Not a good buy right now: the trend is still decisively bearish (SMA_200 > SMA_20 > SMA_5, MACD negative and worsening) and there is no proprietary buy signal to justify an impatient entry.
The only near-term “bullish” angle is oversold/near-oversold momentum (RSI_6 28.6) and price sitting near support (1.45), which can produce short bounces—but the broader setup still favors downside/failed rallies.
With no recent news catalysts and weak fundamentals (revenue and gross margin sharply down YoY), the risk/reward for buying immediately is unfavorable.
Momentum: MACD histogram at -0.0125 (below zero) and negatively expanding → downside momentum is strengthening rather than stabilizing.
RSI: RSI_6 at 28.615 (oversold/near-oversold). This can trigger a technical bounce, but by itself does not reverse a downtrend.
Key levels: Pivot 1.601; Support S1 1.453 then S2 1.362; Resistance R1 1.749 then R2 1.841. Current price (~1.46) is sitting right on S1—if it breaks, next downside target is ~1.36.
Pattern-based forward view (similar candlesticks): ~50% chance of -0.6% next day, -3.92% next week, +5.29% next month (bounce potential exists, but near-term bias still negative).
Options Data
Bullish
Open Interest Put-Call Ratio
Bullish
Option Volume Put-Call Ratio
Reported put/call ratios are 0, but the options dataset is largely blank (missing open interest/volume fields), so sentiment inference is low confidence.
Volatility: Historical volatility is extremely high (~138%), consistent with a highly speculative, sharp-move profile.
Without reliable options volume/open interest, there’s no clear options-driven bullish confirmation to support an immediate buy.
Technical Summary
Sell
9
Buy
4
Positive Catalysts
can generate short-lived relief rallies.
Neutral/Negative Catalysts
Trend remains bearish: MACD is negative and deteriorating; moving averages are bearishly aligned.
If support near ~1.45 fails, next notable support is ~1.36 (S2), implying additional downside risk.
No recent news catalysts to change narrative or drive event-based upside.
Extremely high volatility increases the chance of sharp drawdowns after entry.
Overall: Top-line and margin trends are moving the wrong way; loss improvement is not enough yet to offset the revenue/margin damage.
Growth
Profitability
Efficiency
Analyst Ratings and Price Target Trends
No analyst rating trend or price target changes were provided in the data, so recent Wall Street revisions cannot be confirmed.
Wall Street-style pros (based on available fundamentals/price action): potential oversold bounce, narrowing losses YoY.
Wall Street-style cons: steep YoY revenue decline, sharply weaker gross margin, persistent downtrend technicals, and no clear catalyst/support from options sentiment data.
Politicians / influential figures: No recent congress trading data available; hedge funds and insiders are described as neutral (no significant recent trend).
Wall Street analysts forecast HYFM stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for HYFM is 0 USD with a low forecast of 0 USD and a high forecast of 0 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.
Analyst Rating
0
Wall Street analysts forecast HYFM stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for HYFM is 0 USD with a low forecast of 0 USD and a high forecast of 0 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.