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Daily Stock Insights

Daily AI screening of thousands of stocks, surfacing the top opportunities with transparent scoring. Each pick includes detailed technical analysis, fundamentals, and risk assessment—completely free.

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NVDA

NVDA

NVIDIA

65% confidence
Market Cap

4585.03B

P/E Fwd

29.9

ROE

109.4%

Margin

52.4%

Good opportunity (+33)
CMG

CMG

Chipotle Mexican Grill Inc.

65% confidence
Market Cap

52.79B

P/E Fwd

28.3

ROE

42.6%

Margin

13.3%

Good opportunity (+32)
PFE

PFE

Pfizer Inc

65% confidence
Market Cap

135.60B

P/E Fwd

7.6

ROE

12.2%

Margin

16.8%

Good opportunity (+32)
BULL

BULL

Webull Corporation

65% confidence
Market Cap

7.09B

P/E Fwd

n/a

ROE

-0.1%

Margin

0.7%

Good opportunity (+32)
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BMRN

BMRN

Biomarin Pharmaceutical Inc

65% confidence
Market Cap

10.23B

P/E Fwd

10.8

ROE

11.6%

Margin

21.4%

Good opportunity (+32)
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BX

BX

Blackstone Group Inc

65% confidence
Market Cap

194.25B

P/E Fwd

25.5

ROE

28.8%

Margin

21.2%

Good opportunity (+32)
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CRM

CRM

Salesforce.com Inc

65% confidence
Market Cap

236.81B

P/E Fwd

18.9

ROE

11.2%

Margin

16.9%

Good opportunity (+32)
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MA

MA

Mastercard Inc.

65% confidence
Market Cap

510.88B

P/E Fwd

30.0

ROE

177.0%

Margin

44.9%

Good opportunity (+32)
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ACN

ACN

Accenture plc

65% confidence
Market Cap

151.04B

P/E Fwd

17.6

ROE

25.5%

Margin

11.0%

Good opportunity (+32)
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TSM

TSM

Taiwan Semiconductor Manufacturing

65% confidence
Market Cap

1570.95B

P/E Fwd

25.3

ROE

34.2%

Margin

42.5%

Good opportunity (+32)
SNPS

SNPS

Synopsys Inc

65% confidence
Market Cap

83.22B

P/E Fwd

31.9

ROE

6.5%

Margin

31.0%

Good opportunity (+29)
AVGO

AVGO

Broadcom Inc.

65% confidence
Market Cap

1597.91B

P/E Fwd

36.8

ROE

27.1%

Margin

31.6%

Good opportunity (+28)
V

V

Visa Inc.

65% confidence
Market Cap

654.82B

P/E Fwd

26.3

ROE

51.8%

Margin

52.2%

Good opportunity (+28)
RDDT

RDDT

Reddit Inc - Class A

65% confidence
Market Cap

44.94B

P/E Fwd

74.6

ROE

10.1%

Margin

13.0%

Good opportunity (+28)
ABNB

ABNB

Airbnb Inc

65% confidence
Market Cap

72.36B

P/E Fwd

24.8

ROE

33.3%

Margin

22.7%

Good opportunity (+24)
NU

NU

Nu Holdings Ltd

65% confidence
Market Cap

72.49B

P/E Fwd

18.7

ROE

27.9%

Margin

39.3%

Good opportunity (+18)
MNMD

MNMD

Mind Medicine Inc

65% confidence
Market Cap

906.21M

P/E Fwd

n/a

ROE

-59.1%

Margin

0.0%

Good opportunity (+18)
AMZN

AMZN

Amazon

65% confidence
Market Cap

2347.03B

P/E Fwd

28.6

ROE

24.8%

Margin

10.5%

Good opportunity (+16)
MRVL

MRVL

Marvell Technology Inc.

65% confidence
Market Cap

74.33B

P/E Fwd

25.6

ROE

-0.8%

Margin

-1.4%

Good opportunity (+15)
GOOGL

GOOGL

Alphabet

65% confidence
Market Cap

2866.07B

P/E Fwd

23.3

ROE

34.8%

Margin

31.1%

Good opportunity (+15)
UBER

UBER

Uber Technologies Inc

65% confidence
Market Cap

196.20B

P/E Fwd

23.2

ROE

67.5%

Margin

26.7%

Good opportunity (+13)
KO

KO

The Coca-Cola Company

65% confidence
Market Cap

294.54B

P/E Fwd

20.5

ROE

42.4%

Margin

25.9%

Good opportunity (+13)
META

META

Meta

65% confidence
Market Cap

1797.94B

P/E Fwd

24.6

ROE

40.6%

Margin

40.0%

Good opportunity (+12)
MSFT

MSFT

Microsoft

65% confidence
Market Cap

3821.02B

P/E Fwd

33.3

ROE

33.3%

Margin

36.1%

Good opportunity (+12)
ANGO

ANGO

AngioDynamics Inc

65% confidence
Market Cap

458.55M

P/E Fwd

96.2

ROE

-17.1%

Margin

-10.7%

Good opportunity (+12)
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NBIS

NBIS

Nebius Group N.V.

65% confidence
Market Cap

34.02B

P/E Fwd

68.5

ROE

4.7%

Margin

97.7%

Good opportunity (+12)
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AA

AA

Alcoa Corp

65% confidence
Market Cap

9.64B

P/E Fwd

13.6

ROE

17.2%

Margin

7.9%

Good opportunity (+12)
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AMD

AMD

Advanced Micro Devices Inc

65% confidence
Market Cap

351.22B

P/E Fwd

28.6

ROE

4.7%

Margin

9.6%

Good opportunity (+12)
ARE

ARE

Alexandria Real Estate Equities Inc.

65% confidence
Market Cap

14.41B

P/E Fwd

16.7

ROE

0.8%

Margin

-0.3%

Neutral (+9)
PATH

PATH

Uipath Inc

65% confidence
Market Cap

9.10B

P/E Fwd

16.9

ROE

1.1%

Margin

1.4%

Neutral (+9)
DIS

DIS

Walt Disney Company

65% confidence
Market Cap

198.26B

P/E Fwd

17.6

ROE

11.5%

Margin

12.2%

Neutral (+8)
IONQ

IONQ

IONQ Inc

65% confidence
Market Cap

27.17B

P/E Fwd

n/a

ROE

-56.6%

Margin

0.0%

Neutral (+8)
AAPL

AAPL

Apple

65% confidence
Market Cap

3675.37B

P/E Fwd

32.0

ROE

149.8%

Margin

24.3%

Neutral (+5)
GE

GE

General Electric Company

65% confidence
Market Cap

312.81B

P/E Fwd

43.1

ROE

39.6%

Margin

18.6%

Neutral (+5)
IREN

IREN

Iris Energy Ltd

65% confidence
Market Cap

12.49B

P/E Fwd

56.5

ROE

6.0%

Margin

17.3%

Neutral (+5)
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BLK

BLK

BlackRock Inc.

65% confidence
Market Cap

182.04B

P/E Fwd

21.9

ROE

13.9%

Margin

29.7%

Neutral (+5)
HOOD

HOOD

Robinhood Markets Inc

65% confidence
Market Cap

125.02B

P/E Fwd

70.9

ROE

23.5%

Margin

50.1%

Neutral (-3)
HIMS

HIMS

Hims Hers Health Inc

65% confidence
Market Cap

12.19B

P/E Fwd

81.3

ROE

41.9%

Margin

9.6%

Neutral (-3)

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Detailed Analysis

NVDA

NVDA

NVIDIA

+33
Good opportunity65% conf.
Market Cap
4585.03B
52W Position
88%
Vol Ratio
0.00
Forward P/E
29.9
P/B
44.3
P/S
27.0
ROE
109.4%
Profit Margin
52.4%
EV/EBITDA
46.7
Revenue YoY
55.6%
EPS YoY
61.2%
Beta
2.12

Summary

Strong fundamentals support buying on pullbacks despite high 52-week range position. Score breakdown: RSI 50.43 (-0.17), +1.6% above MA50 (+4.8), +24.6% above MA200 (+15), 87.8% in 52W range (-15.1), volume -54% below avg (-5.4), forward P/E compression 44.4% (+22.2), 55.6% revenue growth (+22.2), 52.4% profit margin (+25.4), 92.2% analyst buy consensus (+13.1), +18.6% target upside (+7.4), bullish news sentiment 0.55 (+8.3). Fundamentals: Exceptional 55.6% revenue growth and 61.2% earnings growth justify forward P/E of 29.94, with 52.4% profit margin indicating high-quality business. Analyst consensus strongly bullish (92.2% buy) with $216.25 target (+18.6% upside). Technical: Price at $182.35 is +1.6% above MA50 ($179.5) and +24.6% above MA200 ($146.33), with RSI neutral at 50.43. High beta (2.123) requires wider stops but offers strong momentum potential. Current alerts are well-positioned; no replacement needed.

