5 min read

EverHint – EMA10 × Price × MACD – Top 10 Buy Signals for Mar 30, 2026

10 signals (from 14 total). Financial Services leads (7). 1 with insider selling. 1 with congressional selling. price range $12-$588. RSI 34-67. sectors: Financial Services (7), Healthcare (2), Consumer Defensive (1). 1 report earnings within 7 days. full analyst coverage, 21.4% have news.

What This Signal Is (Quick)

This is an experimental strategy that combines two bullish signals occurring on the same day:

  1. Price crosses above EMA10 from below

    • Yesterday: price_prev <= ema10_prev
    • Today: price > ema10
    • Indicates price breaking above short-term trend
  2. MACD Line crosses above Signal Line from below

    • Yesterday: macd_line_prev <= macd_signal_prev
    • Today: macd_line > macd_signal
    • Confirms bullish momentum shift

Double Confirmation: Both crossovers must happen simultaneously on the signal date, providing higher-quality setups with stronger conviction.

Key Characteristics:

  • Buy signals only - This strategy generates only bullish signals (no sell signals)
  • Fewer but higher quality - Dual confirmation means 5-20 signals per day vs. 20-40 for single-indicator strategies
  • Fast response - EMA10 catches early momentum shifts
  • Momentum context - MACD adds underlying momentum confirmation
  • Swing trading focus - Ideal for 1-4 week holding periods

Key Criteria:

  • Buy: Price > EMA10 AND MACD line crosses above signal line

  • Sell: Price < EMA10 AND MACD line crosses below signal line

  • Minimum ADV: $40M (liquidity filter)

  • Earnings buffer: 7 days pre/post earnings

  • Fresh signal: All conditions met on today's close

Holding Period: 1-3 weeks
Risk Level: Medium-High


How We Ranked Today

Ranked by RSI (lower RSI = more oversold for buy signals)


📈 Buy-Side Signals (Top 10 of 14 total)

Ranked by RSI (lower RSI = more oversold for buy signals):

Rank Ticker Company Sector Last ($) RSI14 Insider Net Days → Earnings Est EPS Mkt Cap ($B)
1 CIGI Colliers International... Real Estate 103.21 34.3 35 $8.37 5.1
2 HURN Huron Consulting Group... Industrials 126.07 34.8 28 $10.13 2.1
3 SIGI Selective Insurance Gr... Financial Services 75.35 40.1 22 $9.14 4.5
4 FDS FactSet Research Syste... Financial Services 204.55 41.2 $24.10 7.7
5 ORI Old Republic Internati... Financial Services 39.93 44.3 23 $3.50 9.8
6 EG Everest Re Group, Ltd. Financial Services 323.33 44.5 $70.82 13.1
7 SGML Sigma Lithium Corporation Basic Materials 11.92 44.8 0 $0.99 1.3
8 TXNM TXNM Energy, Inc. Utilities 58.64 46.5 38 $4.13 6.4
9 ACGL Arch Capital Group Ltd. Financial Services 95.62 47.5 28 $10.88 34.1
10 RDN Radian Group Inc. Financial Services 33.09 50.4 29 $5.46 4.5

📉 Sell-Side Signals (0 Total)

Ranked by RSI (lower RSI = more oversold for buy signals):

No signals found.

Field Notes

Sector concentration: Financial Services (7), Healthcare (2), Consumer Defensive (1)

Insider selling: UTHR (United Therapeutics Corporation, $-4.1M)

Near-term earnings: SGML (Sigma Lithium Corporation) report within 7 days. Higher volatility risk.

Data coverage: 7.1% insider, 7.1% congressional (1 recent/90d), 78.6% earnings, 100.0% analyst, 21.4% news


Peer Analysis

Understanding how these stocks relate to their industry peers:

FDS (FactSet Research Systems Inc.): Leads 9 peers: MORN ($164.67, +5.0%), SEIC ($77.21, +2.0%), JEF ($39.63, -0.5%), XP ($17.73, +0.2%), IVZ ($23.29, +0.4%) | Peer of: AIZ ($216.11, +1.3%), JEF ($39.63, -0.5%), MORN ($164.67, +5.0%) and 2 more

TXNM (TXNM Energy, Inc.): Leads 6 peers: PCG ($17.48, +1.8%), CMS ($77.21, +1.3%), ENIC ($3.82, -1.0%), SWX ($87.31, +0.7%), IDA ($142.12, +1.2%) | Peer of: CWEN ($38.92, -0.5%), CWEN-A ($38.87, -0.1%), IDA ($142.12, +1.2%) and 5 more

SGML (Sigma Lithium Corporation): Leads 9 peers: NEXA ($9.88, -1.6%), ABAT ($2.51, -5.6%), NB ($4.19, -7.5%), LAR ($6.63, +6.1%), CMP ($22.73, -1.4%) | Peer of: CMCL ($22.04, -1.0%), CMP ($22.73, -1.4%), CPAC ($9.53, -6.5%) and 11 more

EG (Everest Re Group, Ltd.): Leads 9 peers: RGA ($200.24, +0.7%), RNR ($295.59, +1.2%), BNT ($40.21, -1.0%), FNF ($45.70, +0.0%), ERIE ($247.99, +3.0%) | Peer of: BNT ($40.21, -1.0%), EQH ($35.65, +0.9%), ERIE ($247.99, +3.0%) and 3 more

