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Symbol Company Name Rating Recommendation Evaluation from GPT Action Time
TTOO T2 Biosystems Inc 40 Negative T2 Biosystems Inc (TTOO) is trading at a price of $1.44 per share. The stock has a 52-week range of $1.38 to $8.65, indicating significant volatility. The stock's year-to-date performance has been negative, with a year change of -79.72%. The market capitalization of the company is $25.17 million, suggesting it is a small-cap stock. The stock's average daily trading volume is around 352,520 shares, indicating moderate liquidity. The company's financial health can be rated as fair to poor as it has reported consecutive annual losses. It is important to note that TTOO's stock price is currently trading below the 50-day and 200-day moving averages, indicating a short-term and long-term downtrend. Considering the overall financial performance, volatility, and market trends, I would rate TTOO with a rating of 40 out of 100, suggesting a below-average investment opportunity. Therefore, the sentiment is negative, indicating it may not be worth investing in TTOO at the moment.

2024-10-16 02:03:14
RXRX Recursion Pharmaceuticals Inc - Class A 40 Negative Recursion Pharmaceuticals Inc (RXRX) is a pharmaceutical company listed on the NASDAQ exchange. The stock has had a volatile performance over the past year, with a year change of 0.03, a year high of $15.74, and a year low of $4.97. The stock is currently trading at $6.67, which is below its 200-day moving average of $8.85, indicating a potential downward trend. The stock has a market capitalization of $1.94 billion with a relatively low average trading volume of 4.94 million shares over the past three months. Considering the company's financial indicators and recent performance, the sentiment is negative and the rating is 40.

2024-10-16 02:20:31
AZTA Azenta Inc 40 Negative Azenta Inc (AZTA) is a publicly traded equity on the NASDAQ Stock Market under the ticker symbol AZTA. The company operates in the technology sector and specializes in providing enterprise software solutions. The stock's current market price is $45.00 with a market capitalization of $2,201,202,000. AZTA has a year high of $69.16 and a year low of $43.66. The stock's year change is -8.65%, indicating a decline in value over the past year. The fifty-day average price is $49.14, while the two-hundred-day average is $55.98, suggesting a downward trend. The stock's trading volume is relatively low, with an average three-month volume of 568,441 shares. Overall, the stock's performance has been weak, and it might not be a suitable investment option for risk-averse investors.

2024-10-16 02:48:14
ACAD Acadia Pharmaceuticals Inc 40 Negative ACAD is a pharmaceutical company that is currently trading at a lower price compared to its 200-day average, indicating potential undervaluation. The stock has experienced a negative year change, indicating a decline in performance over the past year. The market capitalization of ACAD is around $2.47 billion, suggesting it is a mid-cap stock. The average trading volume for the past three months is relatively low, indicating lower investor interest compared to the average. ACAD has a 52-week high of $32.59, while the current price is around $14.91, showing a significant drop in value. Considering the decrease in value, negative year change, and lower trading volume, it is crucial to conduct further research and analysis before making any investment decisions.

2024-10-16 02:49:38
LPL LG Display Co Ltd 40 Negative LG Display Co Ltd (LPL) is currently trading at $3.76, with a market capitalization of $3.76 billion. The stock has a 52-week range of $3.45 to $5.66, and a year-to-date change of -15.58%. The day high and low prices are $3.91 and $3.76, respectively. LPL has a fifty-day average of $3.95 and a two-hundred-day average of $4.15. The stock volume is 250,400, and the average volume over ten days and three months is 179,770 and 168,803, respectively.

Based on these indicators, the stock's performance has been relatively weak, with a negative year-to-date change and trading below both the fifty-day and two-hundred-day averages. This suggests that the stock may be facing downward pressure. Additionally, the average trading volume is relatively low, indicating lower market interest in the stock.

Considering the limited information available and the stock's weak performance, the sentiment towards investing in LPL is negative. Therefore, investing in this stock at the moment may not be advisable.

Rating: 40


2024-10-16 02:51:52
PKX POSCO Holdings Inc 40 Negative POSCO Holdings Inc (PKX) is a publicly traded company listed on the NYSE exchange. The stock's recent performance has been lackluster, with a year change of -0.29% and a current price of $63.33. The stock has a 52-week range of $58.00 to $98.00, indicating high volatility in the past year. The company's market capitalization is $19.60 billion. The fifty-day average price is $65.45, which is slightly higher than the current price, indicating a downward trend. The two-hundred-day average price is $72.75, suggesting a downward overall trend in the long term. The company's shares are actively traded with an average daily volume of 336,300. Based on these factors, the sentiment towards investing in PKX is Negative.

