Medium-Term Stock Signals Today
This page tracks medium-term stock signals active today — triggers whose conditions have historically resolved over several weeks to a few months, across every signal family. This is the window where momentum persistence is best documented, which makes these signals more useful for position-level decisions than short-horizon triggers.
Medium-Term Signals are tilted bullish today.
Bullish triggers make up 100% of directional signals here, a net +556 in favour of the bullish side.
Bullish vs bearish balance
- Bullish signals
- 556
- Bearish signals
- 0
- Bullish share
- 100%
- Net direction
- +556
A further 51 signals in this view carry no directional reading and are excluded from the split above.
How today compares
Today's snapshot is the first captured for this view, so there is no prior session to compare against yet. Session-over-session and week-over-week comparisons appear here from the next market day onward.
Top medium-term signals
Ranked by how many triggers are firing on each stock, then by confidence — both shown as columns below. Showing the top 20 of 584 stocks in this view.
| Stock | Sector | Strongest signal | Direction | Families | Signals | Confidence | Days active |
|---|---|---|---|---|---|---|---|
| ASML ASML Holding N.V. | Europe | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| AZO AutoZone, Inc. | Retail — Specialty & Discount | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| BEN Franklin Resources, Inc. | Asset Management / Exchanges | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| BTI British American Tobacco p.l.c. | Consumer Staples | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| ETN Eaton Corporation plc | Industrial Machinery & Equipment | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| HUN Huntsman Corporation | Chemicals | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| LNT Alliant Energy Corporation | Utilities | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| LYB LyondellBasell Industries N.V. | Chemicals | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| VRSN VeriSign, Inc. | IT Services & Consulting | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| HEWJ iShares Currency Hedged MSCI Japan ETF ETF | International | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| ITOT iShares Core S&P Total U.S. Stock Market ETF ETF | Broad Market / Index | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| IWB iShares Russell 1000 ETF ETF | Broad Market / Index | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| MINT PIMCO Enhanced Short Maturity Active Exchange-Traded Fund ETF | Fixed Income — Credit & Aggregate | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| SCHB Schwab U.S. Broad Market ETF ETF | Broad Market / Index | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| SCHG Schwab U.S. Large-Cap Growth ETF ETF | Factor / Style / Smart Beta | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| SCHV Schwab U.S. Large-Cap Value ETF ETF | Factor / Style / Smart Beta | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| SCHX Schwab U.S. Large-Cap ETF ETF | Broad Market / Index | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| SGOV iShares 0-3 Month Treasury Bond ETF ETF | Fixed Income — Government | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| TBIL F/m US Treasury 3 Month Bill Fund ETF | Fixed Income — Government | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
| USFR WisdomTree Floating Rate Treasury Fund ETF | Fixed Income — Government | EMA Ribbon Compression | bullish | Trend | 2 | 68 Moderate | — |
Signal rankings are quantitative research outputs, not personalized recommendations. Values shown describe the current state of each trigger — an SMA spread is the gap between two moving averages, an RSI reading is the current oscillator level. They are not expected or historical returns. Past signal behaviour does not guarantee future performance.
How this view breaks down
- Broad Market / Index4
- Fixed Income — Government3
- Chemicals2
- Factor / Style / Smart Beta2
- Europe1
- Retail — Specialty & Discount1
Across the 20 stocks listed above.
Reading today's data
607 signals are active across 584 stocks, about 9% of every signal firing in this run.
ASML (ASML Holding N.V.) tops the table with 2 triggers firing, led by EMA Ribbon Compression.
How medium-term signals work
Medium-horizon signals typically resolve over several weeks to a few months, which is the window where momentum persistence is best documented.
These triggers fire less often than short-horizon ones and tend to survive single-session noise, making them more useful for position-level decisions.
Every family appears here — the page is filtered by horizon, not by signal type.
How confidence is scored. Confidence combines the trigger's impact rating with a per-trigger adjustment reflecting how decisively its condition was met, producing a score on a 55–95 scale. Readings of 80 and above are treated as high, 65–79 as moderate, and below 65 as low. Confidence describes how cleanly a signal fired — it is not a probability of a positive return. Signals of the same type and strength legitimately land on the same value, which is why this page ranks first on how many triggers are firing per stock.
Limitations. Signals are computed from end-of-day data and describe conditions that are true as of the snapshot date shown above. They are probabilistic research analytics, not personalized investment advice, and no forward return is implied by any value on this page. See the AIQ Score methodology for how these triggers relate to the composite score.
Medium-Term Signals — frequently asked questions
What is a medium-term stock signal?
A trigger whose condition has historically resolved over roughly two weeks to three months — the horizon where documented momentum and trend persistence is strongest.
Why is the medium-term horizon considered the most useful?
It is long enough to survive single-session noise but short enough to reflect current conditions rather than stale ones. Academic work on momentum persistence generally centres on the three-to-twelve-month window, which overlaps this horizon.
How many stocks usually appear here?
Fewer than on the short-term page, because these triggers fire less often by construction. A sharp change in the count is therefore more meaningful — the comparison block shows today's count against the prior session.
Is a medium-term signal a buy recommendation?
No. It indicates a condition is currently true over that horizon. It carries no forecast, and should be weighed against valuation, quality, and your own time horizon.
How often are medium-term signals refreshed?
Once per market day, from the latest completed signal run, with entrants and exits diffed against the prior session.