conic.ai

A daily discipline tool: what to do, what to ignore · 2026-06-11 · 98 stocks · 16:15 ET
SPY 1.69%
QQQ 3.38%
SMH 6.75%
VIX 19.4 -12.5%
TODAYNo new buys. Big semi green day is a relief rally, not a signal — hold the book, do not chase.
RISK-ON Constructive - but constructive is not a reason to chase.

MARKET READ

Regime risk-on 4/5 holds: SPY>200d, VIX<20, curve positive, breadth healthy (71% above 50d); only HY-vs-IG credit drag (-0.26 1m) flags caution. Today's tape is a violent semi snap-back (MU +11.7%, AMAT +11.2%, LRCX +12.7%, ASML +9.5%, TSM +3.0%) after a brutal week — classic mean-reversion bounce off oversold RSIs, not a regime change. Breadth is 56/98 names positive 1w so it's NOT a broad lift, it's the SOX rebounding from the prior drawdown. fintwit is two-sided: Bridges4x flags SpaceX $150B funding draining tech liquidity (rotation risk) vs WuffettBarken calling SPY RSI5=17 a bounce setup. Dylan Patel keeps highlighting GB300 NVL72 / MI355X inference scaling — capex story intact, just digested. My own scorecard: matured-call beat-rate 33%, high-conviction calls only 17% beat — I have been over-confident on the bounce trade. Be humbler.

CONVICTION PICKS

TSM MEDIUM ACCUMULATE
Best quality + best relative strength name in the watchlist on a day when everything else gapped. fc 0.83 (#1 in universe), hqm_quality true, pos_52w 0.89, RSI 54.7 (not extended), foundry pricing power compounding with AI capex. Today's modest +3% (vs MU +11.7%, AMAT +11.2%) means it didn't need a violent bounce — supply/demand is healthy already. Continue to accumulate on dips; current price is not a screaming dip but it is acceptable.
CHAIN · Continuation of yesterday's BUY TSM call, but DOWNGRADING conviction from high to medium because (a) my high-conviction calls only beat 17% per the scorecard and (b) the carryover-3d window hasn't matured. Earn the high label back with track record, don't claim it.
KILL · Kill if: TSM closes below $385 (-8.5% from here, near 50d) OR foundry pricing commentary turns negative at next earnings OR SMH breaks its 200d. Hard stop on the position basis: ATR-based, 2*ATR below entry.
NVDA MEDIUM ACCUMULATE
RSI 39.5 still oversold, vs_sma200 +8.4 means uptrend intact, hqm_quality true, abs+ts momentum gates still pass. fwd PE ~16 per carryover, 63% profit margin per carryover. Inference demand (Dylan Patel's GB300/InferenceX scaling notes today) keeps the bid under it. Accumulating into RSI <40 is process, chasing a SOX gap up is not.
CHAIN · Continuation of yesterday's ACCUMULATE NVDA. No change to size or stance — small adds on weakness only.
KILL · Kill if: NVDA closes below $185 (chandelier-style trail) OR consensus FY27 EPS revises down 10%+ OR a clear demand-destruction signal (hyperscaler capex cut) appears.

AVOID / TRIM

  • MU — +11.7% today, RSI 64 reversal, ret_12_1 +594% — textbook FOMO trap. Avoiding the chase IS the call.
  • MRVL — +57.7% month, RSI 65.6, fwd PE ~43, spike_only profile.
  • ARM — Streak 6 hit 86% on avoid; +167% 3m residue, spike_only, multiple uninvestable.
  • SMCI — Streak 5 hit 100% on avoid; no quality floor, -37%+ rolling drawdown.
  • VRT — Downgraded from BUY to WATCH today — streak -6, hit 14%. Thesis keeps missing; need a higher-low confirmation before re-engaging.
  • HPE — spike_only, F=4, +45.9% month, RSI 67 — payback ongoing.
  • NTAP — RSI 69.4, +35% month, spike_only — wait for pullback.
  • META — Streak 4 hit 80% on avoid; pos_52w 0.16, no turn yet.
  • MSFT — pos_52w 0.19, RSI 38.6, share-loss-to-ORCL story holding.
  • ESTC — spike_only, ret_12_1 -41.6% — bounce off broken name, not a turn.
  • SMTC — +213% 12-1, RSI 57 — no price discipline.
  • AMAT — +22% week, +26.7% month, RSI 76 — extended; today's +11.2% is the spike to fade, not chase.
  • LRCX — +19.5% week, +22.7% month, RSI 68, pos_52w 1.0 — same pattern as AMAT; do not chase.
  • ASML — +15.7% week, RSI 72, pos_52w 1.0 — extended.
  • PL — F=2, profit margin -111%.
  • ACMR — F=2 quality floor missing.
  • WOLF — profit margin -73%, no F-score.
  • CRCL — F=3 falling knife.
  • CRWV — abs_mom False, profit margin -26%.
  • AXTI — F=2, ret_12_1 +6235% mania residue.
  • APLD — F=4, profit margin -59%.
CONCENTRATION · This book is effectively one AI-capex factor; correlated names do not diversify each other. (1 names, top sector 100.0%)

