Pattern Intelligence · SHZ

000670 quant read

The pattern is not clean enough for a strong directional call. The chart needs confirmation.

Next week 52.9%

Unclear · avg analogue +0.26%

Low conviction
Next 4 weeks 53.9%

Unclear · avg analogue +3.50%

Low conviction
Live chart evidence Chart evidence challenges the read

3 of the core evidence blocks are acting as headwinds.

Quant agreement Evidence not decisive

A decisive weekly close that pulls the 1-week and 4-week evidence into agreement.

Current weekly tape

Price, trend line, and fair value

Use this to anchor the probability read to the actual chart. A bearish analogue read is more serious when price is below trend or stretched above fair value.

Close
7.11
Trend Line
8.12
Fair value
6.86
Hover chart for weekly context.

Signal stack

What changed underneath price?

Each signal is standardized against its own recent history, so the lines show whether the current reading is unusually strong or weak for this stock.

Hover for standardized signal values.

Historical memory

Nearest 4-week analogue returns

Bars are the forward 4-week returns from the closest resolved examples, ordered by similarity. Red clustering is the warning sign.

Hover for analogue return and similarity rank.
Outcome frame

Range of outcomes from the nearest 4-week analogues

This is not a forecast range. It is the historical distribution of similar setups, translated into bear/base/bull context.

Bear case -7.84%

What weaker historical analogues tended to deliver.

Base analogue +0.68%

The middle outcome from the nearest resolved examples.

Bull case +9.67%

What stronger historical analogues tended to deliver.

Evidence stack

Why the model sees this setup

These are the current conditions feeding the analogue read. The point is not the number alone; it is whether the evidence agrees with the probability read.

Price vs Trend Line -12.49%

Price is below trend, which keeps pressure on the setup.

Price vs Fair Value +3.67%

Price is close to Fair Value.

Market Dynamics -0.00

Market Dynamics are neutral.

Relative Strength -0.21

The stock is lagging relative strength.

Market Activity -0.12

This component is a drag.

Price Cycle +0.04

This component is neutral.

Historical rhymes

Closest resolved setups

The table keeps the model honest: these are the actual examples behind the headline odds.

Ticker Week Similarity Outcome 4W return
002343
SHZ
2025-08-01 0.4284 higher +0.85%
1341
HKG
2025-04-25 0.3936 lower -7.61%
688383
SHH
2023-08-18 0.382 higher +2.50%
PFOCUS
NSI
2024-03-15 0.367 higher +8.00%
7997
JPX
2024-08-09 0.3667 higher +10.56%
300420
SHZ
2020-12-18 0.3645 lower -13.12%
001300
SHZ
2026-03-06 0.362 lower -6.30%
1072
HKG
2026-01-02 0.3613 lower -1.55%
VMS
ASX
2021-01-29 0.357 higher +25.00%
INDIACEM
NSI
2023-01-20 0.3551 lower -7.92%
117580
KSC
2026-04-24 0.3509 lower -12.18%
CLSK
MEX
2025-11-14 0.3496 higher +31.86%
Distinctive drivers

What made this setup unusual

These are the largest deviations from the run baseline, renamed into plain market language.

  • Sector structure -3.33193
  • Trend Signal -0.42302
  • Market Activity -0.21561
  • Relative Strength -0.19501
This is historical analogue evidence, not advice. It becomes more useful when probability, average return, chart evidence, and nearby examples all point in the same direction.