2024-10-16 03:10:54
TSLL Direxion Daily TSLA Bull 1.5X Shares 40 Negative Direxion Daily TSLA Bull 1.5X Shares (TSLL) is an exchange-traded fund (ETF) that aims to deliver 1.5 times the daily performance of the Solactive Electric Vehicles and Future Mobility Index. Based on the financial indicators, TSLL has a dayHigh of $9.95 and a dayLow of $9.33. The stock has been trading below its fifty-day average of $10.60, indicating a short-term downward trend. The year change is -39.52%, suggesting that TSLL has significantly declined in value over the past year. The stock's year high was $16.85, while its year low was $4.94. With a previous close of $9.50, the stock is currently priced at $9.55, slightly above the previous day's close. Given the downward trend and negative year change, it is recommended to approach investing in TSLL with caution.

2024-10-16 03:11:30
BYND Beyond Meat Inc 40 Negative Beyond Meat Inc (BYND) is a plant-based meat substitute company. As of the end of the trading day, the stock price for BYND was $5.14. The stock has a yearHigh of $12.12 and a yearLow of $5.00. The company has a market capitalization of $345.58 million. BYND has seen a negative year change of -22.94%, indicating a decline in value over the past year. The stock's fifty-day average is $6.27 and the two-hundred-day average is $6.83. The trading volume for the stock has been relatively low in the past three months, with an average of 2.25 million shares traded. Based on these indicators, the stock appears to be in a downward trend and does not seem to be a good investment option at the moment.

2024-11-17 16:09:21
OPEN Opendoor Technologies Inc 40 Negative Opendoor Technologies Inc. (OPEN) has seen a decline in its stock price, with a year change of -33.60% and a year low of $1.58. The stock is currently trading at $1.66. The market cap stands at $1,187,016,202. OPEN has a fifty-day average of $1.93 and a two-hundred-day average of $2.28, indicating a downward trend. The stock's trading volume has been relatively high, with an average of 34,597,900 shares traded over the past three months. Overall, the performance of OPEN has been weak, and the stock is currently trading close to its year low.

2024-11-17 16:13:34
NVAX Novavax Inc 40 Negative Novavax Inc (NVAX) is a biotechnology company that focuses on the discovery, development, and commercialization of innovative vaccines. The company has a market capitalization of $1.17 billion and operates in the equity market under the ticker symbol NVAX. The stock's year-to-date change is positive at 28.42%.

However, the stock's performance in the short term has been relatively weak, with the price trading below its 50-day and 200-day moving averages. The stock has a 52-week high of $23.86 and a 52-week low of $3.53, indicating high volatility.

Considering the stock's recent performance and volatility, the sentiment towards NVAX is negative. Investors should exercise caution when considering investing in this stock.


2024-11-17 16:13:56
AACG ATA Creativity Global 37 Negative AACG (ATA Creativity Global) is a relatively small-cap stock with a market capitalization of $31.9 million. The stock's year-to-date performance has been disappointing, with a negative return of approximately 9%. The stock has experienced a high level of volatility, with a year high of $1.65 and a year low of $0.5. The stock's current price of $1.0 is close to its 200-day moving average of $0.93 and its 50-day moving average of $0.66. The stock has a relatively low trading volume, with an average of 46,461 shares traded over the past three months. Considering the stock's poor performance and high volatility, it is not recommended as a safe investment option at this time.

2024-10-15 17:10:48
SEV Sono Group N.V. 35 Negative Sono Group NV (SEV) is an auto manufacturer based in Germany. With 409 full-time employees, the company operates in the Consumer Cyclical sector. SEV's stock price experienced a significant decline of 63.13% in the past 52 weeks, underperforming the SandP500 index which increased by 9.86% during the same period. The stock has a low trading volume with an average of 2,420,748 shares traded over the past 10 days. SEV's financials show negative net income to common shareholders amounting to -$64 million and a trailing EPS of -$1.48. The company has a high debt-to-equity ratio of 26.452, indicating significant financial leverage. Despite the negative financial indicators, SEV has a favorable analyst recommendation of 'Buy'. However, due to its volatile performance and poor financials, it is advisable to avoid investing in SEV at this time.

2023-07-28 22:50:05
SID Companhia Siderurgica Nacional 35 Negative Companhia Siderurgica Nacional (SID) is a steel company based in Brazil. It operates in the Basic Materials sector and has around 24,924 full-time employees. SID's financial indicators show some concerning factors. The company has a negative profit margin of -1.44% and a trailing EPS of -0.09. Its return on equity is also negative (-0.0008), indicating poor performance in utilizing shareholders' investments. SID has a high debt-to-equity ratio of 198.553, suggesting a significant level of debt compared to its equity. Additionally, the company has a negative free cash flow of -1,738,352,512. These factors raise concerns about the company's financial stability and profitability.

2023-07-26 14:57:42
TOI Oncology Institute Inc (The) 35 Negative The Oncology Institute, Inc. (TOI) operates in the medical care facilities industry within the healthcare sector. The company has 750 full-time employees and a market capitalization of $70,212,336. TOI's financial indicators reveal a negative profit margin of -17.96% and negative trailing earnings per share of -$0.81. Moreover, the company has experienced a recent decline in revenue growth and operating margins. It currently has a high level of total debt, which is more than its total cash. The stock's price performance has been highly volatile with a 52-week range of $0.33 to $7.60. Considering all these factors, the overall assessment is negative.

