Alchip Technologies, Limited (3661.TW) Anomalies

Check historical price trends and seasonality for Alchip Technologies, Limited (3661.TW).

View:

Alchip Technologies, Limited (3661.TW) average YTD return over the past 10 years is +92.62%.

Over the past 10 years, the return for the specified period (Apr 22 for 30 days) is +5.91%.

4 wins 3 losses with a win rate of 57.14%.

AI Analysis (Past 10 Years YTD)

Alchip Technologies, Limited (3661.TW) Anomaly Analysis

1) Overview:

Alchip Technologies typically experiences a strong bullish trend throughout the year. The stock tends to rise steadily from January, gaining momentum through the first half of the year, reaching a peak around July. After peaking in July, the stock consolidates at a high level before experiencing a final surge into December, culminating in significant gains of +94.1% by December 21 and +92.6% by December 31.

2) Buy-the-dip points:

Potential buying opportunities may arise during periods of consolidation or minor pullbacks. One such period appears in early April, specifically around April 8, where the average gain decreases to +16.1% from a high of +18.9% on April 1. Another potential buying opportunity occurs in early August, around August 10, where the average gain dips to +44.1% from a high of +49.1% on August 9. These dips could represent chances to enter the market before the stock resumes its upward trajectory towards the end of the year.

3) Summary:

Based on the 10-year average seasonality, a potentially profitable strategy could involve accumulating Alchip Technologies shares during pullback periods in April and August. The strongest period for holding the stock appears to be from January through December, capturing the significant gains leading up to December 21 and December 31. Investors should be aware that past performance is not indicative of future results, and other factors should be considered before making investment decisions.