RDN (Radian Group Inc.): Leads 10 peers: ACT ($40.79, +1.5%), AGO ($80.41, +1.4%), ESNT ($58.20, +0.8%), SIGI ($75.35, +0.9%), MTG ($26.09, +1.4%) | Peer of: ACT ($40.79, +1.5%), AGO ($80.41, +1.4%), ESNT ($58.20, +0.8%) and 6 more

CIGI (Colliers International Group Inc.): Leads 10 peers: FRPH ($22.28, +3.1%), MMI ($26.20, +1.9%), MLP ($15.24, -0.1%), JLL ($297.00, +1.4%), NMRK ($14.68, +2.7%) | Peer of: BEKE ($15.01, -2.0%), CSGP ($40.88, +2.8%), CWK ($11.91, +0.9%) and 1 more

ORI (Old Republic International Corporation): Leads 9 peers: XP ($17.73, +0.2%), WBS ($67.92, -0.2%), ACGL ($95.62, +2.4%), FHN ($22.05, -0.4%), AFG ($127.14, +1.1%) | Peer of: AFG ($127.14, +1.1%), AIZ ($216.11, +1.3%), BNT ($40.21, -1.0%) and 10 more

ACGL (Arch Capital Group Ltd.): Leads 9 peers: HIG ($134.44, +1.6%), SLF ($61.92, +0.9%), NWG ($14.31, +0.3%), BBDO ($3.19, -0.9%), WTW ($289.72, +2.7%) | Peer of: AFG ($127.14, +1.1%), AIG ($74.05, +1.5%), AXS ($100.70, +1.8%) and 15 more

SIGI (Selective Insurance Group, Inc.): Leads 9 peers: MCY ($87.83, +2.1%), LMND ($58.72, -3.3%), WTM ($2193.86, +1.9%), RDN ($33.09, +1.5%), RLI ($57.33, +1.8%) | Peer of: BETR ($33.39, +8.9%), HGTY ($10.48, +0.9%), LMND ($58.72, -3.3%) and 10 more

HURN (Huron Consulting Group Inc.): Leads 9 peers: TNET ($37.74, -0.7%), CBZ ($27.01, +3.4%), UNF ($249.33, +0.3%), ABM ($37.88, +1.0%), MGRC ($109.76, -0.2%) | Peer of: ABM ($37.88, +1.0%), BBU ($31.46, -2.1%), CBZ ($27.01, +3.4%) and 6 more


Congressional Activity

PFE (Pfizer Inc.) 🔴 Bearish (90d)

  • 1 sale by 1 member
  • Pattern: Bipartisan agreement, 1 full liquidation
  • Top seller: Hou. James French Hill (AR) - 1 transaction ($100,001 - $250,000)

Recent Headlines

ACGL (Arch Capital Group Ltd.)

  • Arch Capital Group (ACGL) Increases Despite Market Slip: Here's What You Need to Know (source)
  • Arch Capital Trades Above 200-Day SMA: Time to Hold the Stock? (source)
  • Arch Capital Group (ACGL) Beats Stock Market Upswing: What Investors Need to Know (source)

EG (Everest Re Group, Ltd.)

  • Everest Group, Ltd. $EG Shares Sold by Pallas Capital Advisors LLC (source)
  • Comparing Everest Group (NYSE:EG) & Allianz (OTCMKTS:ALIZY) (source)
  • Critical Contrast: Everest Group (NYSE:EG) & Aegon (NYSE:AEG) (source)
  • Cogility Named in Everest Group Innovation Watch for AI-Powered Decision Intelligence (source)
  • Everest Appoints Jason Busti as Head of North America Treaty Reinsurance (source)
  • AM Best Comments on Credit Ratings of The Wawanesa Mutual Insurance Company Following Announced Acquisition of Everest Insurance Company of Canada (source)
  • Everest Group to Hold First Quarter 2026 Earnings Conference Call on Thursday, April 30, 2026 (source)
  • Wawanesa to acquire Everest Insurance Company of Canada (source)
  • Everest Announces Agreement to Sell Canadian Retail Insurance Operations to The Wawanesa Mutual Insurance Company (source)
  • FPT Recognized in Everest Group Application Development Services for AI Applications PEAK Matrix® Assessment 2025 (source)

Market Context

The VIX at 30.37, despite a 2.19% decline, signals persistently elevated volatility, fostering pronounced intraday swings that can enhance the responsiveness of EMA10 price MACD strategies. These momentum-based signals, reliant on short-term crossovers and exponential moving average alignments, may generate more frequent triggers in such conditions, but traders should brace for potential false signals amid choppy price action.

Mixed index performance—S&P 500 down 0.39%, Nasdaq weaker at -0.73%, and Dow up 0.11%—reflects a cautious risk appetite with downward pressure on growth-sensitive areas. This environment challenges sustained uptrends, tempering bullish MACD divergences unless supported by volume, while favoring defensive rotations that align with the strategy's sensitivity to early trend shifts.

Financial Services emerging as the top sector amid 14 total signals underscores rotation implications, as Dow resilience hints at cyclical strength. Elevated volatility paired with this sectoral tilt could validate EMA10/MACD buy signals in outperforming groups, offering opportunities in a broader risk-off backdrop, though overall downside in major indices warrants tight risk management.


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