Equity · completed-week adaptive desk

3363 Technicals

FOCI Fiber Optic Communications, Inc.

Price-technical state Aligned downward Price structure only · 260 completed observations · through 2026-08-14
Price structureAligned downwardcompleted-week alignment
Momentum48.2Negative
Risk pressure20.2%Elevated
Trend quality32.0Directional

Technicals / Market Dynamics agreement

Countertrend conflict

Improving Market Dynamics is challenging the downward price structure

Market Dynamics improved this week but remains below zero. Underlying support has strengthened across the recent completed path. Price structure remains downward.

Current take

This is an early challenge rather than a confirmed reversal. Price must respond to the improvement before the downward technical state can be considered resolved.

Market Dynamics

Price, Market Dynamics and positioning zones

Price is between the outer positioning zones. The Market Dynamics bars show whether underlying support is strengthening or weakening.

Latest -0.94
Negative but repairing over four weeks
Current tape relationshipUnderlying pressure is repairing

Market Dynamics improved this week but remains below zero.

Price locationBetween zones

Price is travelling between the two major positioning zones.

Latest positioning marker27 Jun 2025

The green dot marks a confirmed recovery where institutional positioning is most plausible.

Market Dynamics confirmationRepairing

Underlying support has strengthened across the recent completed path.

Weekly close Supportive Market Dynamics Cautious Market Dynamics Accumulation zone Distribution zone Positioning recovery Distribution rollover Price / pressure gap

This ticker's completed record

How price has behaved around Market Dynamics

Distinct zone visits are measured once, then followed through completed weekly closes. Open episodes are kept separate from completed outcomes.

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Current practical readCountertrend conflict

Market Dynamics is repairing against a downward price structure

The downside structure remains in place, but improving Market Dynamics weakens that case. A positive price response is needed to confirm the repair.

Where it is now
Stronger this weekMarket Dynamics improved this week but remains below zero.
Four-week context
Strengthened over four weeksUnderlying support has strengthened across the recent completed path.
Price response
Price remains in a downward structureImproving Market Dynamics has not yet produced a positive price response.
Historical context
Record building
What confirms itThis is an early challenge rather than a confirmed reversal. Price must respond to the improvement before the downward technical state can be considered resolved.What resolves itReassess the reading when either price structure or the Market Dynamics state changes materially.
Price relationship Meaningful relationship
Same-week correlation
0.44
Direction agreed
51.6%
Completed comparisons
252
After accumulation4 distinct visits
4 weeks75.0% higher4 outcomes 12 weeks100.0% higher4 outcomes 26 weeks100.0% higher4 outcomes

Average time before leaving the zone: 13.8 weeks.

After distribution2 distinct visits
4 weeks50.0% lower2 outcomes 12 weeks100.0% lower2 outcomes 26 weeksRecord building0 outcomes

Average time before leaving the zone: 3.5 weeks.

Broad direction and divergence

What followed from the broader directional relationship

These cases compare broad price direction with the Market Dynamics level. The current read above also tests whether Market Dynamics strength is keeping pace with price.

Price higher · Market Dynamics positive 73.7% were higher

Average 12-week move: 22.7% from 19 completed cases.

Price lower · Market Dynamics negative 42.9% were lower

Average 12-week move: 15.0% from 14 completed cases.

Price higher · Market Dynamics cautious Average pullback 6.6%

28.6% were lower after 12 weeks. The deepest pullback arrived after 5.8 weeks on average.

Price cautious · Market Dynamics positive Average recovery 34.7%

61.1% were higher after 12 weeks. The strongest recovery arrived after 7.2 weeks on average.

Practical application

Strategy observations from this ticker's own record

The current reading identifies the setup. The observations below show how this ticker's completed history can guide positioning, confirmation and risk control without treating any one reading as a forecast.

Zone positioning
Use accumulation to prepare the long case, then wait for confirmation

After accumulation, 100.0% of completed 12-week outcomes were higher across 4 cases. Distinct visits lasted 13.8 weeks on average before leaving the zone.

ApproachBuild the thesis and entry conditions while price is in accumulation. Increase exposure only when price responds; location alone is not the entry.

Review the case whenA failed price response or renewed weakness removes the reason to increase long exposure.

