Signal — EMA10 × SMA50 Crossover (Experimental) - November 6, 2025
November 6, 2025
What this signal is (quick)
We’re testing a fast momentum crossover: the 10-day Exponential MA (EMA10) moving above/below the 50-day Simple MA (SMA50).
- EMA10 > SMA50 → “Buy”: short-term trend overtakes the medium trend (early bullish inflection).
- EMA10 < SMA50 → “Sell”: short-term trend rolls under (early weakness flag).
EMA reacts faster than SMA, so it can catch turns earlier but is also more whipsaw-prone. Today’s list uses end-of-day data for Nov 6, 2025 and this scanner is experimental.
How we ranked today (reader version)
- Trend posture: fresh daily EMA10/SMA50 cross confirmed vs. yesterday.
- Overlays (your CSVs): insider net (open-market buys − sells), days-to-earnings, 30-day analyst-update cadence.
- Headlines: most recent items per name to validate or stress-test the tape (news does not alter values).
Research only; not investment advice. No gaps filled — we surface only what exists in your files.
Buy-Side Signals — EMA10 > SMA50 (up-cross)
| Ticker | Sector | Last | RSI (14) | EMA10 | SMA50 | Insider Net (USD) | Days→Earnings | Analyst Updates (30d) |
|---|---|---|---|---|---|---|---|---|
| BMY | Healthcare | 46.63 | 68.9 | 45.37 | 45.26 | |||
| AFL | Financial Services | 113.7 | 72.5 | 109.25 | 108.85 | -102570.0 | 89.0 | |
| HLN | Healthcare | 9.41 | 47.0 | 9.29 | 9.29 | |||
| CINF | Financial Services | 161.38 | 67.7 | 156.99 | 156.39 | |||
| TPL | Energy | 1011.13 | 67.8 | 940.67 | 928.34 | 194794.0 |
Field notes (overlays from your files)
- Insider Net (USD) = open-market purchases − sales (awards/exemptions neutral).
- Days→Earnings = nearest upcoming report from your calendar.
- Blanks mean that column wasn’t present/resolved for that symbol in your overlays.
Sell-Side Signals — EMA10 < SMA50 (down-cross)
| Ticker | Sector | Last | RSI (14) | EMA10 | SMA50 | Insider Net (USD) | Days→Earnings | Analyst Updates (30d) |
|---|---|---|---|---|---|---|---|---|
| WMT | Consumer Defensive | 101.68 | 21.2 | 102.65 | 102.91 | -116692796.0 | 14.0 | |
| LMT | Industrials | 468.92 | 30.0 | 482.99 | 484.04 | -2310630.0 | 82.0 | |
| AEM | Basic Materials | 159.29 | 35.4 | 160.68 | 160.94 | |||
| WDAY | Technology | 224.5 | 40.4 | 233.85 | 234.9 | -601383.0 | 19.0 | |
| TEAM | Technology | 156.13 | 53.2 | 162.81 | 163.61 | -14936574.0 | 84.0 | |
| KDP | Consumer Defensive | 26.36 | 39.2 | 27.0 | 27.06 | 0.0 | ||
| HUM | Healthcare | 251.11 | 36.3 | 275.36 | 278.94 | 0.0 | ||
| SMCI | Technology | 40.34 | 30.4 | 47.6 | 48.37 | -12256.0 | ||
| COF | Financial Services | 220.33 | 42.2 | 223.3 | 223.93 | |||
| GRAB | Technology | 5.63 | 49.7 | 5.83 | 5.85 | 4.0 | ||
| SATS | Technology | 70.65 | 44.2 | 73.22 | 73.32 | -10422374.0 | 0.0 | |
| FTAI | Industrials | 162.24 | 47.6 | 169.21 | 169.77 | |||
| DT | Technology | 46.06 | 42.3 | 48.71 | 49.06 | -2953.0 | 83.0 | |
| ENTG | Technology | 85.7 | 43.0 | 89.39 | 90.11 | |||
| JOBY | Industrials | 14.32 | 44.1 | 15.68 | 15.71 | -15445561.0 |
Recent headlines to watch (supports or challenges the tape)
Buy-side names
- BMY — Bristol-Myers Squibb: Q3 beat driven by Opdivo/Eliquis; company raised FY outlook. (Reuters)
- HLN — Haleon: Q3 trading statement shows +3.4% organic growth; U.S. consumption a watch item per analyst notes. (Haleon Corporate)
- CINF — Cincinnati Financial: Fresh note highlights new institutional buy; other coverage recaps Q3 strength. (MarketBeat)
- TPL — Texas Pacific Land: Last substantive IR updates were earlier in 2025 (dual-listing & prior earnings). (Included for basic context; we are not inferring anything beyond the CSV signal.) (Texas Pacific Land Corporation)
Sell-side names
- WMT — Walmart: Options desks flag elevated IV into Nov 20 earnings. (Barchart.com)
- COF — Capital One: CEO Richard Fairbank disclosed ~$22.8M in stock sales under a 10b5-1 plan. (Investing.com)
- LMT — Lockheed Martin: Announced new AI operating system STAR.OS integration initiative. (Media - Lockheed Martin)
- HUM — Humana: Stock underperformed today within managed-care group. (MarketWatch)
- SMCI — Super Micro Computer: Shares sliding this week after a disappointing print and margin concerns. (Yahoo Finance)
- GRAB — Grab Holdings: Q3 revenue beat; guidance raised modestly. (Reuters)
- DT — Dynatrace: Reported FY26 Q2 results Nov 5; revenue +18% y/y. (Dynatrace, Inc.)
- ENTG — Entegris: Q3 reported last week; results roughly in line. (Entegris)
- JOBY — Joby Aviation: Q3 results Nov 5; recent capital raise and expansion updates remain in focus. (Joby Aviation, Inc.)
Signals summary (today)
- Skew: 5 buys vs 15 sells — short-term momentum tilting defensive/neutral across several tech and consumer names.
- Overlays: Notable net insider selling on WMT, TEAM, SATS, JOBY in your file; COF insider activity notable via CEO sale (separate news). (Investing.com)
- Event-tight: WMT (14 days) and WDAY (19 days) ahead of prints per your calendar — adjust sizing.
Carlo’s Take (EverHint)
With a fast crossover like EMA10×SMA50, I favor tiered entries/exits:
- For buys (e.g., BMY, CINF), consider starting partial and add only after 2–3 closes above the 10/50 band.
- For sells (e.g., WMT, SMCI, TEAM), weakness confirmation helps — look for lower-highs + RSI < 45 before pressing.
- Use ATR-aware stops below/above the last swing rather than the MAs themselves to avoid shakeouts.
Independent, data-driven signals. No hype, no paid promotions — just experimental market research from EverHint.