## Session overview The after-midnight tape showcased a broad risk-on rotation into mega-cap tech and aerospace, with Oracle leading gains on AI-cloud optimism and Boeing surging on a double upgrade and 737 Max certification. Energy and China-linked names
## Session overview The after-midnight tape showcased a broad risk-on rotation into mega-cap tech and aerospace, with Oracle leading gains on AI-cloud optimism and Boeing surging on a double upgrade and 737 Max certification. Energy and China-linked names lagged, as political pressure on Chevron and a lack of catalysts for XPEV and TAL left them on the defensive. ## Compared with previous session The prior session was dominated by Amazon's 15% earnings-fueled explosion and Apple's 7% sell-off, whereas the current after-midnight session shifted leadership to Oracle and Boeing on AI-cloud and aerospace catalysts. Notably, Boeing flipped from a 2.15% loser to an 8% gainer, while Alphabet and Meta extended their upward momentum from the previous night into the current session. ## Gainers - **O
Idea
## Session overview The after-midnight tape showcased a broad risk-on rotation into mega-cap tech and aerospace, with Oracle leading gains on AI-cloud optimism and Boeing surging on a double upgrade and 737 Max certification. Energy and China-linked names lagged, as political pressure on Chevron and a lack of catalysts for XPEV and TAL left them on the defensive. ## Compared with previous session The prior session was dominated by Amazon's 15% earnings-fueled explosion and Apple's 7% sell-off, whereas the current after-midnight session shifted leadership to Oracle and Boeing on AI-cloud and aerospace catalysts. Notably, Boeing flipped from a 2.15% loser to an 8% gainer, while Alphabet and Meta extended their upward momentum from the previous night into the current session. ## Gainers - **O
Advanced Analysis — institutional-depth research report
Verdict: Wait for MRK stochastic confirmation
The idea presents a technically disciplined risk-on basket, but none of the ten names currently have all four entry conditions aligned, making this a watchlist rather than an actionable trade. The strongest support is a robust 60-month backtest on the flagship BA pair showing a 73.8% cumulative return and a 57.6% win rate across 33 trades, though Boeing's underlying fundamentals — including negative $1.88B in free cash flow and a 4.79% gross margin at the 7th percentile of Industrials peers — remain genuinely concerning. The risk-parity construction achieves a 2.81 diversification ratio with near-zero pairwise correlations, but as the analysis notes, these relationships are derived from a calm-regime 730-day window and could converge toward 1.0 during a correlated sell-off. Merck (MRK) is the closest to triggering a valid entry with three of four conditions met, but its stochastic (14) at 9.9 and RSI (14) at 20.8 still require a significant momentum reversal to confirm the setup. No robust parameter setup was established by the sensitivity analysis, so this evaluation relies on the strategy's original thesis-consistent triggers rather than any optimized configuration.
**Conviction Breakdown**
- **Thesis support (55):** The fundamental narrative is mixed. Strong mega-cap profitability (Microsoft's 45.6% operating margin at the 98.7th percentile) supports the rotation thesis, but Oracle's negative $23.7B free cash flow and Boeing's weak balance sheet introduce substantial counter-arguments.
- **Trade readiness (20):** No instrument currently satisfies all entry conditions simultaneously. MRK is the nearest candidate but requires a 10-point stochastic recovery and a 19-point RSI bounce.
- **Risk quality (45):** The 2:1 reward-to-risk ratio is sound, but the exit-fill fidelity limitation — using daily rather than intrabar data — may overstate the reported 57.6% win rate, and the portfolio's expected max drawdown of 21.7% is substantial relative to its 14.4% annualized return.
- **Backtest evidence (60):** The completed 60-month backtest provides a meaningful sample of 33 trades with a respectable 73.8% return, though the 20.9% maximum drawdown confirms significant downside volatility during the evaluation window.
- **Fundamentals trend (50):** Earnings quality diverges sharply across the basket, from Alphabet's $73.3B in free cash flow (98.5th percentile) to XPeng's negative 3.6% operating margin, creating an inconsistent fundamental foundation for the risk-on rotation.