Technical Analysis

RSI 55.8 neutral to bullish. Golden cross pattern (bullish). 88% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 2.12) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

CMG

CMG

Chipotle Mexican Grill Inc.

+32
Good opportunity65% conf.
Market Cap
52.79B
52W Position
10%
Vol Ratio
0.76
Forward P/E
28.3
P/B
15.7
P/S
4.8
ROE
42.6%
Profit Margin
13.3%
EV/EBITDA
22.6
Revenue YoY
3.0%
EPS YoY
-3.0%
Beta
1.02

Summary

Stock shows mixed signals with strong analyst bullishness but declining growth metrics. Score breakdown: RSI 54.47 (-1.3), +0.1% above MA50 (+0.3), -16.3% below MA200 (-48.9), 9.9% in 52W range (+20), volume -70% below avg (-7), forward P/E compression 18.3% (+9.2), profit margin 13.3% (+2), revenue growth 3% (+1.2), earnings growth -3% (-1.1), analyst consensus 74% buy (+8.5), +38.9% target upside (+15.6), news sentiment +0.13 (+2). Fundamentals: Forward P/E 28.33 vs trailing 34.68 indicates expected earnings growth, but quarterly revenue growth 3% and earnings decline -3% YoY are concerning. Profit margin 13.3% and ROE 42.6% show operational efficiency. Analyst consensus strongly bullish (74% buy) with $57.09 target (+38.9% upside). Technical: Price at MA50 support ($41.06), deeply oversold at 9.9% of 52W range, but volume weak (-70%). Earnings in 5 days adds volatility risk.

Technical Analysis

RSI 49.9 neutral to bearish. Price above MA50 ($41.02). 10% in 52W range. Volume below average.

Risk & Strategy

Moderate volatility (β 1.02) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

PFE

PFE

Pfizer Inc

+32
Good opportunity65% conf.
Market Cap
135.60B
52W Position
61%
Vol Ratio
0.47
Forward P/E
7.6
P/B
1.6
P/S
2.2
ROE
12.2%
Profit Margin
16.8%
EV/EBITDA
5.5
Revenue YoY
10.3%
EPS YoY
6974.0%
Beta
0.46

Summary

PFE presents a compelling value opportunity with strong defensive characteristics. Score breakdown: RSI 47.18 (+1.1), -0.5% below MA50 (-1.5), +2.2% above MA200 (+6.6), 61% in 52W range (-4.4), volume -68% below avg (-6.8), forward P/E compression 39.4% (+19.7), PEG 0.95 (+5.5), profit margin 16.8% (+4.1), revenue growth 10.3% (+4.1), earnings growth 6974% (+12), analyst mixed consensus (+1.25), target upside 16.7% (+6.7), dividend yield 7.15% (+17.9), news sentiment +0.16 (+2.4). Fundamentals: Exceptional forward P/E compression (7.61 vs 12.55 trailing) signals strong earnings growth expectations, supported by 10.3% revenue growth and massive 6974% earnings growth. Technical: Price at $24.76 sits just below MA50 ($24.89) and above MA200 ($24.23), creating a consolidation pattern. Low beta (0.461) and high dividend yield (7.15%) provide significant downside protection. Analyst target $28.9 offers 16.7% upside potential. Earnings in 11 days adds near-term catalyst risk.

Technical Analysis

RSI 48.4 neutral to bearish. Price below MA50 ($24.88). 61% in 52W range. Volume significantly below average.

Risk & Strategy

Low volatility (β 0.46) - defensive characteristics. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

BULL

BULL

Webull Corporation

+32
Good opportunity65% conf.
Market Cap
7.09B
52W Position
3%
Vol Ratio
n/a
Forward P/E
n/a
P/B
-0.7
P/S
3.8
ROE
-0.1%
Profit Margin
0.7%
EV/EBITDA
n/a
Revenue YoY
30.8%
EPS YoY
n/a
Beta
-0.20

Summary

Stock is oversold with bullish sentiment but weak fundamentals. Score breakdown: RSI 36.17 (+5.5), position in 52W range 2.6% (+23.7), quarterly revenue growth 30.8% (+12.3), profit margin 0.68% (-5.6), operating margin 16.6% (+4.0), news sentiment 0.38 (+5.7), news buzz 2.0x (+1.2), beta -0.2 (+0.0). Fundamentals: Revenue growth 30.8% YoY is strong, but profit margin 0.68% is weak, indicating high risk; no analyst coverage reduces confidence. Technical: RSI 36.17 near oversold, MACD -0.77 below signal -0.62 (bearish but improving), price at 2.6% of 52W range suggests extreme oversold condition. News sentiment bullish (0.38) with high buzz (2.0x) supports upside. Earnings in 20 days (Nov 13) adds catalyst risk. Beta -0.2 allows conservative stops. Overall, entry opportunities exist due to oversold technicals and growth, but weak profitability necessitates caution.

Technical Analysis

RSI 41.1 neutral to bearish. 3% in 52W range.

Risk & Strategy

Low volatility (β -0.20) - defensive characteristics. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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BMRN

BMRN

Biomarin Pharmaceutical Inc

+32
Good opportunity65% conf.
Market Cap
10.23B
52W Position
13%
Vol Ratio
0.00
Forward P/E
10.8
P/B
1.7
P/S
3.4
ROE
11.6%
Profit Margin
21.4%
EV/EBITDA
10.7
Revenue YoY
15.9%
EPS YoY
124.3%
Beta
0.33

Summary

Stock presents strong fundamental value with defensive characteristics. Score breakdown: RSI 52.62 (-0.8), -1.5% below MA50 (-4.5), -9.6% below MA200 (-28.8), 13.5% in 52W range (+18.3), volume -72% below avg (-7.2), forward P/E compression 31.1% (+15.6), PEG 0.63 (+8.7), 21.4% profit margin (+6.8), 33.6% operating margin (+14.2), 15.9% revenue growth (+6.4), 124.3% earnings growth (+43.5), analyst consensus 81% bullish (+10.3), +73.9% target upside (+29.6), news sentiment +0.32 (+4.8). Fundamentals: Exceptional forward P/E compression (31.1%) and PEG ratio (0.63) indicate significant undervaluation relative to 124.3% earnings growth. Strong profitability (21.4% profit margin, 33.6% operating margin) and 81% analyst bullish consensus with $94.8 target (+73.9% upside) provide fundamental support. Technical: Defensive beta (0.33) allows tighter stops, positioned near 52-week lows (13.5%) with RSI neutral. Earnings in 3 days adds catalyst potential. Risk/Reward: Potential -10.6% risk vs 34.8% reward meets defensive beta minimums.

Technical Analysis

RSI 52.1 neutral to bullish. Death cross pattern (bearish). 13% in 52W range. Volume significantly below average.

Risk & Strategy

Low volatility (β 0.33) - defensive characteristics. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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BX

BX

Blackstone Group Inc

+32
Good opportunity65% conf.
Market Cap
194.25B
52W Position
50%
Vol Ratio
0.00
Forward P/E
25.5
P/B
14.6
P/S
8.9
ROE
28.8%
Profit Margin
21.2%
EV/EBITDA
n/a
Revenue YoY
42.5%
EPS YoY
69.1%
Beta
1.76

Summary

Stock is oversold with strong growth fundamentals but high volatility. Score breakdown: RSI 36.38 (+5.45), -8.5% below MA50 (-25.5), at MA200 (0), 42.5% revenue growth (+17), 69.1% earnings growth (+24.2), 21.2% profit margin (+6.72), 52.7% operating margin (+25.62), forward P/E compression 40.3% (+20.15), 2.77% dividend yield (+6.93), analyst consensus mixed (+1.25), +15.5% target upside (+6.2), 50.7% in 52W range (-0.26), bullish news sentiment (+5.4). Technical: RSI 36.38 oversold, price at MA200 support ($156.04). Fundamentals: Strong growth (42.5% revenue, 69.1% earnings) with high profitability (52.7% operating margin) justifies forward P/E compression. High beta (1.765) requires wider stops. News sentiment bullish (0.44) with 2.0x buzz supports recovery thesis.

