EW has the strongest read; VEEV has the most behind it.
Both lean bullish. The difference is evidence and record: VEEV’s read rests on 774 contracts but our 4h record on it is 9%; EW’s bucket hasn’t paid historically.
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| The read | Strongly bullish | Mildly bullish |
| −100 · 0 · +100 | ||
| Composite | +46.5 | +22.5 |
| Evidence | 64 | 68 |
| Quality | 77 | 86 |
| Price | $84.12 | $284.02 |
| Contracts today | 1,273 | 774 |
| Calibration | hasn’t paid −0.01% · n=92,310 | hasn’t paid −1.11% · n=9,499 |
| 30d tape (ink) vs price (dashed) | ||
| Our record here, 4h | 18% of 385 checked | 9% of 243 checked |
02
Tape, 43 days, same axis
EWVEEVtape_history · hourly, daily close shown
All values from the same rows as each stock page (stock_scores, tape_history, score_outcomes, tape calibration). Compare keeps the stock-page glyphs so nothing needs relearning.