Key Stats: Market Cap: $12.18B P/E Ratio (FWD): 15.81 Dividend Yield: 3% Next Earnings Date: Jan 17, 2025 Technical Reasons for Upside: Breakout Potential: ALLY recently tested resistance around $40, with increasing volume indicating a potential breakout towards higher highs. A move past $42 could accelerate bullish momentum. Bullish Divergence:...
Key Stats: Market Cap: $4.4B Revenue (TTM): $11.82B EBITDA Margi Debt: $29.05B (High, but manageable with recent restructuring efforts) Technical Indicators: 1️⃣ 50-Day and 200-Day Moving Average Crossover: BHC is trending above its 200-day moving average, showing long-term bullish momentum. 2️⃣ RSI Neutral : No signs of overbought territory,...
Key Stats Market Cap: CAD 97 billion P/E Ratio: 15.45 (Sector avg: 11.8) Dividend Yield: 4.6% (reliable passive income) Next Earnings Date: Dec 5, 2024 Last Upgrade: Maintained "Buy" by RBC with price target CAD 155 (Dec 2024). Technical Reasons for Bullish Outlook Golden Cross Formation: The 50-day moving average recently crossed above the...
Key Stats: Current Price: CAD 81.91 (as of Dec 1, 2024) Market Cap: CAD 77.65B P/E Ratio: 22.58 1-Year Performance: +7.2% Next Earnings Date: March 25, 2025 Top 3 Technical Reasons ATD Will Rise: Breakout Momentum: ATD recently broke out from a consolidation phase, with price reclaiming its 20-day and 50-day moving averages. Classic bullish...
Key Stats: P/E Ratio: 18.5 (better than most used cars' depreciation rates) Free Cash Flow (FCF): $1.4B Revenue Growth: +3.2% YoY (despite a tough macro environment) Next Earnings Date: December 19, 2024 Market Cap: $13.01B Top 3 Technical Reasons: 1️⃣ Ascending Triangle Formation: Price action is coiling around resistance, setting up for a...
Key Stats: P/E Ratio: 30.7 Dividend Yield: 2.26% (enough to cover a tall latte) Free Cash Flow (FCF): $3.3B TTM Next Earnings Date: Feb 4, 2025 Market Cap: $117B Top 3 Technical Reasons: 1️⃣ Golden Cross Incoming: The 50-day SMA is closing in on the 200-day SMA, a classic "buy me" signal for trend chasers. 2️⃣ Support Strength: Holding the...
Key Stats: Market Cap: $5.2B P/E Ratio: 25.6 (yeah, that’s rich for retail) Free Cash Flow: $350M Next Earnings Date: December 2024 (this could be the hype catalyst) Short Interest: ~18% Top 3 Technical Reasons for Bullishness: 1️⃣ GME just broke out above its 200-day moving average. 2️⃣ Bullish divergence on the RSI as buyers sneak back in,...
Key Stats: Market Cap: $53.91B P/E Ratio (TTM): 13.1 (cheap compared to the sector average) EPS Growth (2024E): Upward revisions over the last 12 months Profit Margins: Low but stabilizing as cost-cutting measures take effect Next Earnings Date: Likely March 2025 Top 3 Technical Reasons JD Will Rise: Bullish Trendline Support: The stock has been respecting...
b]Key Stats Market Cap: CAD 55.6B P/E Ratio: 12.89 (Moderately undervalued compared to industry averages) Dividend Yield: 5.91% (Solid for income investors) Revenue Growth: 2.58% YoY (Recent FY revenue: CAD 21.31B) Next Earnings Date: December 7, 2024 Technical Reasons for Upside Bullish Hammer Formation: Recent price action carved out a hammer candlestick...
Key Stats Market Cap: $14.5M 52-Week Range: $1.10 - $7.33 Short Interest: 6.68%, with days to cover at 3.51 RSI (14): 41 (leaning towards oversold territory) Technical Reasons for Upside Price Rejection at Key Support: NRXP has been hugging the $1.20–$1.25 range, with consistent rejection at $1.10. This suggests bottoming out and a bounce in the...
Key Stats 12-Month Analyst Price Target: $23.14 (+28.79% upside) Market Cap: $14.55B P/E Ratio: ~70 (reflecting high-growth expectations) Q4 Earnings Date: Scheduled for mid-February 2025 Technical Reasons for Upside Strong Support Zone: $17-$17.50 is showing repeated resilience. Buyers clearly live here; they're probably camping. Golden Cross Incoming: The...
Key Stats: Current Price: $16.21 (as of Nov. 22, 2024) Market Cap: ~$9.5 billion Dividend Yield: 4.2% Next Earnings Date: Early Feb. 2025 Price Target Consensus: $18.93 (+16.8% upside) Technical Reasons for Upside: Breakout Alert: PR broke out of a tight consolidation between $15.50 and $16.10, supported by above-average volume. The next resistance lies near...
Key Stats: Market Cap: $31.98B P/E Ratio: 20.43 Dividend Yield: Currently not paying dividends Next Earnings Date: December 19, 2024 52-Week Range: $12.50 - $23.08 Technical Reasons CUK Could Cruise Higher: Ascending Channel: CUK is riding a well-defined upward channel, with higher highs and higher lows. It's like the stock's on a never-ending cruise to...
Top 3 Technical Reasons MO Will Rise Breakout from Support: MO recently bounced off its $41 support level, a floor it has respected for months. Buyers are clearly showing up to the party, and the stock looks ready to grind higher. Strong Relative Strength: The stock’s RSI has climbed out of oversold territory and is now trending upwards. This signals that...
Technical Reasons Momentum and RSI Strength: CHD’s RSI sits at 66.77, just shy of overbought territory, indicating strong bullish momentum but still room to run before a potential cooldown Golden Cross Confirmation: The 50-day moving average ($103.48) has recently crossed above the 200-day moving average ($103.50). That’s the technical analyst equivalent of...
Technical Reasons 🚀 Tight Price Range & NAV Premium: HSAV consistently trades within a small premium to its Net Asset Value (NAV), currently around 0.5%. Stability in its pricing indicates investor confidence in its performance, even amidst market fluctuations Uptrend Momentum: Recent fund inflows show recovery after earlier outflows, suggesting increased...
If technicals lead fundamentals then we could be looking at the next big thing since slices bread. HST a traditionally rangebound ticker is finally creating a bullish flag that gives way to a fair amount of optimism for price. Holidays and overall increase in the bullish nature of the markets should bode well for this stock going into the holidays.
URI is printing higher highs and creating typical bullish pattern indicative of upwards momentum. Price is accumulating orders at demand zones and pushing up to discover new supply zones. Going to pick some more up for the portfolio at these levels to ensure I remain diversified in the markets.