Technical Analysis

RSI 36.0 neutral to bearish. Price below MA50 ($170.17). 50% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 1.76) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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CRM

CRM

Salesforce.com Inc

+32
Good opportunity65% conf.
Market Cap
236.81B
52W Position
21%
Vol Ratio
0.00
Forward P/E
18.9
P/B
4.0
P/S
6.2
ROE
11.2%
Profit Margin
16.9%
EV/EBITDA
20.7
Revenue YoY
9.8%
EPS YoY
33.3%
Beta
1.20

Summary

Stock shows strong fundamental growth with 33.3% earnings growth YoY and significant forward P/E compression (-47.7%), validating current valuation. Score breakdown: RSI 56.2 (-1.86), +3.6% above MA50 (+10.8), -6.4% below MA200 (-19.2), 20.1% in 52W range (+14.95), volume -71% below avg (-7.1), forward P/E compression 47.7% (+23.85), 33.3% earnings growth (+11.66), 16.9% profit margin (+4.14), 78% analyst buy consensus (+9.5), +31.4% target upside (+12.56). Technical setup: Price at $254.42, above MA50 ($245.65) but below MA200 ($271.95), creating a potential bounce zone. Low volume suggests lack of selling pressure. Analyst consensus strongly bullish with $334.38 target (+31.4% upside). Beta 1.195 requires R/R ≥2.0:1.

Technical Analysis

RSI 56.0 neutral to bullish. Price above MA50 ($246.09). 21% in 52W range. Volume significantly below average.

Risk & Strategy

Moderate volatility (β 1.20) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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MA

MA

Mastercard Inc.

+32
Good opportunity65% conf.
Market Cap
510.88B
52W Position
81%
Vol Ratio
n/a
Forward P/E
30.0
P/B
66.2
P/S
17.4
ROE
177.0%
Profit Margin
44.9%
EV/EBITDA
27.2
Revenue YoY
16.8%
EPS YoY
16.3%
Beta
0.99

Summary

Stock shows strong fundamentals with 44.9% profit margin and 16.8% revenue growth YoY, supporting the elevated trailing P/E of 38.16. Forward P/E compression of -21.3% to 30.03 indicates expected earnings acceleration. Analyst consensus is bullish with 72% buy ratings and $646.98 target (+15.3% upside). Technicals: RSI 41.96 is neutral, price above both MA50 ($553.42) and MA200 ($530.34), but position at 71.1% of 52-week range suggests limited near-term upside. Beta 0.989 allows standard risk parameters. News sentiment is neutral with no major catalysts. Risk/Reward context: 5.5% risk vs 7.1% reward (1.3:1) needs improvement for beta 0.989 (minimum 2.0:1 required).

Technical Analysis

RSI 42.0 neutral to bearish. Golden cross pattern (bullish). 81% in 52W range.

Risk & Strategy

Moderate volatility (β 0.99) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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ACN

ACN

Accenture plc

+32
Good opportunity65% conf.
Market Cap
151.04B
52W Position
12%
Vol Ratio
0.60
Forward P/E
17.6
P/B
4.9
P/S
2.2
ROE
25.5%
Profit Margin
11.0%
EV/EBITDA
12.4
Revenue YoY
7.3%
EPS YoY
-15.5%
Beta
1.28

Summary

Stock is oversold (11.9% in 52-week range) with strong forward P/E compression (-12.1%) and bullish analyst sentiment (62.5% buy ratings, $278.32 target +12.5% upside). Score breakdown: RSI 55.9 (-1.77), +0.8% above MA50 (+2.4), -16.3% below MA200 (-48.9), 11.9% in 52W range (+19.05), volume 21% of avg (-7.9), forward P/E compression 12.1% (+6.05), profit margin 11% (+0.6), revenue growth 7.3% (+2.92), earnings growth -15.5% (-5.43), analyst consensus +8.75, dividend yield 2.52% (+6.3), news sentiment +5.55. Despite declining quarterly earnings (-15.5% YoY), forward P/E compression and analyst targets suggest recovery potential. High beta (1.278) requires wider stops but amplifies upside.

Technical Analysis

RSI 53.3 neutral to bullish. Price above MA50 ($245.69). 12% in 52W range. Volume below average.

Risk & Strategy

Above-average volatility (β 1.28) - requires active management. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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TSM

TSM

Taiwan Semiconductor Manufacturing

+32
Good opportunity65% conf.
Market Cap
1570.95B
52W Position
90%
Vol Ratio
0.00
Forward P/E
25.3
P/B
1.7
P/S
3.6
ROE
34.2%
Profit Margin
42.5%
EV/EBITDA
0.7
Revenue YoY
38.6%
EPS YoY
60.7%
Beta
1.22

Summary

TSM exhibits strong fundamentals with exceptional profitability (42.5% profit margin, 49.6% operating margin) and high growth (38.6% revenue YoY, 60.7% earnings YoY). Forward P/E of 25.32 (-24% compression from trailing 33.32) validates earnings growth expectations. Analyst consensus is strongly bullish (15 of 16 analysts recommend buy/strong buy) with $307.65 target (+4.2% upside). Technicals show price at 90.9% of 52-week range (near highs), RSI 56.87 (neutral), above both MAs, and volume at 146% of average. High beta (1.216) justifies wider stops. Risk/Reward context shows potential risk 27.8% vs reward 5.5%, but fundamentals support pullback entries for long-term growth.

Technical Analysis

RSI 55.9 neutral to bullish. Golden cross pattern (bullish). 90% in 52W range. Volume significantly below average.

Risk & Strategy

Above-average volatility (β 1.22) - requires active management. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

SNPS

SNPS

Synopsys Inc

+29
Good opportunity65% conf.
Market Cap
83.22B
52W Position
34%
Vol Ratio
0.59
Forward P/E
31.9
P/B
3.1
P/S
11.2
ROE
6.5%
Profit Margin
31.0%
EV/EBITDA
63.5
Revenue YoY
14.0%
EPS YoY
-42.7%
Beta
1.10

Summary

Stock presents a mixed but opportunistic setup with strong profitability offset by declining earnings growth. Score breakdown: RSI 43.96 (+2.4), -8.1% below MA50 (-24.3), -6.2% below MA200 (-18.6), forward P/E compression 47.3% (+23.65), PEG ratio 6.18 (-10), 31% profit margin (+12.6), 14% revenue growth (+5.6), -42.7% earnings growth (-14.9), analyst consensus bullish (+7.5), +18% target upside (+7.2), 37% in 52W range (+6.5), volume -77% below avg (-5), news sentiment neutral (+1.2). Fundamentals: Strong 31% profit margin and 47.3% forward P/E compression indicate earnings growth expectations despite -42.7% quarterly earnings decline. Analyst consensus bullish (81.8% buy/hold) with $556.4 target (+18% upside). Technical: Oversold conditions with price below both MAs, RSI neutral at 43.96, and MACD negative but improving. Current price at 37% of 52W range offers attractive risk-reward profile.

Technical Analysis

RSI 47.0 neutral to bearish. Price below MA50 ($509.85). 34% in 52W range. Volume below average.

Risk & Strategy

Moderate volatility (β 1.10) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

AVGO

AVGO

Broadcom Inc.

+28
Good opportunity65% conf.
Market Cap
1597.91B
52W Position
92%
Vol Ratio
0.64
Forward P/E
36.8
P/B
6.0
P/S
27.8
ROE
27.1%
Profit Margin
31.6%
EV/EBITDA
48.8
Revenue YoY
16.4%
EPS YoY
188.1%
Beta
1.21

Summary

AVGO presents a mixed but fundamentally strong case for a buy intention. The stock is near 52-week highs (89.7% position) with moderate RSI (53.91), indicating it's not overbought yet. Key bullish fundamentals include: forward P/E of 36.76 (-57.7% compression vs trailing P/E of 86.98), signaling strong expected earnings growth; PEG ratio of 0.55 indicating undervaluation relative to growth; robust profitability (31.6% profit margin, 27.1% ROE); and solid quarterly earnings growth (188.1% YoY). Analyst sentiment is bullish (93% buy/hold) with a $370.36 target (+6% upside). However, high beta (1.208) and elevated valuation metrics (P/S 26.66, EV/EBITDA 51.35) suggest volatility and limited short-term upside. Risk/Reward context shows 29.3% potential risk vs 6.9% reward, but this can be optimized with strategic entries. News sentiment is neutral with a 2x buzz score, adding no major catalysts. Given the growth trajectory and strong fundamentals, pullbacks to key support levels offer the best entry opportunities with favorable risk/reward.

