Hold Through Earnings?

Decision summary

Question: Hold Through Earnings? This is a proxy because the local service does not provide exact earnings announcement timestamps/opening gaps.

Fundamental update + EPS growth >20% produced a 25.9% median 24-month return versus 25.2% for all eligible observations. The loss greater than 20% rate was 14.3% versus 13.7% baseline.

  • Future return potential: Fundamental update + EPS growth >20% median 25.9% versus All eligible observations 25.2%; excess 0.7%.
  • Correction/drawdown risk: loss greater than 20% 14.3% versus baseline 13.7%; excess 0.6%. Median max drawdown -10.7%.
  • Entry timing risk: entry condition Favorable based on loss risk and forward drawdown.
  • Use: buying/holding/trimming decisions require entry condition, thesis condition, and current position. No simple Buy/Sell label is inferred from price history alone.

Baseline comparison

Group Median return 25th pct 75th pct 10th pct downside Finished positive Loss >20% Loss >30% Loss >50% Median max drawdown Sample size
Fundamental update + EPS growth >20% 25.9% -3.2% 58.7% -30.5% 72.8% 14.3% 10.1% 4.3% -10.7% 2,744
All eligible observations 25.2% -2.0% 55.1% -27.5% 73.5% 13.7% 9.0% 3.4% -10.4% 4,650
EW broad index 28.3% 13.9% 51.5% -0.9% 85.9% 3.6% 3.1% 0.0% -9.6% 4,641
Signal excess vs baseline 0.7% 0.6% 1.1% 0.9% -0.3%

Distribution by bucket

Group Median return 25th pct 75th pct 10th pct downside Finished positive Loss >20% Loss >30% Loss >50% Median max drawdown Sample size
Fundamental update + EPS growth >20% 27.1% 1.6% 57.9% -23.6% 76.2% 11.4% 7.5% 2.3% -10.4% 4,677
Update + EPS growth 0-20% 23.6% -7.7% 56.5% -34.7% 69.5% 17.4% 12.0% 5.0% -11.8% 5,149
Update + EPS decline 25.9% -0.4% 56.9% -24.3% 74.7% 12.3% 7.7% 2.3% -9.2% 4,770
No fundamental update 25.5% -1.4% 56.1% -26.2% 73.8% 12.8% 8.4% 3.1% -9.6% 38,993

Current ticker mapping

Ticker Current signal Historical median return Loss >20% Entry condition Suggested action
None No current signal 25.9% 14.3% n/a No signal-based action

Suggested actions

Situation Suggested action
No position Starter or staged entry is supported if thesis condition is Intact and valuation/liquidity filters pass.
Partial position Hold and add in stages while thesis remains Intact.
Full position Hold; new adds require portfolio room.
Overweight position Do not add solely because the base rate is favorable.
Thesis deteriorating Reduce or avoid regardless of historical base rate.

What this signal does not mean

This signal does not create a simple Buy/Sell label. It is a historical base-rate input for entry sizing, holding discipline, and thesis monitoring.

Dataset disclosure

Universe: local database stocks with adjusted monthly prices from 2001-01-31 to 2026-06-26. Historical S&P 500 snapshot membership exists, but the studies use the available local stock universe rather than fully reconstructed historical constituents. Filters: adjusted price at least $5, trailing 3-month average daily dollar volume at least $1 million, market cap at least $300 million when available. Survivorship-bias risk remains.

Methodology

Observations use monthly adjusted prices when available, 24-month forward returns, forward maximum drawdown from the observation price, and a 12-month cooldown to reduce overlapping signals. Baseline uses all eligible observations that pass the same price/data availability filters. EW broad-market index is used because SPY price history is not available in the local service.

Historical patterns do not guarantee future results.