{
  "report_rows": [],
  "guide_rows": [],
  "day1_residual_pct": 3.0,
  "day1_confidence": "MEDIUM",
  "day5_residual_pct": 1.0,
  "day5_path": "FADE",
  "day5_rationale": "Beat-and-modest-raise likely sparks a day-1 pop, but the H2 mathet tempers follow-through: management's ownanaged that own framing has first-half EPS exceeding second-half (contingency $0.05-$0.15 held for H2 oil/macro), so out-quarter estimates get trimmed even after a Q2 beat. Pre-buy payback risk on the ~10% order surge and slight margin softness (~24.5% vs 24.65% cons) cap upside, driving a partial give-back of the initial move.",
  "day5_confidence": "LOW"
}