Technical Analysis

RSI 53.9 neutral to bullish. Golden cross pattern (bullish). 92% in 52W range. Volume below average.

Risk & Strategy

Above-average volatility (β 1.21) - requires active management. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

V

V

Visa Inc.

+28
Good opportunity65% conf.
Market Cap
654.82B
52W Position
72%
Vol Ratio
n/a
Forward P/E
26.3
P/B
17.8
P/S
16.5
ROE
51.8%
Profit Margin
52.2%
EV/EBITDA
24.0
Revenue YoY
14.3%
EPS YoY
12.1%
Beta
0.92

Summary

Visa demonstrates strong fundamentals with exceptional profitability (52.2% profit margin, 66.8% operating margin) and moderate growth (14.3% revenue, 12.1% earnings YoY). Forward P/E of 26.25 (-20.2% compression) validates expected earnings acceleration. Analyst sentiment is bullish (79% buy/hold ratings) with $390.3 target (+14.2% upside). Technical setup shows price at $341.83 (below MA50 at $344.88, above MA200 at $317.07) with RSI 64.29 approaching overbought. Beta 0.918 supports standard risk parameters. News sentiment is bullish (score 0.64) with positive fintech coverage. Risk/Reward context shows 7.2% risk vs 9.7% reward (1.35:1), slightly below 2.0:1 minimum for beta 0.8-1.2, but strong fundamentals and analyst targets provide conviction for pullback entries.

Technical Analysis

RSI 64.3 neutral to bullish. Golden cross pattern (bullish). 72% in 52W range.

Risk & Strategy

Moderate volatility (β 0.92) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

RDDT

RDDT

Reddit Inc - Class A

+28
Good opportunity65% conf.
Market Cap
44.94B
52W Position
61%
Vol Ratio
n/a
Forward P/E
74.6
P/B
15.9
P/S
21.7
ROE
10.1%
Profit Margin
13.0%
EV/EBITDA
304.9
Revenue YoY
77.7%
EPS YoY
17.6%
Beta
n/a

Summary

RDDT shows strong growth fundamentals with 77.7% revenue growth YoY and forward P/E compression (-30.6% vs trailing), indicating expected earnings acceleration. Profit margin of 13% is solid for a growth company, and analyst consensus is bullish-leaning with 59% buy ratings and $220.5 target (+11.9% upside). Technically, price is above both MA50 ($194.86) and MA200 ($155.8) with RSI at 67.26 (approaching overbought). News sentiment is neutral-to-bearish, but high growth and forward P/E compression support pullback entries. MA200 at $155.8 provides strong support for risk management.

Technical Analysis

RSI 67.3 neutral to bullish. Golden cross pattern (bullish). 61% in 52W range.

Risk & Strategy

Volatility data unavailable. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

ABNB

ABNB

Airbnb Inc

+24
Good opportunity65% conf.
Market Cap
72.36B
52W Position
43%
Vol Ratio
0.00
Forward P/E
24.8
P/B
10.0
P/S
6.9
ROE
33.3%
Profit Margin
22.7%
EV/EBITDA
27.3
Revenue YoY
12.7%
EPS YoY
1.6%
Beta
1.11

Summary

Stock shows mixed signals with strong fundamentals but neutral technical positioning. Score breakdown: RSI 59.73 (-2.9), +3.5% above MA50 (+10.5), -0.5% below MA200 (-1.5), 44.9% in 52W range (+2.6), 23% volume (-7.7), forward P/E compression 14% (+7), 22.7% profit margin (+7.6), 12.7% revenue growth (+5.1), 1.6% earnings growth (+0.6), analyst mixed consensus (+1.25), +7.2% target upside (+2.9), somewhat-bullish news sentiment (+4.8). Fundamentals: Strong 22.7% profit margin and 14% forward P/E compression support quality business, though growth is moderate (12.7% revenue, 1.6% earnings). Analyst consensus mixed with $137.97 target (+7.2% upside). Technical: Price near MA200 ($129.28) with RSI neutral at 59.73; volume low at 23% average suggests lack of momentum. Earnings in 13 days adds catalyst risk. Existing alerts (MA200 touch, forward P/E) remain valid; no significantly better alternatives found.

Technical Analysis

RSI 61.2 neutral to bullish. Price above MA50 ($124.37). 43% in 52W range. Volume significantly below average.

Risk & Strategy

Moderate volatility (β 1.11) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

NU

NU

Nu Holdings Ltd

+18
Good opportunity65% conf.
Market Cap
72.49B
52W Position
92%
Vol Ratio
0.46
Forward P/E
18.7
P/B
8.0
P/S
13.0
ROE
27.9%
Profit Margin
39.3%
EV/EBITDA
n/a
Revenue YoY
14.2%
EPS YoY
30.3%
Beta
1.09

Summary

Stock is near 52-week highs with limited immediate upside (analyst target +7.3%), but strong fundamentals provide support for pullback entries. Score breakdown: RSI 59.81 (+3.1), +7.0% above MA50 (+15), +25.4% above MA200 (+15), 95.7% in 52W range (-18.3), volume 1% of average (-5), forward P/E compression 42.4% (+21.2), 39.3% profit margin (+17.6), 14.2% revenue growth (+5.7), 30.3% earnings growth (+10.6), analyst consensus bullish (+5.6), +7.3% target upside (+2.9), somewhat-bullish news sentiment (+3.2). Strong fundamentals: exceptional 39.3% profit margin, 30.3% earnings growth, and significant forward P/E compression (-42.4%) validate growth trajectory. Technical: Near overbought territory at 95.7% of 52W range, but RSI 59.81 remains neutral. Beta 1.087 requires ≥2.0:1 Risk-Reward. Earnings in 20 days adds near-term catalyst.

Technical Analysis

RSI 59.8 neutral to bullish. Golden cross pattern (bullish). 92% in 52W range. Volume significantly below average.

Risk & Strategy

Moderate volatility (β 1.09) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

MNMD

MNMD

Mind Medicine Inc

+18
Good opportunity65% conf.
Market Cap
906.21M
52W Position
80%
Vol Ratio
0.00
Forward P/E
n/a
P/B
5.1
P/S
n/a
ROE
-59.1%
Profit Margin
0.0%
EV/EBITDA
-6.9
Revenue YoY
n/a
EPS YoY
n/a
Beta
3.31

Summary

Stock shows mixed signals with strong analyst bullishness but challenging technical positioning. Score breakdown: RSI 55.84 (-1.75), +17.6% above MA50 (+15), +54.6% above MA200 (+15), 81.8% in 52W range (-12.7), volume -78% below avg (-7.8), analyst consensus 100% buy (+15), +98.5% target upside (+39.4), news sentiment +0.34 (+5.1), ROE -59.1% (-8.9), Price to Book 5.02 (-5). Strong fundamentals: 100% analyst buy consensus with $24.91 target (+98.5% upside), somewhat-bullish news sentiment (0.34), and upcoming earnings catalyst. Technical challenges: High beta (3.312), overextended above MAs, low volume, and near 52-week highs. Risk-Reward context shows 35.3% potential risk vs 13.9% reward, requiring careful entry timing.

Technical Analysis

RSI 55.0 neutral to bullish. Golden cross pattern (bullish). 80% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 3.31) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

AMZN

AMZN

Amazon

+16
Good opportunity65% conf.
Market Cap
2347.03B
52W Position
77%
Vol Ratio
0.88
Forward P/E
28.6
P/B
7.2
P/S
3.5
ROE
24.8%
Profit Margin
10.5%
EV/EBITDA
17.5
Revenue YoY
13.3%
EPS YoY
33.3%
Beta
1.28

Summary

AMZN shows mixed signals with strong fundamentals but challenging technical positioning. Score breakdown: RSI 50.06 (+0.02), -0.3% below MA50 (-0.9), +4.9% above MA200 (+14.7), 77.9% in 52W range (-11.2), volume -54% below avg (-5.4), forward P/E compression 14.8% (+7.4), 33.3% earnings growth (+11.7), 10.5% profit margin (+0.3), analyst consensus 95.6% bullish (+13.9), +18.7% target upside (+7.5), news sentiment +0.17 (+2.6). Fundamentals: Strong earnings growth (33.3% YoY) validates forward P/E compression, with 95.6% analyst bullish consensus and $266.56 target (+18.7% upside). Technical: Price near 52-week highs (77.9% position) with low volume (-54% below average) suggesting lack of conviction. RSI neutral at 50.06. Earnings in 6 days adds near-term volatility. High beta (1.28) requires wider stops and minimum 2.5:1 risk-reward.

