UPDATED DAILY — LIVE SIGNAL DATA

Stocks to Watch This Week —
July 20, 2026

Top BUY and SELL signals generated by our 18-factor quantitative model, filtered to the S&P 500 and NASDAQ 100. Updated every trading morning from live pipeline data.

Daily
Refreshed
0
Emotion
18
Signal Factors
567+
Equities Scored Daily

Last updated: July 13, 2026 — Get the free delayed report →


Algorithmic Signal — BUY

Top Stocks to Watch This Week

Highest EP Score setups in the S&P 500 and NASDAQ 100 as of July 13, 2026. EP Score reflects composite conviction across technical, momentum, and macro factors. Full signals with price targets and stop levels available to subscribers.

Note: In the current market environment, our model is generating predominantly SELL-side signals. The picks below are the highest-scoring setups from the BUY universe. All picks are for informational purposes only — see full disclaimer below.
#1 MTB
MTB
BUY A
67
EP SCORE
$242.34
CURRENT PRICE
75%
CONVICTION
KEY FACTOR TTM Squeeze

MTB (MTB) is on our watchlist at $242.34 — a TTM Squeeze breakout is setting up with an EP Score of 67 (Moderate conviction).

#2 DLR
DLR
WATCH C
60
EP SCORE
$180.41
CURRENT PRICE
56%
CONVICTION
KEY FACTOR SELL Env Gate

DLR (DLR) is on our watchlist at $180.41 — the SELL Env Gate indicator is constructive with an EP Score of 60 (Moderate conviction).

#3 BKR
BKR
WATCH D
47
EP SCORE
$57.56
CURRENT PRICE
56%
CONVICTION
KEY FACTOR SELL Env Gate

BKR (BKR) is on our watchlist at $57.56 — the SELL Env Gate indicator is constructive with an EP Score of 47 (Developing conviction).

#4 TJX
TJX
WATCH B
41
EP SCORE
$151.34
CURRENT PRICE
57%
CONVICTION
KEY FACTOR SELL Env Gate

TJX (TJX) is on our watchlist at $151.34 — the SELL Env Gate indicator is constructive with an EP Score of 41 (Developing conviction).

#5 SBAC
SBAC
WATCH A+
38
EP SCORE
$190.03
CURRENT PRICE
50%
CONVICTION
KEY FACTOR SELL Env Gate

SBAC (SBAC) is on our watchlist at $190.03 — the SELL Env Gate indicator is constructive with an EP Score of 38 (Developing conviction).


Algorithmic Signal — AVOID

Stocks to Avoid This Week

Highest-conviction SELL signals (A and A+ quality tier) from the S&P 500 universe. These are not short-selling recommendations — they signal underperformance risk and potential downside versus the broader index.

PFE
PFE
AVOID A
67%
CONVICTION
$24.17
CURRENT PRICE
$22.21
MODEL TARGET
1.4:1
REWARD/RISK
KEY FACTOR Macro Total

PFE (PFE) is flagged at $24.17 because the Macro Total signal confirms bearish momentum; our model targets $22.21 with a 1.4:1 reward-to-risk ratio.

ROL
ROL
AVOID A+
57%
CONVICTION
$44.47
CURRENT PRICE
$39.97
MODEL TARGET
1.4:1
REWARD/RISK
KEY FACTOR TTM Squeeze

ROL (ROL) is flagged at $44.47 because momentum is contracting inside a Bollinger/Keltner squeeze; our model targets $39.97 with a 1.4:1 reward-to-risk ratio.

CMCSA
CMCSA
AVOID A
52%
CONVICTION
$23.57
CURRENT PRICE
$20.87
MODEL TARGET
1.4:1
REWARD/RISK
KEY FACTOR Macro Total

CMCSA (CMCSA) is flagged at $23.57 because the Macro Total signal confirms bearish momentum; our model targets $20.87 with a 1.4:1 reward-to-risk ratio.


Macro Context

Market Conditions This Week

Key macro inputs driving our signal model as of July 13, 2026. These variables feed directly into the macro overlay module that adjusts every signal's conviction score.

VIX (Volatility Index)
15.0
Low (complacent)
10-Year Treasury Yield
4.54%
Restrictive for equities
2Y / 10Y Spread
+0.35%
Curve is uninverted — normalization in progress
Fed Funds Rate
3.63%
Policy approaching neutral
HY Credit Spread (OAS)
2.70%
Credit markets relatively calm
McClellan Oscillator
0
INSUFFICIENT_DATA
Sector Leaders (Outperforming)
Industrials Healthcare Financials Utilities
Sector Laggards (Underperforming)
Consumer Staples Real Estate Energy Technology

The current momentum regime is TRANSITIONING (ADX: 21.1), indicating moderate trend strength — mixed signals are more likely in this environment. Recession probability (FRED model): 54%.


Methodology

How We Pick These Stocks

Every signal on this page comes from the same quantitative model that powers our paid subscriber dashboard. No opinions, no guesses — 100+ factors computed across 567+ equities every day (S&P 500 + NASDAQ 100).

Momentum & Trend

TTM Squeeze, MACD, moving average crosses, DeMark exhaustion counts, and Aroon indicators identify directional momentum and exhaustion turning points.

Relative Strength

Mansfield RS, IBD-style RS Rating, cross-sectional momentum percentile, and sector rotation phase tell us whether a stock is leading or lagging the market.

Volume & Institutional Flow

On-Balance Volume, Chaikin Money Flow, VPIN, Cumulative Volume Delta, and Volume Profile measure whether institutional money is accumulating or distributing.

Structure & Quality

Wyckoff phase analysis, Weinstein stage analysis, Minervini Trend Template, and VCP pattern detection filter for high-quality setups with defined risk.

🌐

Macro Overlay

Yield curve shape, credit spreads, Fed balance sheet, VIX regime, global net liquidity, and sector rotation automatically adjust each signal's conviction score.

📈

EP Score

All 18 factors converge into a single EP Score (0-100) with a quality tier (A+ to C). Higher EP Scores with A+ quality have historically achieved our best win rates.

Want to see the full model in action? Get our free delayed signal report → It includes real signals, real outcomes, and the full track record — no credit card required.


Upgrade to full access

See Every Signal, Not Just This Week's Picks

Subscribers get real-time signals across 500+ S&P 500 and NASDAQ 100 equities, with price targets, stop levels, and expected hold times — every day the market is open.

Start Free — No Card Required Standard — $49/mo Annual — $33/mo ($399/yr)

Cancel anytime. 7-day money-back guarantee.

This content was generated with AI assistance and reviewed by a human editor. For informational and educational purposes only — not financial advice. Verify AI output before acting. Do your own research (DYOR).