POSITION PLAN & RISK exposure x1.0 · open P&L -0.3% · realized -5.5% · 1 open / 5 closed

TKRWEIGHT?HRP / equal-weight relative allocation scaled by a regime-throttled gross-exposure budget, capped 20% per name.KELLY?Conviction tier shown for transparency only - there is no realized hit-rate yet, so it does NOT drive the weight.HRP?Hierarchical Risk Parity weight from real daily returns: correlation-aware, so correlated names share the risk budget.STOP?Initial stop = entry - 2x ATR. Volatility-adaptive risk per share.TRAIL?Chandelier exit: highest-high(22d) - 3x ATR. Daily trailing stop once in profit.SHARES?ATR-based size: shares so a 2x ATR move = 1% of a 100k notional.QUAL?Piotroski F-score gate: pass (>=6) / neutral / fail (<=4, blocked) / unknown.STRAT?Absolute-momentum read: names failing the 12m>risk-free gate are tagged mean-reversion and sized down, not dressed as momentum.
TSM20.0%12.5%46.7%383.80390.7126passstrong 12m · momentum
NVDA0.0%12.5%53.3%187.84209.9358failstrong 12m · momentum

COOLDOWN · no re-entry

  • NVDA locked until 2026-06-12 (stop hit)

BACKTEST · $100k since inception paper book (with stops) vs the plan basket

Since inception (10 sessions) Paper book -6.3% · plan basket -2.2% (stops cost -4.1pp) · SMH 1.8% · SPY -2.5% · book vs SMH -8.1pp · book maxDD -6.4%
94k100k107k
Paper book · actual, WITH stopsPlan basket · no stops, daily rebalanceSMH · buy the sectorSPY · broad marketCash
Paper book = the actual paper portfolio incl. the system's stops/exits. Plan basket = the daily plan held WITHOUT stops (a clean signal benchmark); the gap is what the stop discipline cost or saved. Hypothetical, cash earns 0%, no fills/slippage/fees.
TRACK RECORDBUY 24 · 33% beat-market · -1.9% excess (-4.1% raw, incl. beta)AVOID 74 · 65% under-markethigh: 17% (n6)medium: 39% (n18)

VALIDATION / EDGE

Signal IC (3d) hqm_score: IC -0.27 (IR -0.867)factor_composite: IC +0.18 (IR 0.814)f_score_pct: IC +0.13 (IR 0.993)quality_rank: IC +0.13 (IR 0.993)value_rank: IC +0.20 (IR 0.939)low_vol_rank: IC +0.26 (IR 0.855)
Walk-forward top-vs-bottom quintile spread 3.72% (6 dates)
Vs benchmark picks -6.5% · SMH 53.2% · SPY 7.3% · equal-wt -1.0%