Technical Analysis

RSI 53.7 neutral to bullish. Price below MA50 ($225.14). 77% in 52W range. Volume below average.

Risk & Strategy

Above-average volatility (β 1.28) - requires active management. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

MRVL

MRVL

Marvell Technology Inc.

+15
Good opportunity65% conf.
Market Cap
74.33B
52W Position
44%
Vol Ratio
0.00
Forward P/E
25.6
P/B
5.3
P/S
9.8
ROE
-0.8%
Profit Margin
-1.4%
EV/EBITDA
35.1
Revenue YoY
57.6%
EPS YoY
-70.2%
Beta
1.94

Summary

MRVL presents a challenging setup for new long positions. Technicals show overbought RSI (75.55) with price above both MAs, indicating extended momentum. Fundamentals show mixed signals: strong revenue growth (57.6% YoY) supports the tech narrative, but declining earnings growth (-70.2% YoY) and negative profit margin (-1.43%) raise quality concerns. Analyst consensus is bullish (74% buy ratings) but target price of $87.23 offers no upside from current $87.95. High beta (1.94) amplifies risk, requiring strict R/R discipline. News sentiment is somewhat bullish but trade tensions create sector headwinds. Best opportunities lie in pullbacks to key support levels.

Technical Analysis

RSI 75.5 overbought. Price above MA50 ($74.79). 44% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 1.94) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

GOOGL

GOOGL

Alphabet

+15
Good opportunity65% conf.
Market Cap
2866.07B
52W Position
99%
Vol Ratio
1.00
Forward P/E
23.3
P/B
8.7
P/S
8.5
ROE
34.8%
Profit Margin
31.1%
EV/EBITDA
20.3
Revenue YoY
13.8%
EPS YoY
22.3%
Beta
1.00

Summary

GOOGL presents a mixed setup for a buy intention. Fundamentals are strong with 31% profit margin, 13.8% revenue growth, and 22.3% earnings growth YoY, supporting a forward P/E of 23.31 (-10.4% compression). Analyst sentiment is bullish (83% buy/hold), but the target price of $248.03 is 2.1% below the current price, limiting near-term upside. Technically, the stock is near 52-week highs (96.9% position) with RSI 64.9 approaching overbought, above both MAs. Volume is below average (82%), indicating weak momentum. The upcoming earnings in 9 days adds uncertainty. Given the high price position and modest growth, entry opportunities are limited to pullbacks or valuation dips.

Technical Analysis

RSI 67.0 neutral to bullish. Golden cross pattern (bullish). 99% in 52W range. Volume near average.

Risk & Strategy

Moderate volatility (β 1.00) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

UBER

UBER

Uber Technologies Inc

+13
Good opportunity65% conf.
Market Cap
196.20B
52W Position
83%
Vol Ratio
0.00
Forward P/E
23.2
P/B
8.7
P/S
4.2
ROE
67.5%
Profit Margin
26.7%
EV/EBITDA
37.5
Revenue YoY
18.2%
EPS YoY
35.5%
Beta
1.48

Summary

UBER presents a mixed picture with strong fundamentals but challenging technical positioning. Score breakdown: RSI 47.55 (+0.98), -0.7% below MA50 (-2.1), +12.3% above MA200 (+12.3), 82.9% in 52W range (-13.2), volume -100% below avg (-5), MACD negative (-2.1), forward P/E expansion 44.7% (-11.2), PEG 7.74 (-10), profit margin 26.7% (+10), revenue growth 18.2% (+7.3), earnings growth 35.5% (+12.4), analyst consensus bullish (+8.8), target upside 13.9% (+5.6), news sentiment +0.54 (+8.1). Fundamentals: Strong profitability (26.7% margin) with solid growth (18.2% revenue, 35.5% earnings), but forward P/E expansion from 16 to 23.2 raises valuation concerns. Technical: Near 52-week highs (82.9% position) with negative MACD and extremely low volume. Earnings in 5 days adds volatility risk. Analyst target $107.88 provides 13.9% upside, but high beta (1.48) requires careful risk management.

Technical Analysis

RSI 47.5 neutral to bearish. Price below MA50 ($95.40). 83% in 52W range. Volume significantly below average.

Risk & Strategy

Above-average volatility (β 1.48) - requires active management. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

KO

KO

The Coca-Cola Company

+13
Good opportunity65% conf.
Market Cap
294.54B
52W Position
74%
Vol Ratio
1.00
Forward P/E
20.5
P/B
10.5
P/S
6.4
ROE
42.4%
Profit Margin
25.9%
EV/EBITDA
18.7
Revenue YoY
1.4%
EPS YoY
57.3%
Beta
0.42

Summary

Defensive stock (beta 0.424) with strong fundamentals but currently overbought technically. Score breakdown: RSI 69.84 (-5.95), +3.4% above MA50 (+10.2), +2.7% above MA200 (+8.1), 76% in 52W range (-10.4), volume -98% below avg (-5), forward P/E compression 15.4% (+7.7), profit margin 25.9% (+9.54), dividend yield 2.94% (+7.35), analyst consensus bullish (+6.25), +10.8% target upside (+4.32). Fundamentals: Strong profitability (25.9% margin), forward P/E compression indicates expected earnings growth, analyst consensus bullish (88% buy/hold) with $77.49 target (+10.8% upside). Technical: Overbought RSI 69.84, near 52-week highs (76% position), low volume suggests lack of conviction. Strategy: Wait for healthy pullback to better entry levels with defensive characteristics providing downside protection.

Technical Analysis

RSI 69.8 neutral to bullish. Price above MA50 ($67.61). 74% in 52W range. Volume near average.

Risk & Strategy

Low volatility (β 0.42) - defensive characteristics. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

META

META

Meta

+12
Good opportunity65% conf.
Market Cap
1797.94B
52W Position
82%
Vol Ratio
0.76
Forward P/E
24.6
P/B
9.5
P/S
10.4
ROE
40.6%
Profit Margin
40.0%
EV/EBITDA
19.1
Revenue YoY
21.6%
EPS YoY
38.4%
Beta
1.20

Summary

META shows mixed signals with strong fundamentals but challenging technical positioning near 52-week highs. Score breakdown: RSI 51.47 (-0.44), -1.1% below MA50 (-3.3), +9.0% above MA200 (+27), 81% in 52W range (-12.4), volume -60% below avg (-6), forward P/E compression 5.2% (+2.6), 21.6% revenue growth (+8.64), 38.4% earnings growth (+13.44), 40% profit margin (+18), 86.8% analyst buy consensus (+11.7), +18% target upside (+7.2), neutral news sentiment (+0.9). Fundamentals: Exceptional 40% profit margin, strong 21.6% revenue growth, 38.4% earnings growth, and bullish analyst consensus (86.8% buy) with $867.61 target (+18% upside). Technical: Price at 81% of 52-week range suggests limited near-term upside, RSI neutral at 51.47, but MA200 at $674.54 provides strong support. Earnings in 5 days adds uncertainty. High beta (1.203) requires wider stops and minimum 2.5:1 Risk-Reward.

Technical Analysis

RSI 53.5 neutral to bullish. Price below MA50 ($742.78). 82% in 52W range. Volume below average.

