FLEX
Outperforming without a clear catalyst yet
- FLEX +3.40% on the last session vs SPY +0.74%: +2.7 pts of stock-specific move.
- Aftermath, big drop (Sep 30): After its 64 big drops in the past 5 years, FLEX typically gained 0.6% over the next day (median) and was higher 56% of the time; half the outcomes fell between -1.4% and +2.5%. An ordinary day: +0.1%. Among S&P 500 stocks after big drops, that ranks #126 of 500.
- Market backdrop (Fri): Average Hourly Earnings m/m 0.1% vs 0.3% expected (cooler); Non-Farm Employment Change 29K vs 89K expected (weaker); S&P futures +0.41%, 10-year yield -5bp in the 30 minutes after.
After each kind of event
| Event | Events | 1 day | 1 week | 1 month | 1 quarter |
|---|---|---|---|---|---|
| Any day | 1,255 | +0.1%#149 H | +0.8%#21 H | +2.5%#35 H | +11.0%#12 M |
| Big drop Sep 30 (-3.3% or worse) | 64 | +0.6%#126 H | -0.6%#452 H | +2.9%#128 H | +16.8%#10 M |
| Big gain (+3.7% or better) | 70 | 0.0%#330 H | +0.7%#184 H | +3.5%#118 H | +14.6%#28 M |
| Earnings beat | 20 | +0.4%#171 H | +3.7%#48 H | +4.8%#46 H | +9.5%#30 M |
| Earnings miss | — | — | — | — | — |
| 52-week high | 21 | -0.4%#331 H | +1.6%#87 H | +3.5%#11 H | +4.2%#154 M |
| 52-week low | — | — | — | — | — |
| Crossed above 200-day avg | 6 | -0.3%#398 L | +5.5%#71 L | +7.2%#135 L | +23.2%#11 L |
| Crossed below 200-day avg | 4 | +0.8%#156 L | +4.5%#114 L | +11.9%#203 L | +29.3%#5 L |
| RSI oversold | 6 | +1.0%#226 L | +1.8%#178 L | +10.0%#115 L | +28.9%#21 L |
| RSI overbought | 22 | -0.3%#413 H | +1.6%#122 H | +2.6%#107 M | +10.8%#47 M |
| Reddit spike | — | — | — | — | — |
| Analyst upgrade | — | — | — | — | — |
| Analyst downgrade | — | — | — | — | — |
| Insider buy | — | — | — | — | — |
| Insider unplanned sale | — | — | — | — | — |
Median gain from the close of the session the event was known, over each holding period; #rank among the S&P 500 stocks after the same kind of event (#1 = best). "Big" is FLEX's own: its worst / best 10% of days over the prior 2 years. Highlighted: happening in the latest session.
Big drop (-3.3% or worse)
A daily fall among the stock's own worst 10% of the prior 2 years.
| Holding | Events | Median (likely range) | Confidence | Rank | Up | vs SPY | Range of outcomes (worst · 25–75% · median · best) | vs S&P 500 stocks (their medians) |
|---|---|---|---|---|---|---|---|---|
| 1 day | 64 | +0.58% (-0.1 to +1.1) | High | #126 of 500 | 56% | +0.34% |
-9%
+11%
|
|
| 1 week | 63 | -0.59% (-1.1 to +0.5) | High | #452 of 500 | 48% | -1.01% |
-10%
+19%
|
|
| 1 month | 62 ≈38 indep. | +2.90% (+0.9 to +6.4) | High | #128 of 500 | 63% | +2.86% |
-23%
+66%
|
|
| 1 quarter | 56 ≈15 indep. | +16.77% (+10.8 to +20.9) | Medium | #10 of 499 | 77% | +10.66% |
-28%
+153%
|
Range of outcomes: all of FLEX's big drops in the past 5 years, from the worst to the best result over each holding period; the box holds the middle half, the tick is the median. A wide box means the median alone says little. Hover the median for the average.