BELIEF UPDATES · vs yesterday

  • UPGRADE CSCO avoid→watch RSI 54.5 (down from 79 in carryover), fc 0.75, hqm_quality true. The pullback I was waiting for is starting. Not yet a buy but worth watching for a cleaner setup.
  • DOWNGRADE AVGO buy→accumulate RSI rebounded to 43 from 38, hqm_quality true and fc 0.57 still solid, but streak -2 with hit 20% on prior calls. The thesis is right (custom ASIC + capex) but conviction was over-priced. Step down to accumulate until it confirms with a higher low.
  • DOWNGRADE VRT buy→watch Streak -6, hit 14% — the thesis keeps missing. Still RSI 38, -19.5% month, fc 0.41 (mediocre), and crucially hqm_quality FALSE today. AI-power/cooling story is real but the price is not turning. Drop from buy to watch. Need a higher-low + volume confirmation before re-engaging. Do not add.
  • KEEP TSM buy→buy Up 3% today but did NOT spike like the rest of SOX — that's the relative-strength signal. RSI 54.7 not extended, pos_52w 0.89, fc 0.83 (top of universe), hqm_quality true. Best fundamental + technical name in the watchlist. Keep buy, do not upgrade on a single green day.
  • KEEP NVDA accumulate→accumulate RSI 39.5 still beat down, vs_sma200 +8.4 = uptrend intact, hqm_quality true, abs+ts momentum still passes per carryover. Today +2.2% is muted vs the rest of SOX which is HEALTHY — it didn't need to gap. Keep accumulating on weakness, don't load on this bounce.
  • KEEP MU avoid→avoid +11.7% today vindicates yesterday's 'FOMO trap' avoid — this IS the FOMO. ret_12_1 +594%, RSI 64 after a -10% week reversal. Spike to chase, not a bottom to buy. Streak -3 (i.e. avoid was wrong on raw price 3 days) but the discipline is right: position-sizing into a +594% 12-1 name on a relief day is exactly what blows accounts up.
  • KEEP MRVL avoid→avoid +57.7% month, +6.5% week, RSI 65.6, spike_only-style profile, fwd PE ~43. Hot money rotation name, no margin of safety. Avoid.
  • KEEP ARM avoid→avoid Streak 6 hit 86% — the avoid thesis is compounding. Spike_only, multiple uninvestable. Continue.
  • KEEP SMCI avoid→avoid Streak 5 hit 100%. -37.6% week from carryover, no quality floor. Best call on the board, keep avoiding.
  • KEEP META avoid→avoid -4.1% week, RSI 37, pos_52w 0.16, abs_mom False. Cheap but no turn. Streak 4 hit 80%. Keep avoiding.
  • KEEP MSFT avoid→avoid -6.3% week, RSI 38.6, pos_52w 0.19. Enterprise AI share loss thesis holding.
  • KEEP HPE avoid→avoid +45.9% month, RSI 67.2, spike_only — payback continues to be the call. Streak 5 hit 71%.
  • KEEP NTAP avoid→avoid RSI 69.4, pos_52w 0.76, +35% month, spike_only. Same story: wait for pullback.
  • KEEP ESTC avoid→avoid +23.9% month, spike_only true, pos_52w 0.33, ret_12_1 -41.6%. Mean-reversion bounce off a busted name, not a turn.
  • KEEP PL avoid→avoid F=2, profit margin -111%. Streak 6 hit 100% on avoid. Continue.
  • KEEP ACMR avoid→avoid F=2 quality floor missing. Today's semi tide lifted it but the fundamentals haven't changed.
  • KEEP WOLF avoid→avoid -35% week, no F-score, profit margin -73%. Streak 4 hit 80%.
  • KEEP SMTC avoid→avoid +233% 12-1, +17% month, RSI 57. hqm_quality true but no price discipline; chasing the parabolic is what the carryover warned about.
  • KEEP CRCL avoid→avoid F=3 falling knife. Continue.
  • KEEP CRWV avoid→avoid abs_mom False, profit margin -26%. Streak 2 hit 100%.
  • KEEP AXTI avoid→avoid F=2, profit margin -15%, ret_12_1 +6235% mania residue. Continue.
  • KEEP APLD avoid→avoid F=4, profit margin -59%. Continue.

VS PRIOR DAYS

Yesterday's calls are still PENDING (3-session maturity not hit). Looking at the scorecard: matured buy/accumulate beat-rate 33% with high conviction at 17% — I have been over-claiming edge on bounces. Today's discipline: refused to add VRT despite RSI 38 (streak -6, the thesis is broken), refused to upgrade TSM despite being right (single green day), downgraded AVGO from buy to accumulate to match real track record. Avoid book is the actual edge so far (SMCI 100%, ARM 86%, META 80%, ACMR/WOLF 80%+).

