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The following charts are the result of intensive data crunching by the proprietary ai model.
No human intervention, except in the training phase of the models, which is handmade and supervised.
Alpha Chart – Daily Forecast

LEGEND
rV.Rank: >1 positive | <-1 negative
rV.Position: 0=cash | 1=enter long| | -1=enter short
rV.Signal: 1=buy | -1=sell
rV.LongTerm: 1=long | -1=short
rV.Stamina: % of energy still available
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Weekly forecast

Monthly forecast

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To contact Luca, please write to moc.leegrivr@acul
The Alpha-Chart is ready around 23:30 (CET-Rome), London 22:30, New York: 17:30, San Francisco: 14:30,
Sydney: 07:30, Tokyo: 06:30, Shanghai: 05:30, Mumbai: 04:00
Indicators
List of r.Virgeel indicators, all are calculated through separate neural network models.
- rv.NextBars: estimates the H/L/C values of the next 24 bars (about a month in the daily model, about six months in the weekly model, and two years in the monthly model).
- rv.Position: determines the optimal market position in three distinct values: overall using all data, then using only positive day data, and finally using only negative day data to confirm and reduce possible ambiguities.
- rv.Target: estimates the target of the current movement. It is very sensible.
- rv.Stop: Calculates the stop value below which the position should be closed.
- rv.BuySell: The initial version of the Buy/Sell signal generator, which evolved into rv.Position over time. + 1 or more is an entry long signal, while the opposite -1 or less provides enter short signals.
- rv.ExpectedTurn: estimates how many bars are left until the next reversal.
- rv.NextCycle: estimates how many bars are left until the start of the next cycle (from low to low).
- rv.LongTerm: estimates the long-term attitude of the market.
- rv.Stamina+: how much residual energy remains for positive action (100% at the beginning of the long position, 0% at the end)
- rv.Stamina-: how much residual energy remains for negative action (100% at the beginning of the short position, 0% at the end)
Primary indicators: rv.Position / rv.Target / rv.Stop / rvBuySell
Confirmation indicators: rv.Position+ / rv.Position- / LongTerm / Stamina+ / Stamina-
Pure estimations : rv.ExpectedTurn / rv.NextCycle
NB. rv.NextBars is a lisergic indicator. It shows the less improbable path given the most recent conditions.
S&P 500 Weekly Report
Analysis Date: 06/03/2026
Price
6740.02
RSI
42.88
Prediction (NN)
70.02%
Fisher
0.15
Cyber Cycle
-144.38
Recent Signals
| Date | Price | Signal | RSI | Fisher |
|---|---|---|---|---|
| 02/03/2026 | 6740.02 | HOLD LONG | 42.88 | 0.15 |
| 23/02/2026 | 6878.88 | HOLD LONG | 65.80 | 0.75 |
| 16/02/2026 | 6909.51 | HOLD LONG | 59.01 | 1.17 |
| 09/02/2026 | 6836.17 | HOLD LONG | 55.93 | 1.70 |
| 02/02/2026 | 6932.30 | HOLD LONG | 55.00 | 2.04 |
Strategic Narrative
Current Market Position
As of 06/03/2026, the S&P 500 is trading at 6740.02. The current operational signal is HOLD LONG, generated through the synthesis of multiple technical indicators and our LSTM neural network.
Technical Analysis Summary
RSI (42.88): The RSI is in neutral territory (30-70), indicating balanced momentum.
Fisher Transform (0.15): Within normal range (-2.0 to +2.0), no extreme conditions detected.
Cyber Cycle (-144.38): The market is in a descending phase of the cycle.
Neural Network Assessment
Our LSTM model, trained on 13 technical features including RSI, MACD, Bollinger Bands, ATR, Stochastic, Moving Averages, Fisher Transform, and Cyber Cycle, predicts a 70.0% probability of upward price movement in the next week.
Interpretation: Strong bullish bias – the model expects upward momentum.
Cycle Analysis
FFT analysis has identified dominant market cycles at approximately 184 weeks, 167 weeks, 204 weeks. These cyclical patterns represent recurring rhythms in price movements and can help anticipate potential turning points.
Trading Recommendation
HOLD LONG: Maintain current position. The trend remains intact.
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