Disclaimer: This analysis is generated by AI (Gemini) based on historical statistical trends. It does not guarantee future performance. Investment decisions are your own responsibility.
YearStart DateStart PriceEnd DateEnd PriceReturnRate (%)
2025 2025-04-22 1,995.0000 2025-05-21 2,980.0000 985.0000 49.37
2024 2024-04-22 2,765.0000 2024-05-21 2,750.0000 -15.0000 -0.54
2022 2022-04-22 859.0000 2022-05-21 950.0000 91.0000 10.59
2021 2021-04-22 442.0000 2021-05-21 454.5000 12.5000 2.83
2020 2020-04-22 243.5000 2020-05-21 305.5000 62.0000 25.46
2019 2019-04-22 83.8000 2019-05-21 76.9000 -6.9000 -8.23
2016 2016-04-22 45.2500 2016-05-21 28.0000 -17.2500 -38.12
Avg 919.0786 1,077.8429 158.76 5.91
365 Days (Prev Close Change) Average (Past 10 Years) [Horz=Month / Vert=Day]
Negative Zero/Flat Positive ※ Change from prev day close. Excl Feb 29.
Mode:
Day \ Month Jan Total +8.32% Feb Total +8.03% Mar Total +1.93% Apr Total -0.64% May Total +5.41% Jun Total +4.36% Jul Total +11.01% Aug Total +7.90% Sep Total +0.57% Oct Total +2.59% Nov Total +11.53% Dec Total +3.40%
1 Avg +0.27% 0.00% +0.24% +3.23% +0.52% 0.00% +0.47% +0.44% -0.96% +0.39% -1.17% +1.87% -1.74%
2 Avg +0.38% +0.30% +0.79% -0.28% +0.53% +2.06% -1.36% +0.75% -0.73% -0.60% +1.94% +0.95% +0.26%
3 Avg -0.11% -0.50% -0.45% -0.36% -0.22% -1.56% +0.51% +0.49% -0.25% +0.59% -0.11% +0.63% -0.06%
4 Avg +0.08% +1.82% +0.71% -0.16% 0.00% -0.99% +0.60% +0.60% -0.37% -1.82% +0.52% +0.53% -0.47%
5 Avg +0.01% +0.32% -0.26% +0.08% -0.14% +0.48% +0.81% -1.22% -1.16% -0.67% -0.13% +1.20% +0.76%
6 Avg +0.08% -0.12% -1.22% +0.95% -0.10% -3.60% +0.03% +0.73% -1.29% +1.00% +1.30% +3.24% -0.01%
7 Avg +0.21% +0.53% -0.02% -1.18% -0.70% +0.47% +0.91% +0.49% +1.74% -2.10% +1.11% +1.18% +0.14%
8 Avg +0.11% +0.06% +1.54% -0.45% -2.40% +0.57% +0.35% +0.44% +0.65% -0.14% +0.39% +0.19% +0.09%
9 Avg -0.33% +0.84% +1.76% -1.17% -3.14% -2.04% -0.54% +1.35% -0.11% -1.97% -0.10% +0.06% +1.05%
10 Avg +0.48% -0.10% -0.26% +1.27% +2.11% +1.89% +0.68% +0.55% -2.14% +0.38% 0.00% +1.29% +0.16%
11 Avg -0.12% +0.14% +1.76% +0.14% +0.71% -0.80% -1.68% -1.12% +0.66% +0.79% -2.09% -0.71% +0.72%
12 Avg +0.20% -0.87% +0.70% -1.41% -1.70% +1.84% +1.27% +0.04% +2.06% +1.47% -1.20% -0.19% +0.35%
13 Avg -0.31% +0.03% +0.11% -1.24% +0.50% -1.17% -1.02% +0.96% -0.45% -0.28% -1.31% -0.88% +1.02%
14 Avg +0.22% -0.30% -1.23% +0.86% +1.34% +1.41% -1.17% +0.73% -0.12% +1.70% -0.65% +0.51% -0.47%
15 Avg +0.43% +0.99% +1.22% -0.84% -0.93% +0.81% +0.80% +1.20% +1.13% -0.27% +0.36% +0.93% -0.31%
16 Avg +0.12% +1.49% +1.13% -0.73% -0.60% -0.02% -0.40% +0.24% +0.40% +0.88% -1.22% +0.37% -0.05%
17 Avg +0.73% -0.78% +0.42% +2.13% +1.35% +0.80% +1.08% 0.00% +0.09% +0.85% +0.24% +1.52% +1.08%
18 Avg +0.42% +2.70% +1.14% -1.07% +0.49% +0.70% +0.90% +2.33% +0.16% -0.36% -0.63% -0.89% -0.42%
19 Avg +0.21% +0.32% -0.26% -2.45% +0.32% +0.35% +0.52% +0.18% +0.03% +1.33% +1.77% +0.57% -0.14%
20 Avg +0.03% +0.60% +0.36% +1.34% -0.10% -0.41% +0.11% +0.94% -1.62% +0.27% +0.45% -0.88% -0.64%
21 Avg +1.01% +0.16% +1.16% +2.43% -1.07% +1.88% -0.22% +2.10% +2.50% +0.53% +1.13% -0.38% +1.94%
22 Avg +0.05% +0.81% -0.42% -0.78% -2.37% -1.15% +0.69% +1.20% +2.28% +1.18% +0.50% -1.21% -0.12%
23 Avg +0.24% -0.64% -0.17% -0.56% -0.04% +1.39% +2.08% -0.18% +1.81% +0.13% -0.90% -0.12% +0.05%
24 Avg +0.04% -0.04% -0.63% +0.50% +0.69% +0.16% +0.23% +0.21% +0.48% -1.52% +1.16% -0.34% -0.41%
25 Avg -0.24% +0.96% +0.62% +1.64% -2.07% +0.32% -0.37% -0.29% +1.99% -1.25% -2.15% -1.61% -0.67%
26 Avg -0.43% +0.26% -0.28% +0.67% +1.38% -1.24% -0.22% -0.82% -0.72% -2.31% -1.31% +0.46% -1.03%
27 Avg +0.80% +0.38% -0.41% -0.47% +3.09% +0.68% +0.77% +0.65% +1.26% +0.92% +1.24% -0.29% +1.80%
28 Avg -0.05% +0.37% 0.00% -0.28% +1.50% +1.67% -1.34% -0.84% -0.74% -0.04% -0.47% +0.54% -0.95%
29 Avg +0.54% +0.09% - +0.13% -0.05% +0.63% +0.54% +0.04% +1.57% -0.65% +0.94% +2.03% +0.66%
30 Avg +0.30% -0.83% - -0.95% +0.43% +1.23% -0.64% -1.06% -0.01% +2.13% +1.63% +0.96% +0.38%
31 Avg +0.11% -0.67% - +0.93% - -0.93% - -0.11% -0.23% - +1.35% - +0.45%

Past 10 Years 1-Month [Apr 22 - May 21] Return Ranking

Rank Stock Avg Return (%) Wins Losses