RLGT: Volatility Compression detected on 17 Jul 2026

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On 17 Jul 2026, our scan flagged RLGT as a volatility compression setup scoring 70 out of 98 (Good tier), with a 64% win probability based on our historical pattern database and a 0.1 to 1 reward to risk ratio. This is a swing trade setup: win probability reflects a 10 trading day hold, not an intraday move. At $9.50, the conservative target is $9.77 with a stop at $9.26.

Overall Score
70 of 98
Good
Win Probability
64%
Moderate
Reward / Risk
0.1 : 1
$0.01 reward $0.07 risk
Swing Trading Plan
Entry
$9.50
Target
$9.77
Stop Loss
$9.26
Holding Period
Up to 10 trading days
Win Probability
64%
AI analysis for this stock is being generated.
Quantitative data is available in the Technical Indicators tab.
How We Find and Score This Setup
We scan more than 6,000 NYSE and NASDAQ stocks every trading day and compare each detected pattern against a database of 370,000+ historical detections. Every setup is scored across three dimensions: Structure, Volume, and Breakout Readiness. Win probability is a calibrated estimate of how similar historical setups performed over the following 10 trading days. This is a swing trading tool built for multi-day holds. It is not built or tested for day trading.
Frequently Asked Questions
Is RLGT a good swing trade?
RLGT scored 70 out of 98 on our volatility compression scan, with a 64% historical win probability over the standard 10 trading day hold. Good setup based on our systematic scoring.
What is the entry, target, and stop loss for this setup?
The setup's reference price is $9.50, with a conservative target of $9.77 and a stop loss at $9.26.
What would invalidate this volatility compression setup?
A close below the stop loss at $9.26 would invalidate the setup and suggest the pattern has failed.
How is the win probability calculated?
Win probability is a calibrated estimate of how similar historical volatility compression setups performed over the following 10 trading days, drawn from a database of 370,000+ historical pattern detections across 6,000+ NYSE and NASDAQ stocks.
Market & Sector Regime
Market
Bullish 0.60
-1.0 0 +1.0
Industrials Sector
Bullish 0.58
-1.0 0 +1.0
Overall Score
38 of 40
Exceptional
Pattern Quality
9 of 20
Weak
Setup
13 of 20
Moderate
R/R
10 of 18
Fair
Context
Pattern Quality Score
15 of 15
Exceptional
Structure
11 of 13
Strong
Breakout
12 of 12
Exceptional
Volume
Recent Performance
+0.8%
1W
-0.2%
2W
+4.2%
1M
+20.1%
3M
Momentum & Trend
RSI (14)
62.7
Neutral
MACD Histogram
-0.03
Bearish
Bollinger Band Position
72.1%
Upper Zone
Volatility & Risk
20-Day Volatility
0.21
Moderate
ATR %
2.3%
Medium
Beta
1.38
Above Mkt
Volume Analysis
Volume Ratio
0.86x
Average
20-Day Avg Vol
165K
shares / day
Current Volume
142K
shares traded
Price Levels
Target
$9.77
Resistance
$9.68
52W High
$9.68
Current
$9.50
Stop Loss
$9.26
Support
$9.25
52W Low
$5.78
Disclaimer: This analysis is algorithmically generated for educational purposes only and does not constitute financial advice. Past pattern performance does not guarantee future results. Win probabilities are based on historical data across 370,000+ observations. Always conduct your own research and consult a qualified financial advisor. AI-assisted contextual analysis by Claude (Anthropic). Indicators reflect values at time of detection.