StockCast screens 78 stocks daily using multi-factor technical analysis and a live geopolitical intelligence layer — delivering your top 20 picks before Monday markets open.
| # | Ticker | Dir | Conv | 7D Fcst |
|---|---|---|---|---|
| 1 |
GEV
Clean Energy
|
↑ | HIGH | +3.4% |
| 2 |
NEM
Gold / Materials
|
↑ | HIGH | +4.1% |
| 3 |
LNG
Energy
|
↑ | HIGH | +2.8% |
| 4 |
COST
Consumer Staples
|
↑ | MED | +1.9% |
| 5 |
GD
Defence
|
↑ | MED | +1.6% |
78 stocks are screened every market day using a proprietary multi-factor technical model. Each stock receives a composite conviction score, updated each morning before market open. Direction, strength, and timing are all assessed independently.
Six live macro themes — from war and conflict to Fed rate decisions, dollar strength, and AI infrastructure — apply sector-level adjustments across the full universe in real time. Each theme is calibrated to the sectors it actually moves. This is the edge that institutional funds pay for, and it is what separates StockCast from a technical signal tool.
Your top 20 picks — ranked by conviction and sector diversity — delivered by email every Monday morning, before NYSE open. Plus a daily results PDF each morning: every prediction scored against actual NYSE close prices.
NYSE-listed equities selected for liquidity, sector diversity, and sensitivity to the macro and geopolitical themes the platform tracks. The goal is a screen that reacts to the world — not one that mirrors the S&P 500.
Each data point is a live trading day. Predictions published before market open, scored against actual NYSE close. Pre-optimisation period shown left; post-optimisation right.
Every forecast is timestamped before NYSE open and scored against actual close prices. Direction accuracy is recorded daily — all misses remain visible. No backtesting. No simulated data.
All figures are averages across observed trading days, calculated from timestamped daily results PDFs. Sharp reversal days are the platform's primary challenge — an honest limitation of any directional forecasting model.
| Ticker | Sector | StockCast Called | Conviction | Actual Gain | Period |
|---|---|---|---|---|---|
OXY |
Energy | ↑ UP | HIGH | +23.0% | Mar–May 2026 |
DVN |
Energy | ↑ UP | HIGH | +14.0% | Mar–May 2026 |
XOM |
Energy | ↑ UP | HIGH | +13.3% | Mar–May 2026 |
COP |
Energy | ↑ UP | HIGH | +12.0% | Mar–May 2026 |
LYB |
Materials | ↑ UP | MED | +11.9% | Mar–May 2026 |
LNG |
Energy | ↑ UP | HIGH | +11.9% | Mar–May 2026 |
Each week you receive a ranked PDF with the top 20 conviction picks for the week ahead — structured by sector, conviction tier, and 7-day forecast. In your inbox before the market opens. No dashboard to log into. No data to interpret. Just the call.
| # | Ticker | Sector | Conv | Signal | 7D |
|---|---|---|---|---|---|
| 1 | GEV | Clean Energy | HIGH | Bullish | +3.4% |
| 2 | NEM | Materials | HIGH | Bullish | +4.1% |
| 3 | LNG | Energy | HIGH | Bullish | +2.8% |
| 4 | COST | Consumer | MED | Watchlist | +1.9% |
| 5 | GD | Defence | MED | Watchlist | +1.6% |
14-day free trial. No credit card. Cancel any time.
StockCast wasn't built by a Wall Street veteran. It was built by an AI developer with a background in building intelligence platforms — tools that find high-value signals in complex, noisy datasets. The same approach applied to international development now runs on financial markets, with live geopolitical context baked in from the start.
Since March 2026, every forecast has been published before market open and scored against actual NYSE close prices. That's now ten weeks of timestamped, unedited accuracy data — no backtesting, no cherry-picked results. A verified track record, built one trading day at a time.
Retail investors deserve the same geopolitical edge that institutional funds use. StockCast is that edge — verified, timestamped, and in your inbox before Monday markets open.