MACRO & REGIME

RISK-ONrisk-on 4/5VIX 19.44 normal (14-20)10y-3m 0.84breadth 71.4% >200dT-bill 3.62%

Indices (1w)

SPY-2.57%
QQQ-3.17%
SMH-2.88%
IWM-0.54%

Rates / credit

3m T-bill3.62%
10y4.46%
10y-3m0.84%
HY-IG 1m-0.26%

International (1w)

DXY0.38%
EM-2.29%
China-1.59%
Japan-2.10%
Europe0.65%
Gold-6.08%
Oil-5.79%
Bitcoin0.08%

X / FINTWIT TRENDS

  • SOX bounce is the day's narrative; fintwit split between 'RSI5=17, bottom is in' vs 'SpaceX $150B drains tech liquidity, rotation risk'
  • SemiAnalysis / Dylan Patel keep pumping out concrete inference perf data (GB300 NVL72, MI355X, InferenceX) — capex thesis structurally intact
  • Tactical fintwit chasing MU / single-day rebounds; no genuine new edge, mostly noise
  • Geopolitical: Iran/Gulf flow risk surfacing again (oil infra), worth watching as a left-tail to the risk-on regime

FULL WATCHLIST · reference only, descriptive not a buy list

TKRNAME MOM-C?Momentum consistency gate: not bottom-quartile in ANY of 1w/1m/3m/6m (a consistent trend, not a single-window spike). NOT a fundamental-quality measure. Lightning = spike-only, do not chase. BLEND?Descriptive blend of technical + fundamental percentiles. NOT a buy signal and NOT the default sort - just a reference number. Click to sort if you want. PX 1D1W1M YTD?Year-to-date return: % change since Jan 1 this year. 1Y?1-year price trend (weekly sampled). Black line = up over the year, gray = down. Click to sort by 6-month return. RSI?Relative Strength Index (14d). Momentum oscillator 0-100. Above 70 = overbought, below 30 = oversold. 52W?Position in the 52-week range. 0.00 = at the yearly low, 1.00 = at the yearly high. VOL?Volume surge: last 5-day average volume divided by 90-day average. Above 1.0x = trading heavier than usual. P/S?Price-to-Sales ratio: market cap divided by trailing 12-month revenue. Lower = cheaper on sales. FPE?Forward P/E: price divided by next-12-month expected earnings per share. Lower = cheaper on forward earnings. TGT?Analyst target upside: mean analyst price target vs current price, in %. Negative = trading ABOVE the average target. 20/50/200?Price vs the 20, 50 and 200-day moving averages. Up arrow = price above that average (uptrend), down = below.
★ NVDA NVIDIA Corporation 204.87 2.2% -0.1% -9.2% 9% 39 0.67 1.0x 19.6 16.1 46%
★ TSM Taiwan Semiconductor Man 421.12 3.0% 1.4% 5.3% 32% 55 0.89 1.1x 0.5 21.6 11%
AAOI Applied Optoelectronics, · 172.78 -1.3% -2.4% -22.6% 336% 49 0.76 1.6x 27.3 36.2 -12%
AAPL Apple Inc. · 295.63 1.4% -3.8% -1.1% 9% 42 0.84 1.3x 9.6 30.8 6%
