📡 FOX — Fox Corporation (Class B)

Price-Time Intelligence · decision-support only — not recommendations, not predictions · as of 10/06/2026

Last price (Close)
61.03 +0.21%
Next window · Gann 120 · in 13 days
29/06/2026
Last window
Trend
Neutral

Daily chart · hover for price & date

Reference points

Last major low · 25/02/2026
48.76
Days: 73 trading / 105 calendar · return since: +25.16%
Last major high · 06/01/2026
68.18
Days: 107 trading / 155 calendar · return since: -10.48%

Price-Time Watch Windows

Reference pointCycleCountingTarget dateDistanceStatus
Low 25/02/2026 @ 48.76Gann 120Calendar25/06/2026+15 (±3)Upcoming
High 06/01/2026 @ 68.18Gann 120Trading29/06/2026+13 (±3)Upcoming
Low 25/02/2026 @ 48.76Gann 90Trading03/07/2026+17 (±3)Upcoming
High 06/01/2026 @ 68.18Gann 180Calendar05/07/2026+25 (±3)Upcoming
Low 25/02/2026 @ 48.76Gann 144Calendar19/07/2026+39 (±3)Upcoming
High 06/01/2026 @ 68.18Gann 144Trading31/07/2026+37 (±3)Upcoming

Chronological: recent past → active → upcoming. 'Near a window' is context only, not a signal.

Date Echo — seasonal anniversary

What happened around the same calendar date in prior years. n ≈ number of years — descriptive, not an edge. Each window separately, every number vs baseline.

Upcoming 25/06/2026 · Low Gann 120/Calendar · 7 years — Small sample
10 days: Avg -0.20% · Win 57% · DD -3.02%20 days: Avg +1.87% · Win 57% · DD -3.54%
Open Date Echo · 7 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202525/06/202551.38neutral-1.19%+1.01%+0.60%-1.97%+1.89%
202425/06/202432.21near 52w high+0.28%+2.24%+7.02%-1.37%+8.20%
202326/06/202331.07neutral+3.70%+2.03%-0.29%-0.29%+3.70%
202224/06/202230.35near 52w low+0.79%-0.23%+7.58%-2.14%+7.58%
202125/06/202136.39neutral-2.80%-4.09%-5.69%-10.41%+0.00%
202025/06/202026.75neutral-0.75%-5.08%-0.97%-8.59%+0.62%
201925/06/201935.19neutral+3.81%+2.70%+4.83%+0.00%+5.26%
Upcoming 29/06/2026 · High Gann 120/Trading · 7 years — Small sample
10 days: Avg -0.93% · Win 29% · DD -3.06%20 days: Avg +1.40% · Win 43% · DD -3.62%
Open Date Echo · 7 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202530/06/202551.63neutral-2.13%-1.18%-0.62%-2.44%+0.95%
202428/06/202432.02near 52w high+0.37%+4.78%+9.90%-0.69%+9.90%
202329/06/202332.11neutral-0.59%-3.05%-3.08%-3.52%+0.34%
202229/06/202230.14near 52w low+2.26%-0.40%+7.40%-1.46%+8.33%
202129/06/202135.04neutral-1.54%-1.88%-2.91%-6.96%+1.48%
202029/06/202026.79neutral-3.81%-6.20%-4.03%-8.73%+0.47%
201928/06/201936.53volume x2.3-1.09%+1.40%+3.18%-1.56%+3.18%
Upcoming 03/07/2026 · Low Gann 90/Trading · 7 years — Small sample
10 days: Avg -0.87% · Win 43% · DD -3.65%20 days: Avg -0.34% · Win 43% · DD -3.72%
Open Date Echo · 7 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202503/07/202551.77neutral-2.28%-0.17%-2.01%-2.70%+0.68%
202403/07/202432.44near 52w high+2.50%+6.69%+8.51%-0.92%+10.36%
202303/07/202332.22neutral-1.61%-1.09%-3.07%-3.85%+0.00%
202201/07/202230.59neutral-1.01%+0.46%+1.67%-1.86%+6.73%
202102/07/202135.37neutral-1.33%-7.83%-5.88%-7.83%+0.00%
202002/07/202026.55neutral-4.37%-4.86%-2.94%-7.91%+0.00%
201903/07/201936.35neutral-0.11%+0.72%+1.35%-0.94%+4.13%
Upcoming 05/07/2026 · High Gann 180/Calendar · 7 years — Small sample
10 days: Avg -0.47% · Win 29% · DD -3.29%20 days: Avg -0.22% · Win 29% · DD -3.36%
Open Date Echo · 7 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202503/07/202551.77neutral-2.28%-0.17%-2.01%-2.70%+0.68%
202405/07/202432.16near 52w high+3.70%+6.75%+8.46%-0.06%+11.32%
202305/07/202332.03neutral-1.28%-1.09%-2.40%-3.28%+0.00%
202205/07/202230.63neutral-0.03%+3.33%+0.98%-1.99%+6.59%
202106/07/202134.73neutral-2.19%-5.36%-5.50%-6.13%+0.49%
202006/07/202026.53neutral-5.58%-6.45%-1.06%-7.84%+0.00%
201905/07/201936.56neutral+1.09%-0.30%+0.00%-1.50%+3.53%
Upcoming 19/07/2026 · Low Gann 144/Calendar · 7 years — Small sample
10 days: Avg +0.62% · Win 57% · DD -0.97%20 days: Avg +2.22% · Win 71% · DD -3.01%
Open Date Echo · 7 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202518/07/202551.68neutral+0.85%-1.84%+3.31%-5.07%+5.61%
202419/07/202434.33near 52w high+1.72%+1.60%+7.08%-0.84%+7.08%
202319/07/202331.68neutral-1.61%-1.33%-0.69%-2.21%+3.76%
202219/07/202231.65neutral-0.25%-2.27%+6.60%-2.37%+6.64%
202119/07/202132.60volume x2.6+5.28%+2.12%+5.06%+0.00%+5.95%
202020/07/202024.82neutral+3.51%+5.76%+3.59%-0.56%+7.61%
201919/07/201936.45neutral+2.85%+0.30%-9.44%-9.99%+3.84%
Upcoming 31/07/2026 · High Gann 144/Trading · 7 years — Small sample
10 days: Avg +1.64% · Win 86% · DD -3.63%20 days: Avg +1.45% · Win 71% · DD -4.87%
Open Date Echo · 7 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202531/07/202551.14neutral-4.07%+6.73%+6.18%-4.07%+6.84%
202431/07/202435.43near 52w high+3.19%+2.54%+8.02%-3.92%+8.02%
202331/07/202331.41neutral-0.86%+1.11%-3.12%-4.01%+4.65%
202201/08/202231.10neutral+0.10%+7.94%+2.03%-0.55%+8.52%
202130/07/202133.24volume x1.6+1.50%+2.50%+3.88%-1.81%+3.91%
202031/07/202025.77neutral-3.41%+0.19%+8.34%-4.23%+8.34%
201931/07/201937.20neutral-1.10%-9.52%-15.16%-15.48%+0.00%

