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AMEX
NYSE
NASDAQ
OTC PINK
Index
fx
ACP
NYSE
abrdn Income Credit Strategies Mutual Fund
STAY LONG
Close
6.9400
Prev.Close
6.9200
Change
+0.0200
Change%
+0.29%
BEARISH MATCHING HIGH
Bought at
6.5000
Open
6.9450
High
6.9500
Low
6.9100
Close
6.9400
Gain%
+6.77%
Signal History
6 mo.
6 mo.
24 mo.
24 mo.
Date
Price
Signal
Change%
$100⇨
04/26
6.5000
BUY
+6.8%
✔
96
04/22
6.5800
SHORT
-1.2%
✔
96
04/17
6.6300
BUY
-0.8%
❌
97
04/11
6.7400
SHORT
-1.6%
✔
96
03/28
6.7800
BUY
-0.6%
❌
96
03/20
6.9100
SELL
-1.9%
✔
97
02/28
6.7600
BUY
+2.2%
✔
95
02/22
6.7900
SELL
-0.4%
✔
95
02/09
6.7500
BUY
+0.6%
✔
95
02/01
6.8500
SELL
-1.5%
✔
95
01/30
6.8700
BUY
-0.3%
❌
95
01/24
6.7600
SHORT
+1.6%
❌
97
01/22
6.8800
BUY
-1.7%
❌
99
01/17
6.8350
SHORT
+0.7%
❌
100
01/08
6.7700
BUY
+1.0%
✔
100
† Trade commissions are taken as 0.20%.
Date
Price
Signal
Change%
$100⇨
04/26
6.5000
BUY
+6.8%
✔
233
04/22
6.5800
SHORT
-1.2%
✔
231
04/17
6.6300
BUY
-0.8%
❌
233
04/11
6.7400
SHORT
-1.6%
✔
231
03/28
6.7800
BUY
-0.6%
❌
233
03/20
6.9100
SELL
-1.9%
✔
233
02/28
6.7600
BUY
+2.2%
✔
229
02/22
6.7900
SELL
-0.4%
✔
229
02/09
6.7500
BUY
+0.6%
✔
228
02/01
6.8500
SELL
-1.5%
✔
229
01/30
6.8700
BUY
-0.3%
❌
230
01/24
6.7600
SHORT
+1.6%
❌
235
01/22
6.8800
BUY
-1.7%
❌
240
01/17
6.8350
SHORT
+0.7%
❌
242
01/08
6.7700
BUY
+1.0%
✔
241
12/20
6.9199
SELL
-2.2%
✔
242
11/14
6.1000
BUY
+13.4%
✔ 👍
213
10/17
6.3000
SHORT
-3.2%
✔
208
10/09
6.1400
BUY
+2.6%
✔
203
09/15
7.0600
SELL
-13.0%
✔
204
09/12
7.0800
BUY
-0.3%
❌
205
09/08
7.0500
SELL
+0.4%
❌
205
08/30
6.9800
BUY
+1.0%
✔
203
08/24
6.9400
SELL
+0.6%
❌
204
08/18
6.9500
BUY
-0.1%
❌
204
08/16
6.9000
SELL
+0.7%
❌
205
08/01
6.8800
BUY
+0.3%
✔
205
07/27
6.8400
SELL
+0.6%
❌
205
07/14
6.9000
BUY
-0.9%
❌
207
07/06
6.8000
SHORT
+1.5%
❌
211
06/28
6.8200
BUY
-0.3%
❌
213
06/22
6.8600
SELL
-0.6%
✔
213
05/26
6.5850
BUY
+4.2%
✔
205
05/22
6.5700
SELL
+0.2%
❌
205
05/10
6.6000
BUY
-0.5%
❌
207
05/02
6.5900
SELL
+0.2%
❌
207
04/24
6.6200
BUY
-0.5%
❌
209
04/17
6.7400
SELL
-1.8%
✔
209
03/29
6.5000
BUY
+3.7%
✔
202
03/08
7.5200
SHORT
-13.6%
✔
178
03/06
7.5200
BUY
0.0%
❌
179
02/21
8.3000
SHORT
-9.4%
✔
164
02/01
7.8100
BUY
+6.3%
✔
155
01/23
8.1100
SELL
-3.7%
✔
156
01/10
6.8800
BUY
+17.9%
✔ 👍
132
12/29
7.0050
SHORT
-1.8%
✔
131
12/23
6.9400
BUY
+0.9%
✔
130
12/09
6.9800
SELL
-0.6%
✔
130
11/14
6.5200
BUY
+7.1%
✔
122
11/03
6.3700
SELL
+2.4%
❌
122
10/31
6.3400
BUY
+0.5%
✔
122
10/13
6.3600
SHORT
-0.3%
✔
122
10/11
6.5400
BUY
-2.8%
❌
126
09/30
6.5500
SHORT
-0.2%
✔
126
09/28
6.6875
BUY
-2.1%
❌
129
09/21
7.9500
SHORT
-15.9%
✔
112
09/08
7.9000
BUY
+0.6%
✔
112
08/23
8.4600
SELL
-6.6%
✔
112
07/27
7.9900
BUY
+5.9%
✔
106
07/22
7.9300
SELL
+0.8%
❌
106
07/07
7.6200
BUY
+4.1%
✔
102
06/06
8.6250
SELL
-11.7%
✔
102
05/26
8.3900
BUY
+2.8%
✔
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 04/26/2024, 21 days ago, when the stock price was 6.5000. Since then
ACP
has risen by
+6.77%
.
Market Outlook
The bulls are in full control. The negative sentiment that led to the last bearish pattern has evaporated. The current price is quite distant from the confirmation level, so the probability of a bearish confirmation is very low. Besides, the signal is suggesting to
STAY LONG
. It is best to follow the signal and continue to hold this security. The Delayed Intraday Module is OFF.
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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