Risk & Strategy

Above-average volatility (β 1.20) - requires active management. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

MSFT

MSFT

Microsoft

+12
Good opportunity65% conf.
Market Cap
3821.02B
52W Position
84%
Vol Ratio
0.00
Forward P/E
33.3
P/B
11.3
P/S
13.7
ROE
33.3%
Profit Margin
36.1%
EV/EBITDA
24.4
Revenue YoY
18.1%
EPS YoY
23.7%
Beta
1.02

Summary

Stock is near 52-week highs with mixed technical signals but strong fundamental backing. Score breakdown: RSI 56.64 (-2.0), +1.8% above MA50 (+5.4), +14.1% above MA200 (+14.1), 84.2% in 52W range (-13.7), volume 0% of average (0), MACD bullish crossover (+1.5), forward P/E compression 11.7% (+5.85), PEG 2.259 (-7.6), profit margin 36.1% (+15.7), revenue growth 18.1% (+7.2), earnings growth 23.7% (+8.3), analyst consensus 98% buy (+14.5), target upside 19.1% (+7.6), news sentiment +0.32 (+4.8), earnings in 5 days (-5). Fundamentals: Strong profitability (36% margin), moderate growth (18% revenue, 24% earnings), and overwhelming analyst bullishness (98% buy) support long-term thesis. Technical: RSI neutral at 56.64, price above both MAs, but near 52-week high resistance. Earnings in 5 days adds near-term uncertainty. Beta 1.023 requires minimum 2.0:1 Risk-Reward.

Technical Analysis

RSI 59.8 neutral to bullish. Golden cross pattern (bullish). 84% in 52W range. Volume significantly below average.

Risk & Strategy

Moderate volatility (β 1.02) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

ANGO

ANGO

AngioDynamics Inc

+12
Good opportunity65% conf.
Market Cap
458.55M
52W Position
83%
Vol Ratio
0.91
Forward P/E
96.2
P/B
2.9
P/S
1.7
ROE
-17.1%
Profit Margin
-10.7%
EV/EBITDA
-284.1
Revenue YoY
12.2%
EPS YoY
n/a
Beta
0.78

Summary

Stock shows mixed signals with strong analyst bullishness but weak fundamentals and overbought technicals. Score breakdown: RSI 64 (-4.2), +16.1% above MA50 (+15), +22.5% above MA200 (+15), 84.1% in 52W range (-13.6), volume -68% below avg (-6.8), forward P/E 96.15 (-20), profit margin -10.7% (-6.4), quarterly revenue growth 12.2% (+4.9), analyst consensus 100% buy (+15), +49.2% target upside (+19.7), news sentiment +0.22 (+3.3). Fundamentals: Weak profitability (profit margin -10.7%) and extremely high forward P/E (96.15) despite 12.2% revenue growth, but analyst consensus is strongly bullish (100% buy) with $18.5 target (+49.2% upside). Technical: Price at $12.4 is 84.1% of 52-week range (near highs), RSI 64 (approaching overbought), volume -68% below average indicates lack of momentum. Defensive beta (0.778) allows for tighter stops. Existing alerts (rsi_limit at 50, ma_touch_below at MA200) are still valid as they target pullbacks to better entry points.

Technical Analysis

RSI 68.1 neutral to bullish. Golden cross pattern (bullish). 83% in 52W range. Volume near average.

Risk & Strategy

Low volatility (β 0.78) - defensive characteristics. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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NBIS

NBIS

Nebius Group N.V.

+12
Good opportunity65% conf.
Market Cap
34.02B
52W Position
81%
Vol Ratio
0.96
Forward P/E
68.5
P/B
7.4
P/S
105.3
ROE
4.7%
Profit Margin
97.7%
EV/EBITDA
-110.3
Revenue YoY
770.0%
EPS YoY
n/a
Beta
1.19

Summary

Stock shows mixed signals with strong growth fundamentals but challenging technical positioning. Score breakdown: RSI 47.04 (+1.2), +19.6% above MA50 (+15), +118.9% above MA200 (+15), 78.8% in 52W range (-11.5), volume -36% below avg (-3.6), forward P/E compression 61.1% (+30.6), 97.7% profit margin (+52.6), 770% revenue growth (+15), analyst consensus bullish (+6.25), +36.1% target upside (+14.4), news sentiment +0.24 (+3.6). Fundamentals: Exceptional 770% revenue growth and 97.7% profit margin support high valuation, with forward P/E of 68.49 showing 61.1% compression from trailing P/E 175.92. Analyst consensus bullish with $156.4 target (+36.1% upside). Technical: Price at 78.8% of 52-week range near highs, RSI neutral at 47.04, but MACD bearish (2.86 below signal 7.35). Earnings in 13 days adds volatility risk. Beta 1.194 requires R/R ≥2.0:1.

Technical Analysis

RSI 54.8 neutral to bullish. Golden cross pattern (bullish). 81% in 52W range. Volume near average.

Risk & Strategy

Moderate volatility (β 1.19) - balanced risk profile. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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AA

AA

Alcoa Corp

+12
Good opportunity65% conf.
Market Cap
9.64B
52W Position
72%
Vol Ratio
0.00
Forward P/E
13.6
P/B
1.7
P/S
0.8
ROE
17.2%
Profit Margin
7.9%
EV/EBITDA
4.3
Revenue YoY
3.9%
EPS YoY
463.6%
Beta
2.20

Summary

Stock shows mixed signals with high beta (2.197) and technical overbought conditions, but fundamental valuation remains attractive. Score breakdown: RSI 64.07 (-4.2), +18.3% above MA50 (+15), +26.1% above MA200 (+15), 69.4% in 52W range (-7.8), volume 89% of average (-1.1), forward P/E expansion 54.8% (-10.96), profit margin 7.86% (-1.28), quarterly earnings growth 463.6% (+12), analyst consensus bullish lean (+2.5), target price -0.4% downside (-0.16), news sentiment somewhat-bullish (+2.55). Fundamentals: Low trailing P/E (8.78) and PEG (-0.29) indicate undervaluation, but forward P/E expansion to 13.59 signals earnings decline risk. Technical: RSI 64.07 near overbought, price well above MAs, suggesting pullback needed for better entry. High beta necessitates wider stops and strict risk-reward compliance (minimum 3.0:1). Existing alerts at $35.50 and MA50 $33.11 are reasonable; recommend adding alerts for deeper pullbacks to improve risk-reward.

Technical Analysis

RSI 61.5 neutral to bullish. Golden cross pattern (bullish). 72% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 2.20) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

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AMD

AMD

Advanced Micro Devices Inc

+12
Good opportunity65% conf.
Market Cap
351.22B
52W Position
91%
Vol Ratio
0.00
Forward P/E
28.6
P/B
6.5
P/S
13.1
ROE
4.7%
Profit Margin
9.6%
EV/EBITDA
63.7
Revenue YoY
31.7%
EPS YoY
233.6%
Beta
1.89

Summary

AMD shows strong fundamental growth with 31.7% revenue and 233.6% earnings growth YoY, justifying its high trailing P/E of 129.59 through forward P/E compression of 78% to 28.57 and a PEG ratio of 0.525 (undervalued relative to growth). However, technicals indicate overbought conditions: price at 104.6% of 52-week range, RSI 67.43 near overbought, and analyst target price of $230.11 implies -8.1% downside from current $250.47. Score breakdown: RSI 67.43 (-5.2), +38.4% above MA50 (+15), +85.2% above MA200 (+15), 31.7% revenue growth (+12.7), 233.6% earnings growth (+12), 9.57% profit margin (-0.3), forward P/E compression 78% (+39), analyst consensus bullish (+6.25), -8.1% target downside (-3.2), 104.6% in 52W range (-21.8), volume -24% below avg (-2.4), news sentiment +0.5 (+7.5). High beta (1.894) requires strict risk management. Existing RSI 50 alert is reasonable; adding forward P/E and MA touch alerts for better entry diversity.

Technical Analysis

RSI 73.1 overbought. Golden cross pattern (bullish). 91% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 1.89) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Target min 2.5:1 risk/reward ratio. Wait for confirmation.

ARE

ARE

Alexandria Real Estate Equities Inc.

+9
Neutral65% conf.
Market Cap
14.41B
52W Position
28%
Vol Ratio
0.74
Forward P/E
16.7
P/B
0.8
P/S
4.3
ROE
0.8%
Profit Margin
-0.3%
EV/EBITDA
7.3
Revenue YoY
-1.8%
EPS YoY
648.0%
Beta
1.31

Summary

Stock shows mixed signals with strong dividend yield but weak fundamentals. Score breakdown: RSI 44 (+2.4), -3.0% below MA50 (-9), -3.8% below MA200 (-11.4), 28% in 52W range (+11), volume -80% below avg (-5), forward P/E 16.69 (+0), PEG 844.2 (-10), -1.8% revenue growth (-0.72), 648% earnings growth (+12), 20.4% operating margin (+6.24), 6.27% dividend yield (+15.675), analyst mixed consensus (+1.25), +25.8% target upside (+10.32), neutral news sentiment (+0.3). Fundamentals: Declining revenue growth (-1.8% YoY) and negative profit margin (-0.33%) raise concerns, though high dividend yield (6.27%) provides income cushion. Analyst target $97.69 (+25.8% upside) offers potential, but earnings in 3 days adds uncertainty. Technical: Oversold at 28% of 52W range, below both MAs, low volume suggests lack of conviction. High beta (1.311) requires wider stops.