Questions to Watch

Is there a failed breakout above the window?Did an abnormal reversal candle appear?Is there an abnormal volume spike?Is the advance stalling (no follow-through)?Is short-term support breaking?Any change in relative strength vs QQQ/SPY/SMH?Is the leading sector weakening?

Interpretation & Scenarios

Careful wording — scenarios to watch, not forecasts. The decision is the trader's.

⬆️ Continuation (up) — to watch
· Positive relative strength vs QQQ, SPY, SMH.
· If it holds above SMA50 (+6.4%) and breaks out on volume above the window — historically similar zones tended to continue. Technical confirmation needed.
⬇️ Weakness (down) — to watch
· If a breakout fails or it closes below SMA50 / a nearby low on volume — risk of continued weakness. Watch for fading volume and relative weakness.
↔️ Range / no clear edge
· No active Price-Time Confluence right now.
· Distance from 52w high: -10.5% · from 52w low: +26.0%.
· Without confirmation either way — no clear edge; waiting for confirmation is reasonable.

Current Snapshot

Returns & distances

5 / 10 / 20 / 60 days+6.25% · +4.11% · +2.62% · +17.03%
Distance from SMA20 / 50 / 200+3.85% · +6.41% · +6.22%
Distance from 52w high / low-10.48% · +26.04%
ATR14 · volume vs 20-avg1.75 · 0.96x

Relative strength

vs QQQ (20d)+4.54%
vs SPY (20d)+4.35%
vs SMH (20d)+0.90%

Moving averages

SMA20 / 50 / 20058.77 · 57.35 · 57.45
52w high / low68.18 · 48.42