Billy,
I may be wrong, but if I remember well it often appears that when the robot gives a very strong signal it is in the middle of a rather NOT comfortable situation, at least on an emotional level.
Pascal is surely right when he says that we are at an infinitesimal distance from confirming the sell signal on the 20DMF, and very wisely suggests to keep a reduced position due to headline risk.
Still, the robot gives a VERY STRONG buy signal... my question is: is there a way to know if past signals were somehow affected by headline risk?
Or put another way: shouldn't the robot algorithm take into account such occurrences for the mere fact that "the price says it all"?
Excuse me if my question sounds as a dumb one, but I remember having the same doubt on one of the similar past occurrences.