Technical Analysis

RSI 46.2 neutral to bearish. Death cross pattern (bearish). 28% in 52W range. Volume below average.

Risk & Strategy

Above-average volatility (β 1.31) - requires active management. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

PATH

PATH

Uipath Inc

+9
Neutral65% conf.
Market Cap
9.10B
52W Position
76%
Vol Ratio
0.91
Forward P/E
16.9
P/B
5.3
P/S
6.0
ROE
1.1%
Profit Margin
1.4%
EV/EBITDA
-535.4
Revenue YoY
14.4%
EPS YoY
60.4%
Beta
1.07

Summary

Mixed signals with strong forward P/E compression but weak current profitability and negative analyst sentiment. Score breakdown: RSI 55.07 (-1.5), +28.1% above MA50 (+15), +32.5% above MA200 (+15), 14.4% revenue growth (+5.8), 60.4% earnings growth (+21.1), 1.35% profit margin (-5.2), -5.19% operating margin (-3.1), forward P/E compression 97% (+48.5), PEG 0.482 (+10.2), analyst target -18.7% downside (-7.5), 76.5% in 52W range (-10.6), volume 117% (+1.7), news sentiment +0.34 (+5.1). Fundamentals: Strong forward P/E compression (571→17) and PEG ratio 0.48 indicate growth expectations, but weak profitability (1.35% margin) and negative analyst target ($13.44 vs current $16.54) create headwinds. Technical: Price extended above MAs (28-33% above), RSI neutral at 55, MACD bearish crossover imminent. High 52W position suggests limited near-term upside.

Technical Analysis

RSI 60.3 neutral to bullish. Golden cross pattern (bullish). 76% in 52W range. Volume near average.

Risk & Strategy

Moderate volatility (β 1.07) - balanced risk profile. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

DIS

DIS

Walt Disney Company

+8
Neutral65% conf.
Market Cap
198.26B
52W Position
74%
Vol Ratio
0.00
Forward P/E
17.6
P/B
1.9
P/S
2.2
ROE
11.5%
Profit Margin
12.2%
EV/EBITDA
10.2
Revenue YoY
2.1%
EPS YoY
104.2%
Beta
1.54

Summary

Stock shows mixed signals with neutral technicals and modest fundamental support. Score breakdown: RSI 50.55 (-0.17), -2.2% below MA50 (-6.6), +2.2% above MA200 (+6.6), 72.1% in 52W range (-8.85), volume -80% below avg (-8), forward P/E expansion 1.9% (-0.95), PEG 0.889 (+6.1), 12.2% profit margin (+1.32), 104% earnings growth (+12), 2.1% revenue growth (+0.84), analyst consensus bullish (+7.5), +19.4% target upside (+7.76), neutral news sentiment (+1.8). Fundamentals: Strong earnings growth (104% YoY) but modest revenue growth (2.1%) and forward P/E expansion (17.61 vs 17.28) suggest earnings quality concerns. Technical: Neutral RSI (50.55), price between MA50 ($114.68) and MA200 ($109.73), low volume indicates lack of conviction. High beta (1.542) requires wider stops. Analyst target $133.97 provides clear upside catalyst.

Technical Analysis

RSI 45.7 neutral to bearish. Price below MA50 ($114.59). 74% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 1.54) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

IONQ

IONQ

IONQ Inc

+8
Neutral65% conf.
Market Cap
27.17B
52W Position
67%
Vol Ratio
0.00
Forward P/E
n/a
P/B
14.3
P/S
267.2
ROE
-56.6%
Profit Margin
0.0%
EV/EBITDA
-80.1
Revenue YoY
81.8%
EPS YoY
n/a
Beta
2.60

Summary

IONQ presents a high-risk, high-reward growth opportunity with mixed signals. Score breakdown: RSI 44.59 (+2.2), +8.2% above MA50 (+24.6), +53.8% above MA200 (+53.8), 67.9% in 52W range (-7.2), volume -32% below avg (-3.2), quarterly revenue growth 81.8% (+32.7), operating margin -776% (-46.6), analyst consensus bullish (+3.75), +4.2% target upside (+1.7), news sentiment +0.48 (+7.2). Fundamentals: Exceptional 81.8% revenue growth supports the speculative valuation (P/S 518.73), but negative operating margins (-776%) and high beta (2.602) indicate significant risk. Analyst consensus is bullish with $64.62 target (+4.2% upside), and news sentiment is positive (0.48). Technicals: RSI 44.59 is neutral, price is above both MAs (MA50 $57.34, MA200 $40.35), but volume is below average (-32%). Earnings in 12 days adds near-term volatility. Given the high beta, minimum Risk-Reward of 3.0:1 is required.

Technical Analysis

RSI 45.6 neutral to bearish. Golden cross pattern (bullish). 67% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 2.60) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

AAPL

AAPL

Apple

+5
Neutral65% conf.
Market Cap
3675.37B
52W Position
94%
Vol Ratio
0.00
Forward P/E
32.0
P/B
58.6
P/S
9.6
ROE
149.8%
Profit Margin
24.3%
EV/EBITDA
25.9
Revenue YoY
9.6%
EPS YoY
12.1%
Beta
1.09

Summary

Stock is near 52-week highs with mixed signals. Score breakdown: RSI 61.13 (-3.4), +8.0% above MA50 (+15), +18.5% above MA200 (+15), 97.8% in 52W range (-19.1), volume -67% below avg (-6.7), forward P/E compression 14.7% (+7.35), profit margin 24.3% (+8.6), revenue growth 9.6% (+3.8), earnings growth 12.1% (+4.2), analyst consensus bullish lean (+2.5), target price -5.7% downside (-2.3), news sentiment +0.38 (+5.7). Fundamentals: Strong profitability (24.3% margin) and moderate growth (9.6% revenue, 12.1% earnings) support quality, but forward P/E 32.05 remains elevated with PEG 2.466. Analyst target $248.12 suggests -5.7% downside from current $263.12. Technical: RSI 61.13 neutral, price well above MAs, but volume is 33% of average indicating weak momentum. Earnings in 6 days adds uncertainty. Best opportunities are on pullbacks to better risk/reward levels.

Technical Analysis

RSI 64.2 neutral to bullish. Golden cross pattern (bullish). 94% in 52W range. Volume significantly below average.

Risk & Strategy

Moderate volatility (β 1.09) - balanced risk profile. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

GE

GE

General Electric Company

+5
Neutral65% conf.
Market Cap
312.81B
52W Position
92%
Vol Ratio
1.01
Forward P/E
43.1
P/B
16.8
P/S
7.8
ROE
39.6%
Profit Margin
18.6%
EV/EBITDA
30.1
Revenue YoY
21.2%
EPS YoY
64.1%
Beta
1.48

Summary

Stock is near 52-week highs with mixed signals. Score breakdown: RSI 60.21 (-3.06), +6.3% above MA50 (+15), +29.3% above MA200 (+15), 93.5% in 52W range (-17.4), volume -82% below avg (-8.2), forward P/E expansion 2.6% (-1.3), PEG 5.75 (-42.5), 18.6% profit margin (+5.16), 21.2% revenue growth (+8.48), 64.1% earnings growth (+12), analyst consensus bullish (+6.25), target price -0.2% downside (-0.08), news sentiment +0.53 (+7.95). Fundamentals show strong growth (21.2% revenue, 64.1% earnings) but valuation is expensive (PEG 5.75, forward P/E expansion). Analyst target at $305.71 provides no upside from current $306.3. High beta (1.479) requires careful risk management. Existing price_below alert at $280 remains valid for better entry.

Technical Analysis

RSI 57.1 neutral to bullish. Golden cross pattern (bullish). 92% in 52W range. Volume near average.