Disagreement playbook
Use improving Market Dynamics to prepare, not anticipate

Comparable disagreements produced an average recovery of 34.7% across 18 completed cases, with the largest move arriving after 7.2 weeks on average.

ApproachDefine the price level that would confirm the repair. Until that response occurs, keep the idea at watchlist or starter-position size.

Review the case whenThe early repair fails if Market Dynamics fades before price responds.

Historical outcomes describe this ticker's completed record. They do not make the next move certain and are not trading instructions.

Adaptive evidence set

The charts that matter to this tape now

This is not a fixed indicator wall. The price anchor is retained for context; the remaining panels are selected dynamically according to the conditions visible in this ticker.

104 observations displayed
6 views selected
Price structureAligned downwardcompleted-week alignment
Momentum48.2Negative
Risk pressure20.2%Elevated
Trend quality32.0Directional
Range position25%location inside observed range
Adaptive set6 viewsselected for the current tape

Price architecture

Trend, acceptance and volatility envelope

Price is shown against fast and slow trend references with its current volatility envelope.

Why this view is active

Selected as the anchor because price and its trend references are aligned downward.

Relative leadership

Strength versus the research benchmark

Relative performance is separated from absolute price direction to reveal leadership and lagging pressure.

Why this view is active

Selected because benchmark-relative leadership is strengthening, fading or diverging from price.

Price impulse

Acceleration, deceleration and rollover

The impulse path separates directional acceleration from a loss of momentum.

Why this view is active

Selected because the latest impulse is unusually active or is approaching a change of direction.

Path risk

Drawdown and recovery pressure

Capital impairment and recovery are shown together so return is not separated from path difficulty.

Why this view is active

Selected because the current recovery or drawdown path is central to the tape.

Trend quality

Directional strength and control

Directional pressure shows which side controls the tape while strength remains direction-neutral.

Why this view is active

Selected because directional control or trend strength is materially changing.

Risk geometry

Range pressure and compression

Movement pressure and envelope width show whether risk is expanding, settling or compressed.

Why this view is active

Selected because current variability is unusually compressed or expanded versus this ticker's own tape.

Sharemaestro tape intelligence

What the gauges support now

One assessment resolves price structure and Market Dynamics. The supporting views show the control, force, direction and confidence behind it.

100/100 evidence depth
observed participation included
Joint downward confirmation The gauges support the downward market view

Price structure and Market Dynamics agree. Control, force and direction support the same downward assessment.

SM Consensus Gauge-10.2

Joint downward confirmation

SM Control Gauge-20.1

Seller control supports the view

SM Force Gauge-3.5

Commitment is limited

SM Direction Gauge-3.8

Follow-through is limited

SM Confirmation Gauge34/100

Limited support

SM consensus path · Market Dynamics display window

SM Consensus Gauge against price

The bars show the direction and strength of the resolved assessment. Completed price is retained as context.

Latest -10.2
Joint downward confirmation
Supportive consensus Cautious consensus Weekly close Neutral

Control

SM Control Gauge

Shows whether buyer or seller control supports the current assessment and whether that support is strengthening or easing.

Current controlSeller control supports the viewRecent pathControl support is easingLatest 12 months
Buyer controlSeller controlBalanced

Commitment

SM Force Gauge

Shows the strength of market commitment behind the current assessment.

Current forceCommitment is limitedRecent pathCommitment is easingLatest 12 months
Positive forceNegative forceActivity intensity

Direction and follow-through

SM Direction Gauge

Shows the directional follow-through behind the current assessment and whether it is established or still developing.

Current directionFollow-through is limitedFollow-throughDevelopingLatest 12 months
Advancing directionDeclining directionFollow-through

Assessment strength

SM Confirmation Gauge

Shows how firmly the current assessment is supported. Greater assessment risk reduces the weight of the conclusion.

ConfirmationLimited supportAssessment riskPresentLatest 12 months
SM Confirmation GaugeAssessment risk
Interpretation boundary

These charts describe completed market observations and can lag or reverse. The SM gauges provide one confirmation layer; differences in the underlying evidence reduce confirmation rather than create another competing view. Market Dynamics is proprietary Sharemaestro output: this page presents only its published values and plain-language context. Its construction and inputs remain private.

Evidence context