Min, Max, and Negative Numbers

This page helps you understand the way we use negative numbers in our filters

The basic idea is simple.  Saying that a stock is down 5% in the last ten minutes is the same as saying that the stock is up -5% in last ten minutes.  By using negative numbers we can have half as many filters.

Things get tricky when you start mixing min and max with negative numbers.  Remember, -3 is less than -2!  If you are not sure, enter the values below the same way that you would enter them into our config page.  Read the English description and look at the picture to make sure the computer interprets your settings the way you intended.

Meaning of the “Earnings Date” filter

Trade-Ideas Filters

FilterValue
Min-1
Max0

English


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Show me stocks where: Earnings will be reported no more than 1 day(s) before 11:59:59pm last night.

Also show me stocks where: Earnings will be reported at exactly midnight this morning.

As a Chart

The blue area shows which stocks are selected by the filters.  White areas show stocks which would be removed by the filters.

The left side of the chart shows smaller (more negative) numbers in the min or max filter.  The right side of the chart shows larger (more positive) numbers.

Past insideFuture
For more information about how these charts relate to the filters, please see the following video:Video Help

Enter Filter Values

Min: 
Max: 

Filter:

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Price ($)
Spread (Pennies)
Bid Size (Shares)
Ask Size (Shares)
Bid / Ask Ratio (Ratio)
Distance from Inside Market (%)
Average Number of Prints (Prints / Day)
Average Daily Volume (5D) (Shares / Day)
Average Daily Volume (10D) (Shares / Day)
Average Daily Volume (3M) (Shares / Day)
Dollar Volume (Dollars/Share x Shares/Day)
Relative Volume (Ratio)
Volume Today (Shares)
Volume Today (%)
Volume Yesterday (%)
Volume 1 Minute (%)
Volume 5 Minute (%)
Volume 10 Minute (%)
Volume 15 Minute (%)
Volume 30 Minute (%)
Post Market Volume (Shares)
Volatility ($)
Volatility (%)
Yearly Standard Deviation ($)
Wiggle ($)
Average True Range ($)
Today's Range ($)
Today's Range (%)
2 Minute Range ($)
2 Minute Range (%)
5 Minute Range ($)
5 Minute Range (%)
15 Minute Range ($)
15 Minute Range (%)
30 Minute Range ($)
30 Minute Range (%)
60 Minute Range ($)
60 Minute Range (%)
120 Minute Range ($)
120 Minute Range (%)
5 Day Range ($)
5 Day Range (%)
10 Day Range ($)
10 Day Range (%)
20 Day Range ($)
20 Day Range (%)
Put/Call Ratio (Ratio)
Options Volume (Contracts)
Options Volume Today (Contracts)
Put Volume Today (Contracts)
Call Volume Today (Contracts)
Options Volume Today (%)
Gap ($)
Gap (%)
Gap (Bars)
Position of Open (%)
Decimal ($)
Consecutive Candles (1 minute candles)
Consecutive Candles (2 minute candles)
Consecutive Candles (5 minute candles)
Consecutive Candles (10 minute candles)
Consecutive Candles (15 minute candles)
Consecutive Candles (30 minute candles)
Consecutive Candles (60 minute candles)
Consecutive Days (Days)
Change 1 Minute ($)
Change 1 Minute (%)
Change 2 Minute ($)
Change 2 Minute (%)
Change 5 Minute ($)
Change 5 Minute (%)
Change 10 Minute ($)
Change 10 Minute (%)
Change 15 Minute ($)
Change 15 Minute (%)
Change 30 Minute ($)
Change 30 Minute (%)
Change 60 Minute ($)
Change 60 Minute (%)
Change 120 Minute ($)
Change 120 Minute (%)
NASDAQ Change 5 Minute (%)
NASDAQ Change 10 Minute (%)
NASDAQ Change 15 Minute (%)
NASDAQ Change 30 Minute (%)
NASDAQ Change Today (%)
S&P Change 5 Minute (%)
