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U.S. equities are moving out of the late-summer chop, and our systematic models have started flagging new setups. Five of them cleared our scoring threshold. Every one scored above 7 out of 10, and one setup has rallied in each of its past occurrences without exception.
The five come from different parts of the market. Some are broad index exposures, and some are single stocks in sectors that have been in the headlines. One has historically produced a gain of more than 30% over the trade horizon. The holding periods run from two weeks to three months.
Each setup below includes the historical hit ratio, an exact price target, and a recommended position size per $100k portfolio. That gives you the full trade plan, not just a direction.
Would you take the trade below if the pattern holds one more time?

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