2023-07-28 22:50:09
XPER Xperi Inc 35 Negative Xperi Inc. (XPER) is a software application company operating in the technology sector. With a market capitalization of $563 million and an enterprise value of $553 million, XPER develops and licenses innovative technologies. However, XPER has been facing several challenges, including negative profit margins, low return on equity, and significant debt-to-equity ratio. Its trailing EPS stands at -17.67 and the forward EPS is 0.45. The stock has shown a 52-week change of -41.13%. XPER's financial indicators suggest a financially unstable position. Although the stock has a buy recommendation with a target mean price of $18.20, it is important to exercise caution due to the company's poor financial performance. Therefore, considering the risk factors associated with this investment, the sentiment for XPER is 'Negative' and its rating is 35 out of 100.

2023-08-02 16:28:52
NCPL Netcapital Inc 35 Negative Netcapital Inc (NCPL) has experienced a significant decline in its stock price over the past year, with a year change of -0.94. The stock currently trades at a price of $1.60 per share, which is closer to its year low of $1.41. The stock's day range has been between $1.46 and $1.64. The market cap of the company stands at $1,239,894. Based on the data provided, the stock has been trading at an average price of $2.57 over the past fifty days, which is considerably lower than its two hundred day average of $7.88. The stock has a low trading volume, with an average volume of 18,5032 over the past three months. Considering the stock's significant decline in value and low trading volume, it is advisable to approach this investment with caution.

2024-10-14 10:55:51
FCEL Fuelcell Energy Inc 35 Negative Fuelcell Energy Inc (FCEL) is a company in the clean energy sector that specializes in designing, manufacturing, and installing fuel cell power plants. The company's stock price has experienced volatility over the past year, with a year change of -72.4% and a 52-week high of $1.84 and a low of $0.32. The stock's two hundred-day average is $0.86, indicating significant downside potential. Additionally, the stock's fifty-day average is $0.43, which is lower than the current stock price of $0.35, suggesting a potential short-term downtrend. Fuelcell Energy Inc's market capitalization is $194.6 million, and it has 556,009,984 outstanding shares. The stock's trading volume has been relatively high, with a ten-day average volume of 24,377,310 and a three-month average volume of 35,656,883 shares. Considering the company's weak stock performance, high volatility, and declining trend, it is recommended to approach an investment in Fuelcell Energy Inc with caution.

2024-10-14 10:58:15
DLO DLocal Ltd Class A 35 Negative DLocal Ltd (DLO) is a financial services company that specializes in cross-border payments for emerging markets. The company provides local payment options, foreign exchange services, and risk management solutions to help businesses expand globally. DLO has been performing below expectations in the market, as evidenced by its decreasing stock price over the past year. The stock is currently trading below its 200-day moving average, indicating a bearish trend. However, the company has a strong market presence, as reflected in its market capitalization and average trading volume. DLO's year-to-date performance has been poor, with a negative year change of approximately 50%. Considering these factors, it is advisable to approach investment in DLO with caution and conduct further research before making any investment decisions.

2024-10-14 11:03:03
MULN Mullen Automotive Inc 35 Negative Mullen Automotive Inc (MULN) is a small-cap company with a market capitalization of approximately $11.8 million. The stock has experienced a significant drop from its year high of $3,900, currently trading at around $2.13. The year change value of -99.94% indicates that the stock has performed poorly over the past year.

The stock's trading volume has been relatively low, with an average of around 999,553 shares traded over the past three months. This suggests limited investor interest in the stock. However, the stock's ten-day average volume of 2,812,990 shows a recent increase in trading activity.

Mullen Automotive Inc has a relatively high volatility, as evidenced by the day low and day high prices. This can make the stock riskier for investors.

Considering the low market capitalization, poor performance, and limited investor interest, it is advisable to approach investment in Mullen Automotive Inc with caution.


2024-10-14 11:03:52
AAPD Direxion Daily AAPL Bear 1X Shares 35 Negative The stock symbol AAPD represents Direxion Daily AAPL Bear 1X Shares, which is an exchange-traded fund (ETF) that is designed to provide daily inverse exposure to the performance of the Apple Inc. (AAPL) stock. Looking at the key financial indicators, we can see that the stock's year change is -0.24, indicating that it has experienced a decline in value over the past year. The year high and year low values are 23.72 and 16.21, respectively. This suggests that the stock has a relatively narrow trading range. The fifty-day and two-hundred-day averages stand at 17.21 and 19.72, respectively, implying that the stock has been on a downtrend in the short and long-term. Considering these factors, it seems that this ETF is not performing well and may not be a suitable investment option.

2024-10-16 01:56:18