ACMR AVOID ACM Research, Inc. 91.70 14.7% 20.2% 41.6% 104% 63 0.98 1.0x 6.6 40.7 -7%
AEHR Aehr Test Systems 103.03 10.4% 4.7% -0.2% 365% 56 0.87 0.8x 71.6 686.9 -38%
AEIS Advanced Energy Industri 340.40 10.5% 15.5% 0.4% 53% 55 0.82 1.0x 7.1 28.9 16%
AFRM Affirm Holdings, Inc. 66.49 5.9% 4.5% 4.7% -10% 49 0.48 0.6x 5.6 17.6 25%
AGX Argan, Inc. · 620.81 5.4% -10.6% -13.8% 91% 45 0.78 1.3x 8.4 38.2 10%
ALMU Aeluma, Inc. · 24.84 11.4% 10.0% -21.1% 40% 53 0.68 0.8x 87.5 -100.7 15%
AMAT AVOID Applied Materials, Inc. 552.64 11.2% 22.0% 26.7% 106% 76 1.00 1.5x 15.1 34.0 -8%
AMD Advanced Micro Devices, 488.45 8.0% 4.7% 9.6% 119% 56 0.87 0.9x 21.3 37.3 -1%
AMKR ! Amkor Technology, Inc. 76.15 9.4% 17.2% 2.2% 78% 62 0.97 1.2x 2.7 31.1 -1%
AMZN Amazon.com, Inc. · 241.51 1.5% -1.8% -10.6% 7% 27 0.56 0.9x 3.5 24.5 29%
ANET Arista Networks, Inc. 156.38 3.0% 1.4% 11.2% 17% 56 0.77 0.8x 20.3 35.1 21%
APH ! Amphenol Corporation 152.50 2.2% 9.9% 22.4% 9% 73 0.82 1.0x 7.2 26.8 20%
APLD AVOID Applied Digital Corporat 41.47 6.6% 4.7% -8.8% 48% 38 0.80 1.1x 37.1 -43.0 71%
ARM AVOID Arm Holdings plc 342.23 11.3% -0.2% 54.7% 198% 57 0.77 1.2x 74.3 111.6 -26%
ASML AVOID ASML Holding N.V. - New 1899.48 9.5% 15.7% 20.1% 64% 72 1.00 1.6x 21.7 39.7 -10%
ASX ASE Technology Holding C 36.78 7.2% 8.1% 3.7% 118% 59 0.88 1.7x 0.1 23.2 5%
AVGO Broadcom Inc. 385.57 3.6% -0.0% -7.5% 11% 43 0.59 1.5x 24.3 19.9 35%
AXTI AVOID AXT Inc · 88.34 3.6% -0.8% -27.6% 427% 35 0.62 0.8x 60.3 117.5 9%
BE Bloom Energy Corporation · 248.82 6.2% -5.6% -14.1% 152% 32 0.79 1.1x 28.9 57.2 6%
CAMT Camtek Ltd. 184.15 10.5% 12.1% 9.0% 59% 61 0.83 0.8x 17.0 40.7 2%
CEG Constellation Energy Cor · 246.71 1.8% -3.2% -10.1% -32% 30 0.03 1.1x 2.9 18.1 49%
CIEN Ciena Corporation · 445.05 2.4% -8.8% -23.0% 81% 29 0.67 1.5x 11.3 46.3 27%
CIFR Cipher Digital Inc. 22.63 7.7% 0.8% 6.5% 40% 53 0.84 0.8x 44.1 33.8 41%
COHR Coherent Corp. · 363.74 2.5% -3.5% -9.9% 87% 47 0.82 0.9x 10.8 44.9 5%
CRCL AVOID Circle Internet Group, I · 82.67 4.7% 3.0% -34.7% -1% 25 0.15 0.8x 7.7 37.1 74%
CRWV AVOID CoreWeave, Inc. · 95.74 0.1% -4.6% -14.0% 21% 40 0.26 0.9x 8.4 -118.2 46%
CSCO Cisco Systems, Inc. 121.83 2.6% 0.2% 19.6% 61% 55 0.88 1.0x 7.9 25.5 4%
DKNG DraftKings Inc. 30.02 4.3% 20.4% 19.9% -16% 68 0.34 1.2x 2.4 17.5 16%
DLR Digital Realty Trust, In · 182.79 1.1% -2.1% -5.4% 19% 35 0.63 1.1x 10.4 63.8 20%
DOCS Doximity, Inc. · 20.01 -1.1% -2.8% -14.5% -54% 55 0.04 0.8x 5.7 12.5 26%
ENTG Entegris, Inc. 144.92 12.4% 15.6% -0.1% 62% 59 0.87 1.3x 6.8 31.3 11%
