH MATCHING HIGH
Bought at
3.6750
Open
3.6400
High
3.7000
Low
3.6400
Close
3.6700
Loss%
-0.14%
Signal History
6 mo.
6 mo.
24 mo.
24 mo.
Date
Price
Signal
Change%
$100⇨
05/17
3.6750
BUY
-0.1%
❌
101
05/13
3.5900
SELL
+2.4%
❌
101
04/26
3.5171
BUY
+2.1%
✔
99
04/04
3.6500
SELL
-3.6%
✔
100
03/04
3.6600
BUY
-0.3%
❌
100
02/26
3.6000
SHORT
+1.7%
❌
102
02/07
3.6350
BUY
-1.0%
❌
104
01/26
3.6100
SELL
+0.7%
❌
104
01/22
3.6300
BUY
-0.6%
❌
104
01/17
3.6400
SELL
-0.3%
✔
105
01/05
3.5600
BUY
+2.2%
✔
103
12/29
3.6300
SHORT
-1.9%
✔
101
12/27
3.6400
BUY
-0.3%
❌
102
12/20
3.5400
SELL
+2.8%
❌
102
11/28
3.4580
BUY
+2.4%
✔
100
† Trade commissions are taken as 0.20%.
Date
Price
Signal
Change%
$100⇨
05/17
3.6750
BUY
-0.1%
❌
168
05/13
3.5900
SELL
+2.4%
❌
168
04/26
3.5171
BUY
+2.1%
✔
165
04/04
3.6500
SELL
-3.6%
✔
166
03/04
3.6600
BUY
-0.3%
❌
166
02/26
3.6000
SHORT
+1.7%
❌
170
02/07
3.6350
BUY
-1.0%
❌
172
01/26
3.6100
SELL
+0.7%
❌
173
01/22
3.6300
BUY
-0.6%
❌
174
01/17
3.6400
SELL
-0.3%
✔
174
01/05
3.5600
BUY
+2.2%
✔
171
12/29
3.6300
SHORT
-1.9%
✔
168
12/27
3.6400
BUY
-0.3%
❌
169
12/20
3.5400
SELL
+2.8%
❌
170
11/28
3.4580
BUY
+2.4%
✔
166
11/10
3.5400
SELL
-2.3%
✔
166
11/01
3.2500
BUY
+8.9%
✔
153
10/02
3.7400
SHORT
-13.1%
✔
136
09/26
3.7500
BUY
-0.3%
❌
137
09/08
3.9400
SHORT
-4.8%
✔
131
08/30
4.0082
BUY
-1.7%
❌
134
08/08
4.2300
SHORT
-5.2%
✔
128
07/31
4.2900
BUY
-1.4%
❌
130
07/24
4.2300
SHORT
+1.4%
❌
132
07/10
4.2950
BUY
-1.5%
❌
135
07/06
4.3000
SHORT
-0.1%
✔
135
06/23
4.4000
BUY
-2.3%
❌
139
06/15
4.4000
SELL
0.0%
❌
139
06/02
4.3800
BUY
+0.5%
✔
139
05/25
4.2900
SHORT
+2.1%
❌
143
05/23
4.3400
BUY
-1.2%
❌
145
05/04
4.3600
SHORT
-0.5%
✔
145
04/28
4.4150
BUY
-1.2%
❌
147
04/20
4.4402
SELL
-0.6%
✔
147
04/12
4.4186
BUY
+0.5%
✔
147
04/05
4.3800
SHORT
+0.9%
❌
149
04/03
4.4500
BUY
-1.6%
❌
152
03/30
4.4000
SHORT
+1.1%
❌
154
03/27
4.4000
BUY
0.0%
❌
155
03/09
4.9500
SHORT
-11.1%
✔
140
03/03
4.9500
BUY
0.0%
❌
141
02/10
5.0600
SELL
-2.2%
✔
141
02/08
5.2000
BUY
-2.7%
❌
145
01/31
5.0900
SELL
+2.2%
❌
145
01/25
5.1028
BUY
-0.3%
❌
146
01/20
4.9926
SHORT
+2.2%
❌
150
01/05
4.8450
BUY
+3.0%
✔
146
12/22
5.1619
SELL
-6.1%
✔
146
12/15
5.1900
BUY
-0.5%
❌
147
12/08
5.2614
SHORT
-1.4%
✔
146
11/30
5.0300
BUY
+4.6%
✔
140
11/25
5.2910
SELL
-4.9%
✔
140
11/02
5.0793
BUY
+4.2%
✔
135
10/07
5.2900
SELL
-4.0%
✔
135
10/03
4.9900
BUY
+6.0%
✔
128
09/13
5.5800
SELL
-10.6%
✔
128
09/06
5.3100
BUY
+5.1%
✔
122
08/29
5.1800
SHORT
+2.5%
❌
126
08/25
5.2900
BUY
-2.1%
❌
129
08/12
5.6001
SELL
-5.5%
✔
129
08/10
5.7150
BUY
-2.0%
❌
132
08/08
5.6600
SELL
+1.0%
❌
132
07/13
5.0650
BUY
+11.7%
✔ 👍
119
06/28
5.5163
SHORT
-8.2%
✔
110
06/22
5.4000
BUY
+2.2%
✔
108
06/09
5.8900
SHORT
-8.3%
✔
100
05/25
5.8300
BUY
+1.0%
✔
100
† Trade commissions are taken as 0.20%.
Pattern & Confirmation Chart for the Last 6 Months
Signal Update
Our system’s recommendation today is to
STAY LONG
. The previous
BUY
signal was issued on 05/17/2024, 5 days ago, when the stock price was 3.6750. Since then
GCV
has fallen by
-0.14%
.
Market Outlook
Candlesticks warned us today to be on alert with a new bearish pattern. Market attention is now on the downside. Based on this pattern, in response to emerging market bearishness the system established new confirmation and stop loss levels. The signal tells us to
STAY LONG
, but the chance of a bearish confirmation that will change the signal to <
SELL
is very high. The Delayed Intraday Module is ON. Given the risks involved, we strongly suggest you to follow price movements on an intraday basis.
Pattern Description
This pattern occurs when two white days appear with equal closes in an uptrend. It indicates a top has been reached, even though the new high was tested and there was no follow through, which is indicative of a good resistance price.
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