Conviction score breakdownComposite score computed by the server from the applicable evidence-tier dimensions.
Measure
Value
Thesis support
55/100
Trade readiness
20/100
Risk quality
45/100
Backtest evidence
60/100
Fundamentals trend
50/100
Score
46/100
Composite Score
46/100
Evidence Tier
backtested
Decision scenariosBull, base, and bear cases synthesized from the cited evidence tier. Likelihoods are rounded evidence-weighted judgments, not statistically calibrated forecasts.
Measure
Value
Evidence Tier
backtested
Trade now
**Action today: Wait.** None of the nine instruments in this strategy basket currently satisfy all four entry conditions simultaneously. The setup requires price at or below the 20-period EMA, a stochastic cross above 20, ADX above 20, and RSI above 40 — a combination designed to catch trend pullbacks rather than breakouts. Right now the market is in risk-on mode, with several names trading extended above their short-term moving averages.
Consider Boeing (BA), the strategy's flagship pair from the 60-month backtest (73.8% cumulative return, 57.6% win rate across 33 trades). BA last closed at $233.5 against an EMA (20) reading of $223.4 — roughly $10 above the entry threshold. Its stochastic sits at 97.1, far from any cross-above-20 trigger, and RSI is 80.8, deeply overbought. The exit condition (RSI above 75 after 45 bars held) is already flagged as met for every name in the basket, which means existing positions would be on signal-exit watch.
Merck (MRK) is the closest to forming a setup: price at $127.0 is already below its EMA (20) of $129.4, ADX is a strong 37.4, and RSI at 20.8 is oversold. However, the stochastic at 9.9 has not yet crossed back above 20, and RSI needs to recover above 40. MRK is the one to watch for a potential entry trigger in the coming sessions if momentum stabilizes.
For any position that does trigger, the hard stop is a 2.5% unrealized loss (matching the fixed-risk sizing of roughly 2.5% per position), and the take-profit target is 5.0% — an effective reward-to-risk of approximately 2:1. "Wait" means no new entries until all four conditions align on a single daily candle close; the basket approach means different names may trigger on different days, so monitor each independently.
BA price and trigger mapUses the idea timeframe and keeps price levels on the price axis.
Measure
Value
Ticker
BA
Timeframe
1h
CVX price and trigger mapUses the idea timeframe and keeps price levels on the price axis.
Measure
Value
Ticker
CVX
Timeframe
1h
GOOGL price and trigger mapUses the idea timeframe and keeps price levels on the price axis.
Measure
Value
Ticker
GOOGL
Timeframe
1h
Why the bull case still has support
The idea argues for a broad risk-on rotation into mega-cap tech and aerospace, and the fundamentals support that narrative for the marquee names. Boeing sits at $89.5B in revenue with a 78th-percentile revenue growth rank among Industrials peers, and the catalyst-driven surge is grounded in real news: per the CNBC reporting, a "trio…
XPEV RevenueRevenue trend from CommonQuant fundamentals/XBRL data; +790336.2% from first to latest point.
Measure
Value
2018-12-31
$9706000
2019-12-31
$2321219000
2020-12-31
$895681000
2021-12-31
$20988131000
2022-12-31
$26855119000
2023-12-31
$30676067000
2024-12-31
$40866309000
2025-12-31
$76719742000
Latest Value
$76719742000
Change Pct
$790336.2456212651
Ticker
XPEV
Timeframe
reported periods
TAL RevenueRevenue trend from CommonQuant fundamentals/XBRL data; +6388.5% from first to latest point.
Measure
Value
2010-02-28
$69288547
2011-02-28
$110588299
2012-02-29
$177519672
2013-02-28
$225931095
2014-02-28
$313895205
2015-02-28
$433969569
2016-02-29
$619948777
2017-02-28
$1043100000
2018-02-28
$1715016000
2019-02-28
$2562984000
2020-02-29
$3273308000
2021-02-28
$4495755000
Latest Value
$4495755000
Change Pct
$6388.453279298814
Ticker
TAL
Timeframe
reported periods
BA sector percentile checkRanks BA against 454 companies in its sector using CommonQuant fundamentals.