Risk & Strategy

Above-average volatility (β 1.48) - requires active management. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

IREN

IREN

Iris Energy Ltd

+5
Neutral65% conf.
Market Cap
12.49B
52W Position
84%
Vol Ratio
0.83
Forward P/E
56.5
P/B
8.9
P/S
26.9
ROE
6.0%
Profit Margin
17.3%
EV/EBITDA
61.9
Revenue YoY
223.3%
EPS YoY
42.9%
Beta
4.04

Summary

Stock shows mixed signals with strong growth fundamentals but concerning technical and valuation positioning. Score breakdown: RSI 54.83 (+0.7), +50.8% above MA50 (+15), +237.5% above MA200 (+15), 80.6% in 52W range (-12.2), volume -29% below avg (-2.9), forward P/E compression 47.1% (+23.55), PEG ratio 4.055 (-25.6), 17.3% profit margin (+4.4), 223.3% revenue growth (+15), 42.9% earnings growth (+12), analyst consensus bullish (+2.5), -21% target downside (-8.4), news sentiment -0.21 (-3.15). Fundamentals: Exceptional 223% revenue growth supports forward P/E compression from 106.8 to 56.5, but PEG ratio of 4.1 indicates overvaluation relative to growth. Profit margin of 17.3% is solid but operating margin of 7.6% suggests high costs. Analyst consensus is bullish (10 of 12 buy ratings) but target price of $48 implies 21% downside from current $60.79, creating a fundamental disconnect. Technical: Price is extended at +50.8% above MA50 and +237.5% above MA200, with RSI neutral at 54.8. Volume is 29% below average, indicating lack of momentum. High beta of 4.0 demands strict risk management. News sentiment is somewhat bearish (-0.21) despite high buzz, with mixed headlines on crypto/AI expansion.

Technical Analysis

RSI 61.8 neutral to bullish. Golden cross pattern (bullish). 84% in 52W range. Volume below average.

Risk & Strategy

High volatility (β 4.04) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

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BLK

BLK

BlackRock Inc.

+5
Neutral65% conf.
Market Cap
182.04B
52W Position
82%
Vol Ratio
0.81
Forward P/E
21.9
P/B
3.6
P/S
8.1
ROE
13.9%
Profit Margin
29.7%
EV/EBITDA
21.3
Revenue YoY
12.9%
EPS YoY
2.0%
Beta
1.46

Summary

Stock shows mixed signals with strong fundamentals but challenging technical setup. Score breakdown: RSI 43.02 (+2.8), -0.1% below MA50 (-0.3), +11.4% above MA200 (+11.4), 81.8% in 52W range (-12.7), volume -51% below avg (-5.1), forward P/E compression 21.5% (+10.75), profit margin 29.7% (+11.8), revenue growth 12.9% (+5.2), earnings growth 2% (+0.7), analyst consensus bullish (+8.75), target upside 3.5% (+1.4), news sentiment neutral (+0.6). Fundamentals: Strong profitability (29.7% margin) with moderate growth (12.9% revenue, 2% earnings) and bullish analyst consensus (81% buy ratings). Forward P/E compression (-21.5%) indicates expected earnings growth. Technical: Price near 52-week highs (81.8% position) with RSI neutral (43.02) and volume significantly below average (-51%). High beta (1.463) requires careful risk management with minimum 3.0:1 risk-reward.

Technical Analysis

RSI 46.6 neutral to bearish. Price below MA50 ($1138.22). 82% in 52W range. Volume below average.

Risk & Strategy

Above-average volatility (β 1.46) - requires active management. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

HOOD

HOOD

Robinhood Markets Inc

-3
Neutral65% conf.
Market Cap
125.02B
52W Position
89%
Vol Ratio
0.77
Forward P/E
70.9
P/B
15.4
P/S
34.6
ROE
23.5%
Profit Margin
50.1%
EV/EBITDA
905.2
Revenue YoY
45.0%
EPS YoY
100.0%
Beta
2.43

Summary

Stock shows mixed signals with strong fundamentals but challenging technical positioning. Score breakdown: RSI 45.46 (+1.8), +12.6% above MA50 (+15), +76.2% above MA200 (+15), 87.8% in 52W range (-15.1), volume 4% of average (-4.8), forward P/E compression -0.7% (-0.35), 50.1% profit margin (+24.1), 45% revenue growth (+18), 100% earnings growth (+12), analyst consensus bullish lean (+3.75), target price -4.5% downside (-1.8), news sentiment +0.43 (+6.5). Strong fundamentals: exceptional 50% profit margin, 45% revenue growth, 100% earnings growth support high valuation. Technical challenges: near 52-week highs (87.8%), low volume (4% average), and analyst target below current price. High beta (2.43) requires aggressive risk management. Earnings in 5 days adds uncertainty.

Technical Analysis

RSI 45.5 neutral to bearish. Golden cross pattern (bullish). 89% in 52W range. Volume below average.

Risk & Strategy

High volatility (β 2.43) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

HIMS

HIMS

Hims Hers Health Inc

-3
Neutral65% conf.
Market Cap
12.19B
52W Position
56%
Vol Ratio
0.00
Forward P/E
81.3
P/B
19.6
P/S
5.3
ROE
41.9%
Profit Margin
9.6%
EV/EBITDA
76.1
Revenue YoY
72.6%
EPS YoY
197.9%
Beta
2.25

Summary

Mixed signals with strong growth offset by concerning valuation and analyst skepticism. Score breakdown: RSI 42.84 (+2.9), -2.3% below MA50 (-6.9), +9.2% above MA200 (+9.2), 57.9% in 52W range (-3.2), volume -76% below avg (-7.6), forward P/E expansion 17.3% (-8.7), PEG 5.23 (-37.3), profit margin 9.61% (-0.2), revenue growth 72.6% (+29), earnings growth 197.9% (+12), analyst consensus mixed (-3.8), -5.1% target downside (-2), news sentiment +0.22 (+3.3). Fundamentals: Exceptional revenue growth (72.6% YoY) and earnings growth (197.9% YoY) support momentum thesis, but forward P/E expansion to 81.3 (vs trailing 69.3) and extremely high PEG ratio (5.23) indicate overvaluation. Analyst consensus mixed with target price $47.42 (-5.1% downside) suggests limited near-term upside. Technical: RSI neutral at 42.84, price between MA50 ($51.17) and MA200 ($45.79), volume extremely low (24% of average) indicating lack of conviction. High beta (2.253) requires strict risk management. Earnings in 10 days adds event risk.

Technical Analysis

RSI 43.3 neutral to bearish. Price below MA50 ($51.20). 56% in 52W range. Volume significantly below average.

Risk & Strategy

High volatility (β 2.25) - aggressive stock requiring wider stops. Moderate confidence suggests reduced position size. Tight risk management essential. Consider trailing stops.

How Our AI Analysis Works

Our insights use an AI-powered scoring system that synthesizes technical, fundamental, and sentiment analysis to identify optimal entry and exit points. Each stock is evaluated across multiple dimensions:

Technical Analysis

  • RSI (Relative Strength Index) - oversold/overbought conditions
  • Moving Averages (MA50, MA200) - trend strength and support/resistance
  • MACD crossovers - momentum shifts
  • Volume patterns - institutional interest (150%+ surge = high conviction)
  • 52-week positioning - value vs. extended zones

Fundamental Quality

  • Valuation: Forward P/E compression, PEG ratio, EV/EBITDA relative to sector
  • Profitability: Profit margins (20%+ = high quality), margin expansion trends
  • Growth: Revenue/earnings YoY (30%+ = high-growth momentum)
  • Analyst Consensus: Buy ratings, target price vs. current (20%+ upside weighted highly)
  • Risk Profile: Beta (volatility), dividend yield for defensive stocks

AI Scoring Framework

Stocks receive an additive score from -100 to +100 based on:

  • Technical signals: RSI extremes (±15), MA positioning (±10), MACD crossovers (±10)
  • Fundamental strength: Margin quality (+12), growth rates (+15), valuation (±15)
  • Analyst consensus: Strong buy ratings (+12), target price upside (+10)
  • Market position: Deep value (<25% of 52W range = +20), extended (>85% = -15)

Score labels: Strong (≥50), Moderate (20-49), Neutral (-19 to 19), Weak (≤-20)

Confidence scores reflect data completeness and AI signal strength (Strong/Moderate/Weak). The AI validates high P/E with forward P/E compression, checks for margin trends, and integrates upcoming earnings catalysts.

Important Disclaimer: This is not financial advice. Our AI analysis provides research insights based on quantitative metrics and technical patterns. It cannot predict market movements or guarantee results. All investment decisions should be made based on your own research, risk tolerance, and consultation with licensed financial professionals. Stock logos powered by Elbstream.