Big drop by trend
| When it happened | Events | 1 day | 1 week | 1 month | 1 quarter |
|---|---|---|---|---|---|
| Long trendAbove its 200-day avg now | 61 | +0.5%H vs +0.1% | -0.9%H vs +0.8% | +2.6%H vs +3.0% | +15.8%M vs +12.5% |
| Below its 200-day avg | 3 | +2.4%L vs +1.6% | +11.0%L vs +5.1% | +24.8%L vs +19.5% | +71.8%L vs +34.3% |
| Medium trendAbove its 50-day avg now | 32 | +0.6%H vs 0.0% | -1.1%H vs +0.7% | +2.4%H vs +2.9% | +10.1%M vs +7.7% |
| Below its 50-day avg | 32 | +0.6%H vs +0.5% | +0.5%H vs +1.4% | +3.0%H vs +2.5% | +20.2%M vs +18.8% |
| Short trendAbove its 20-day avg now | 25 | -0.3%H vs 0.0% | -1.1%H vs +0.7% | +2.0%H vs +2.1% | +10.7%M vs +9.8% |
| Below its 20-day avg | 39 | +1.0%H vs +0.3% | +0.5%H vs +1.1% | +3.0%H vs +3.5% | +18.2%M vs +14.2% |
The same event split by where FLEX stood against its 200-, 50- and 20-day averages when it happened (a dip in an uptrend vs a falling knife); "vs" is the plain any-day median in that trend; "now" marks where it stands today. Splitting halves the evidence, so watch the confidence letters: H / M / L.
Latest big drops
| Event | Entry | 1 day | 1 week | 1 month | 1 quarter | |
|---|---|---|---|---|---|---|
| Sep 30, 2026 | Sep 30 @ $109.99 | -3.4% on the day (line -3.3%) | +2.5% | … | … | … |
| Sep 10, 2026 | Sep 10 @ $108.01 | -4.1% on the day (line -3.2%) | +7.2% | +0.9% | … | … |
| Aug 28, 2026 | Aug 28 @ $110.50 | -4.2% on the day (line -3.2%) | -1.1% | -0.9% | +3.0% | … |
| Aug 18, 2026 | Aug 18 @ $120.24 | -7.5% on the day (line -3.2%) | -6.0% | -9.1% | -9.3% | … |
| Aug 5, 2026 | Aug 5 @ $121.88 | -3.8% on the day (line -3.2%) | +0.6% | +2.2% | -11.5% | … |
| Jul 24, 2026 | Jul 24 @ $118.51 | -7.4% on the day (line -3.1%) | -2.1% | -4.0% | -10.0% | … |
| Jul 16, 2026 | Jul 16 @ $121.12 | -5.9% on the day (line -3.1%) | -1.5% | +5.6% | +4.2% | … |
| Jul 7, 2026 | Jul 7 @ $131.52 | -5.1% on the day (line -3.0%) | +1.4% | +0.5% | -7.3% | … |
| Jun 26, 2026 | Jun 26 @ $146.70 | -9.0% on the day (line -3.0%) | +8.8% | -5.5% | -22.8% | -21.8% |
| Jun 5, 2026 | Jun 5 @ $151.92 | -4.8% on the day (line -3.0%) | -0.7% | -1.5% | -12.2% | -27.9% |
| May 12, 2026 | May 12 @ $139.69 | -3.7% on the day (line -2.9%) | +2.9% | -9.6% | +8.8% | -10.9% |
| Apr 28, 2026 | Apr 28 @ $87.16 | -3.2% on the day (line -2.9%) | +3.9% | +10.7% | +66.2% | +18.2% |
| Mar 26, 2026 | Mar 26 @ $64.76 | -7.5% on the day (line -2.9%) | +0.1% | +5.9% | +39.1% | +126.5% |
| Mar 18, 2026 | Mar 18 @ $63.45 | -3.0% on the day (line -2.8%) | +3.7% | +10.4% | +29.0% | +125.6% |
| Mar 3, 2026 | Mar 3 @ $63.08 | -3.7% on the day (line -2.8%) | +1.4% | -3.4% | +8.2% | +152.7% |
Aftermath: entry is the close of the first session the event was fully known (the same session for price moves, the reaction session for earnings, the next session for Reddit, analyst and insider events, which are dated by day). Repeats within a few sessions count as one event. Past performance after an event says nothing certain about the next one. Not advice.