EQIX Equinix, Inc. · 1043.18 0.5% -3.5% -2.7% 38% 36 0.83 0.8x 10.8 54.3 15%
ESTC AVOID Elastic N.V. 60.18 -1.0% -2.6% 23.9% -17% 62 0.33 0.7x 3.6 15.6 21%
ETN Eaton Corporation, PLC · 393.69 4.9% -0.6% -3.3% 21% 55 0.68 1.0x 5.4 25.0 15%
FN Fabrinet · 582.23 0.3% -6.3% -16.4% 21% 33 0.67 1.1x 4.9 33.7 29%
FORM FormFactor, Inc. 130.24 12.5% 11.6% 0.7% 120% 51 0.81 0.9x 12.1 46.7 11%
FSLY Fastly, Inc. · 18.88 1.2% 4.5% 3.1% 85% 61 0.46 0.4x 4.5 47.9 28%
FTAI FTAI Aviation Ltd. · 241.34 6.9% 3.1% -9.6% 15% 47 0.66 0.7x 8.7 20.9 45%
GDS GDS Holdings Limited · 33.76 0.8% -0.7% -26.1% -12% 45 0.37 1.3x 0.6 209.7 59%
GEV GE Vernova Inc. · 906.26 4.5% -2.9% -14.7% 34% 29 0.64 1.4x 6.2 37.0 34%
GLW Corning Incorporated · 176.71 5.1% -0.5% -14.3% 96% 43 0.80 1.0x 9.3 42.2 12%
GOOG Alphabet Inc. · 356.56 0.9% -2.5% -10.6% 13% 32 0.82 1.0x 10.3 24.6 15%
HIMS ! Hims & Hers Health, Inc. 28.85 3.9% 10.2% 19.5% -14% 70 0.28 0.5x 2.8 32.4 -8%
HPE AVOID Hewlett Packard Enterpri 46.79 2.9% -4.9% 45.9% 95% 67 0.76 1.3x 1.6 11.7 34%
ICHR ! Ichor Holdings 84.04 16.4% 33.6% 13.1% 312% 68 1.00 1.1x 3.1 32.2 -9%
INTC Intel Corporation 116.96 9.3% 17.9% -2.8% 197% 49 0.89 1.3x 10.9 75.9 -21%
INTR Inter & Co. Inc. · 5.71 2.7% 0.7% -7.0% -32% 30 0.03 0.9x 0.4 5.5 68%
IOT Samsara Inc. 32.24 -1.2% -7.4% 17.2% -5% 56 0.38 1.2x 10.9 36.1 39%
KLAC ! KLA Corporation 2411.64 1029.2% 25.0% 30.5% 90% 56 1.00 6.5x 24.1 47.9 -22%
LASR nLIGHT, Inc. · 70.19 11.9% 6.6% -12.7% 83% 43 0.78 0.6x 13.7 103.9 23%
LITE Lumentum Holdings Inc. · 889.59 4.3% 3.0% -13.7% 130% 44 0.83 1.0x 27.8 49.1 25%
LPTH LightPath Technologies, 15.64 9.5% 4.8% 29.0% 33% 54 0.84 1.2x 15.6 120.3 2%
LRCX AVOID Lam Research Corporation 362.52 12.7% 19.5% 22.7% 96% 68 1.00 1.3x 20.9 45.5 -12%
META AVOID Meta Platforms, Inc. · 568.43 -0.4% -4.1% -7.8% -13% 37 0.16 1.3x 6.7 15.7 46%
MKSI ! MKS Inc. 345.32 9.3% 14.5% 8.9% 105% 61 1.00 0.8x 5.7 23.1 4%
MOD Modine Manufacturing Com 271.62 5.2% -1.8% -2.7% 93% 56 0.84 1.0x 4.5 23.9 25%
MPWR ! Monolithic Power Systems 1589.55 7.9% 7.3% -3.7% 70% 52 0.90 1.5x 26.4 52.7 13%
MRVL AVOID Marvell Technology, Inc. 280.71 11.1% 6.5% 57.7% 214% 66 0.86 2.6x 28.2 45.5 -17%
MSFT AVOID Microsoft Corporation · 390.34 -1.8% -6.3% -3.5% -17% 39 0.19 1.0x 9.1 20.2 44%
MTSI MACOM Technology Solutio 374.76 5.7% 8.5% -1.8% 114% 49 0.88 1.4x 26.6 54.8 6%
MU AVOID Micron Technology, Inc. 995.87 11.7% 15.3% 23.9% 216% 64 0.91 1.4x 19.3 8.9 -21%
NET Cloudflare, Inc. 227.60 3.6% -9.0% 18.2% 16% 55 0.60 0.9x 34.7 145.9 4%
