AI Stock Signals and Signal Conflicts

Track today's active technical evidence across direction, signal family, confidence, time horizon, and conflicts.

Updated 2026-07-25 · End-of-day market data · Signals methodology v1.0 · Coverage: 1,428 securities

What today's stock signals show

Stock signal evidence is bullish today. Of 6,906 active signals, 3,120 are bullish and 2,317 are bearish, giving bullish signals a 45.2% share versus 33.6% bearish. Trend signals are the largest family, while 309 stocks currently show conflicting technical evidence.

Active signals
6,906
Stocks covered
1,428
Bullish share
45.2%
Active conflicts
309
Bullish 45.2%Bearish 33.6%Neutral 21.3%

Bullish, bearish, and neutral counts reconcile to all active signals. Conflicts are a separate, cross-cutting status and remain included in these direction totals.

Change since prior snapshot

Compared with 2026-07-24

33 snapshots available for lifecycle tracking
Active signals
No change
Bullish signals
No change
Bearish signals
No change
New signals
0
New conflicts
0
Signals ended
0
Research context: An active signal is one whose triggering condition remains valid in the latest market-data snapshot. Signals identify meaningful market conditions; they are not personalized buy or sell recommendations.
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Neutral · BHP · Confidence 60+ · All horizons
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What changed in the latest snapshot

Signal-instance changes compared with 2026-07-24.

New signals

No signals entered.

Signals ended

No signals ended.

Largest confidence changes

No confidence scores changed.

New conflicts

No new conflicts.

Resolved conflicts

No conflicts resolved.

How stock signals are classified

AlgovestIQ groups each active condition by direction, family, and expected horizon. Direction describes whether the evidence is constructive, deteriorating, or neutral. Families separate momentum, trend, volume, volatility, and risk-regime evidence so that one common trigger does not stand in for the entire market. Horizons distinguish tactical conditions from longer-running structural trends.

The default feed is intentionally representative: it prioritizes variety across families, directions, conflicts, and newly observed conditions before showing the remaining results. Use the controls to narrow the complete snapshot by ticker, signal name, horizon, or minimum confidence.

What signal conflicts mean

A stock can carry bullish and bearish evidence at the same time. For example, an oversold momentum reading can coexist with a bearish trend crossover. AlgovestIQ marks that stock as conflicted instead of forcing the evidence into a single conclusion. The conflict count therefore overlaps with the direction totals; it is not a fourth direction.

Conflicts are useful uncertainty flags. They can identify transition periods, differences between short- and long-term evidence, or conditions that deserve more context before a decision.

How confidence is calculated

Confidence is a rounded signal-instance score based on the trigger's modeled impact and supporting condition. Multiple signals can share the same score because the display uses whole numbers and related triggers can carry the same evidence weight. Confidence measures the detected setup—not the probability of a guaranteed return. Consequence is used to prioritize potentially important evidence in the feed.

Reading technical values

Card values always retain their metric label and unit. SMA spread is the percentage difference between the 50-day and 200-day moving averages; a positive value means the 50-day average is above the 200-day average. Other signal families show the input most relevant to their rule, such as RSI or a volatility measure. Implausible or unlabeled values are omitted.

Active signal definitions

Definitions come from the same live signal templates used by the cards above.

52-Week High Proximity

Risk Regime

52-Week High Proximity

52-Week Low Proximity

Risk Regime

52-Week Low Proximity

ATR Contraction - Coiling

Volatility

ATR Contraction - Coiling

ATR Expansion - Breakout Mode

Volatility

ATR Expansion - Breakout Mode

BB Lower Band Breach

Volatility

BB Lower Band Breach

BB Upper Band Breach

Volatility

BB Upper Band Breach

Beta Spike Warning

Risk Regime

Beta Spike Warning

Bollinger Band Squeeze

Volatility

Bollinger Band Squeeze

Death Cross Active

Trend

50-day trend is below 200-day trend, confirming bearish structural pressure until trend recovers.

Downtrend Structure Active

Trend

Downtrend Structure Active

EMA Ribbon Compression

Trend

EMA Ribbon Compression

EMA Ribbon Expansion Bullish

Trend

EMA Ribbon Expansion Bullish

Golden Cross Active

Trend

50-day trend is above 200-day trend, confirming a structurally bullish regime while price remains trend-supported.

Keltner Channel Breakdown

Volatility

Keltner Channel Breakdown

Keltner Channel Breakout

Volatility

Keltner Channel Breakout

MACD Bearish Crossover

Momentum

MACD crossed below its signal line, signaling downside momentum is strengthening and upside conviction is fading.

MACD Bullish Crossover

Momentum

MACD crossed above its signal line, indicating upside momentum is building and trend pressure is improving.

RSI Overbought

Momentum

RSI is stretched above 70 at 70.3, signaling exhaustion risk unless momentum re-accelerates.

RSI Oversold

Momentum

RSI is below 30 at 29.8, creating a mean-reversion setup if price stabilizes.

Uptrend Structure Active

Trend

Uptrend Structure Active

Stock signal FAQ

What are stock signals?

Stock signals are research observations produced when price, momentum, volume, volatility, or risk conditions meet a defined rule. They describe the current evidence around a security; they are not personalized buy or sell recommendations.

How often are AlgovestIQ signals updated?

The signal universe refreshes once per market day from the latest completed end-of-day market-data snapshot. The date shown at the top identifies the exact run used on this page.

What is the difference between bullish, bearish, and neutral signals?

Bullish signals point to constructive evidence, bearish signals point to deteriorating evidence, and neutral signals describe meaningful conditions without a clear directional conclusion.

What is a stock signal conflict?

A conflict occurs when the same stock has active evidence pointing in opposing directions. Conflicts are a cross-cutting status, so they remain included in the bullish, bearish, and neutral totals.

Does a high-confidence signal guarantee a positive return?

No. Confidence summarizes the strength and reliability of the detected condition, not a guaranteed outcome. Market conditions can change and every signal should be considered with risk, horizon, and broader company context.

How are short-, medium-, and long-term signals different?

Short-term signals generally describe days to about two weeks, medium-term signals about two weeks to three months, and long-term signals conditions expected to matter for three months or more.

Methodology reference: AlgovestIQ signals hub.

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Informational only, not investment advice. Investing involves risk, including loss of principal.