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["Not a good buy right now for an impatient trader: price action is weak (down today, below pivot, MACD momentum still deteriorating) with no fresh catalysts.", "Despite an oversold short-term RSI that could trigger a bounce, there is no proprietary buy signal (AI Stock Picker / SwingMax) and the pattern-based forward odds skew negative over the next month.", "If you must trade it immediately, this is closer to a speculative oversold bounce attempt than a high-conviction buy; the higher-probability buy is after stabilization/reclaiming the 10.145 pivot."]
["Trend/Momentum: MACD histogram -0.192 and negatively expanding -> bearish momentum is strengthening, suggesting the down-move is not finished.", "RSI: RSI_6 at 21.415 -> deeply oversold short-term conditions, which can precede a reflex bounce, but oversold alone is not a buy confirmation.", "Moving averages: Converging MAs -> compression/indecision, but current momentum signals remain bearish.", "Key levels: Price 9.22 is slightly below S1 (9.255) and well below pivot (10.145). Next supports: S2 8.705. Resistance: 10.145 (pivot), then 11.035 (R1).", "Pattern-based outlook: Similar-pattern stats imply ~30% chance of -1.1% next day, +1.03% next week, -4.96% next month -> near-term bounce potential, but intermediate drift is negative.", "Intellectia Proprietary Trading Signals", "- AI Stock Picker: No signal on given stock today.", "- SwingMax: No signal on given stock recently."]

near support (around 9.
increases the odds of a short-term snapback rally.", "Options open interest is heavily call-skewed (0.02 put/call OI), suggesting bullish/speculative sentiment among options holders.", "Earnings catalyst ahead: QDEC 2025 earnings on 2026-03-04 (After Hours) can re-rate the stock if results/guide surprise positively."]
fails to hold decisively, the next technical magnet is S2 around 8.705."]
["Latest quarter provided: 2025/Q3.", "Revenue: 44.233M, +15.44% YoY -> solid top-line growth trend.", "Profitability: Net income -8.943M (still a loss) but improved materially YoY (up 648.37% YoY from a much larger loss base).", "EPS: -0.18, improved +800% YoY -> losses narrowing, but not yet profitable.", "Gross margin: 48.21%, +5.96% YoY -> margin expansion supports the improvement narrative."]
["No analyst rating or price target change data was provided, so recent Wall Street rating/target trend cannot be verified from this dataset.", "Wall Street-style pros (based on provided fundamentals): accelerating revenue growth and improving margins/losses.", "Wall Street-style cons (based on provided fundamentals/price action): still unprofitable, and the current tape is bearish with no confirmed reversal signal."]