NFLX Netflix, Inc. · 81.27 -0.9% -1.1% -7.2% -11% 15 0.09 0.8x 7.3 21.2 41%
NTAP AVOID NetApp, Inc. 160.47 -0.1% -3.9% 35.3% 51% 69 0.76 1.0x 4.5 16.3 7%
NTES ! NetEase, Inc. · 125.61 0.1% 5.1% 5.4% -14% 74 0.36 1.1x 0.7 11.8 29%
ON ON Semiconductor Corpora 115.96 5.3% -1.1% 0.2% 105% 54 0.80 1.4x 7.4 27.2 -9%
ONTO ! Onto Innovation Inc. 303.62 12.7% 19.9% 9.6% 83% 65 0.98 1.2x 14.7 31.4 16%
OPTX ! Syntec Optics Holdings, 14.11 10.2% 24.3% 109.3% 351% 62 1.00 0.8x 20.6 nan nan%
ORCL Oracle Corporation · 184.00 -8.6% -13.9% -3.0% -5% 48 0.25 1.3x 7.9 16.9 39%
P Everpure, Inc. · 69.30 4.2% -4.0% -17.9% 0% 42 0.38 1.0x 5.9 23.0 35%
PINS ! Pinterest, Inc. · 21.51 -1.2% 0.4% 11.2% -19% 70 0.26 1.1x 2.8 9.6 29%
PL AVOID Planet Labs PBC · 34.15 11.2% 6.0% -16.2% 67% 39 0.63 1.7x 36.3 10255.3 17%
SATS EchoStar Corporation 128.13 11.2% 10.2% -3.8% 14% 50 0.89 1.7x 2.5 -1123.9 7%
SMCI AVOID Super Micro Computer, In · 31.97 9.2% -23.2% -0.1% 3% 48 0.28 2.6x 0.6 10.0 18%
SMTC AVOID Semtech Corporation 163.57 6.0% 8.3% 17.1% 117% 57 0.96 1.2x 14.0 42.1 25%
SNAP Snap Inc. · 5.33 -0.8% -7.4% -4.9% -34% 40 0.22 0.7x 1.4 7.2 43%
SNDK ! Sandisk Corporation 1881.51 14.5% 20.7% 30.0% 584% 65 1.00 0.7x 21.1 10.3 -7%
SOLS Solstice Advanced Materi · 81.17 4.5% 0.2% -8.3% 65% 54 0.84 0.7x 3.2 25.8 12% ·
STNE StoneCo Ltd. 11.25 6.1% 8.2% 16.1% -7% 52 0.25 0.7x 0.2 4.6 55%
STX ! Seagate Technology Holdi 868.09 6.4% 2.4% 6.2% 202% 58 0.91 0.8x 17.7 32.4 0%
TER Teradyne, Inc. 381.40 9.7% 6.6% 5.0% 84% 56 0.89 1.1x 15.8 40.1 -2%
TSLA Tesla, Inc. · 399.15 4.6% 2.1% -10.4% -9% 44 0.54 0.9x 15.3 159.5 5%
TTWO Take-Two Interactive Sof · 212.08 0.8% -1.1% -6.6% -16% 24 0.31 0.9x 5.9 21.0 32%
U Unity Software Inc. · 26.71 0.2% -8.4% -0.7% -40% 54 0.30 0.7x 6.1 20.0 32%
UBER Uber Technologies, Inc. · 69.56 1.4% -1.6% -6.9% -16% 37 0.03 1.0x 2.6 15.9 50%
UCTT ! Ultra Clean Holdings, In 104.83 15.3% 27.7% 23.3% 284% 69 1.00 1.0x 2.3 26.6 2%
UPST Upstart Holdings, Inc. 31.79 4.9% 6.9% 17.8% -31% 59 0.13 0.8x 2.6 9.3 26%
VIAV Viavi Solutions Inc. 50.24 7.3% 5.6% -6.3% 177% 52 0.89 0.9x 9.1 39.2 28%
VICR Vicor Corporation 298.06 8.2% 10.0% -3.6% 155% 57 0.84 0.9x 31.8 53.7 16%
VRT AVOID Vertiv Holdings, LLC · 297.96 6.0% -0.8% -19.5% 70% 38 0.71 0.9x 10.6 33.7 26%
VST Vistra Corp. · 146.37 5.7% -1.6% 2.6% -11% 48 0.14 0.8x 2.5 13.4 54%
WDC Western Digital Corporat 529.29 8.0% 3.4% 7.2% 182% 58 0.88 0.8x 15.5 29.5 1%
WOLF AVOID Wolfspeed, Inc. · 45.53 4.9% -17.3% -27.3% 141% 33 0.52 1.5x 3.3 -9.1 -12% ·
XP XP Inc. · 15.65 4.8% 3.3% -8.3% -2% 30 0.09 1.2x 0.4 6.6 52%