S&P Change 10 Minute (%)
S&P Change 15 Minute (%)
S&P Change 30 Minute (%)
S&P Change Today (%)
Dow Change 5 Minute (%)
Dow Change 10 Minute (%)
Dow Change 15 Minute (%)
Dow Change 30 Minute (%)
Dow Change Today (%)
Distance from Pivot R2 (%)
Distance from Pivot R1 (%)
Distance from Pivot (%)
Distance from Pivot S1 (%)
Distance from Pivot S2 (%)
Distance from VWAP 1 (%)
Change from the Close ($)
Change from the Close (%)
Change from the Close (Bars)
Change from the Open ($)
Change from the Open (%)
Change from the Open (Bars)
Change from the Open (% of Average True Range)
Change Previous Day ($)
Change Previous Day (%)
Change in 5 Days ($)
Change in 5 Days (%)
Change in 10 Days ($)
Change in 10 Days (%)
Change in 20 Days ($)
Change in 20 Days (%)
Change in 1 Year ($)
Change in 1 Year (%)
Change Since January 1 ($)
Change Since January 1 (%)
Standard Deviation (Standard Deviations)
Position in 5 minute range (%)
Position in 15 minute range (%)
Position in 30 minute range (%)
Position in 60 minute range (%)
Below High ($)
Above Low ($)
Below Pre-Market High ($)
Above Pre-Market Low ($)
Position in Range (%)
Position in Previous Day's Range (%)
Position in Pre-Market Range (%)
Position in 5 Day Range (%)
Position in 10 Day Range (%)
Position in 20 Day Range (%)
Position in Year Range (%)
Position in 2 Year Range (%)
Position in Lifetime Range (%)
1 Minute RSI (0 - 100)
2 Minute RSI (0 - 100)
5 Minute RSI (0 - 100)
15 Minute RSI (0 - 100)
60 Minute RSI (0 - 100)
Daily RSI (0 - 100)
Position in Bollinger Bands (5 Minute) (%)
Position in Bollinger Bands (15 Minute) (%)
Position in Bollinger Bands (60 Minute) (%)
Position in Bollinger Bands (Daily) (%)
Range Contraction (Days)
Linear Regression Divergence (0 - 1)
Average Directional Index (%)
Directional Indicator (%)
Change from 200 Day SMA (%)
Change from 200 Day SMA (Bars)
Change from 50 Day SMA (%)
Change from 50 Day SMA (Bars)
Change from 20 Day SMA (%)
Change from 20 Day SMA (Bars)
Change from 8 Day SMA (%)
Change from 8 Day SMA (Bars)
Change from 5 Period SMA (2m) (%)
Change from 5 Period SMA (5m) (%)
Change from 5 Period SMA (15m) (%)
Change from 8 Period SMA (2m) (%)
Change from 8 Period SMA (5m) (%)
Change from 8 Period SMA (15m) (%)
Change from 8 Period SMA (60m) (%)
Change from 20 Period SMA (2m) (%)
Change from 20 Period SMA (5m) (%)
Change from 20 Period SMA (15m) (%)
Change from 20 Period SMA (60m) (%)
Change from 200 Period SMA (2m) (%)
Change from 200 Period SMA (5m) (%)
Change from 200 Period SMA (15m) (%)
Change from 200 Period SMA (60m) (%)
8 vs. 20 Period SMA (2m) (%)
8 vs. 20 Period SMA (5m) (%)
8 vs. 20 Period SMA (15m) (%)
8 vs. 20 Period SMA (60m) (%)
20 vs. 200 Period SMA (2m) (%)
20 vs. 200 Period SMA (5m) (%)
20 vs. 200 Period SMA (15m) (%)
20 vs. 200 Period SMA (60m) (%)
Consolidation (Days)
Position in Consolidation (%)
Market Cap ($)
Shares Outstanding (Shares)
Days to Cover (Days)
Short Growth (%)
Short Float (%)
Held by Insiders (%)
Held by Institutions (%)
Cash ($)
Current Assets ($)
Current Debt ($)
Cash / Debt Ratio (Ratio)
Income ($ / Year)
Income / Debt Ratio (Ratio)
Revenue ($ / Year)
Quarterly Revenue Growth (%)
Enterprise Value / Market Cap Ratio (Ratio)
EPS ($ / Share)
Estimated Annual EPS Growth (Ratio)
Estimated Quarterly EPS Growth (Ratio)
Quarterly Earnings Growth (%)
Price / Earnings Ratio (Ratio)
Earnings Date (Days)
Dividend ($)
Beta (Ratio)
Time of Day (Minutes after the open)
Count (Alerts)

(Not all filters are listed here.  Ask us if you need more help.)

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