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["Buy now: price trend is bullish (SMA_5 > SMA_20 > SMA_200) with momentum still positive, and multiple analysts just raised targets into earnings.", "Near-term catalyst is QDEC 2025 earnings after hours (2026-02-05); positioning/attention is elevated (options volume vs 30-day avg is ~148%).", "Key levels: support near 1137 (pivot) then 1070 (S1); upside targets 1204 (R1) then 1246 (R2).", "Intellectia Proprietary Trading Signals\n- AI Stock Picker: No signal on given stock today.\n- SwingMax: No signal on given stock recently."]
["Trend: Bullish (SMA_5 > SMA_20 > SMA_200), consistent with sustained uptrend.", "MACD: histogram +7.632 above 0 and positively contracting \u2192 upside momentum remains, though not accelerating.", "RSI(6): 65.9 \u2192 strong/near-overbought but still in \u201cneutral-to-strong\u201d zone (not an exhaustion signal by itself).", "Support/Resistance: Pivot 1137; R1 1204, R2 1246; S1 1070, S2 1029.", "Pattern-based forward odds: ~70% chance of gains (+1.13% next day, +2.48% next week, +2.81% next month) based on similar candlesticks."]

["Earnings setup: company reports QDEC 2025 after hours (Feb 5); street expects EPS 4.74 and revenue ~$741.7M, reflecting strong growth expectations.", "Analyst momentum is improving: multiple firms raised price targets recently and maintained bullish ratings (Buy/Outperform/Overweight).", "Flows: Hedge funds are buying (buying amount up 145.95% QoQ).", "Theme tailwinds: commentary points to upside tied to AI infrastructure power needs and auto demand drivers."]
["Pre-market indicated move is negative (-2.80%) despite strong regular session gain, implying sensitivity/positioning into the event window.", "Options positioning shows notable put open interest (OI put/call 1.56), consistent with hedging demand around earnings.", "Profitability: latest reported gross margin 55.11%, down 0.49% YoY (small compression).", "No notable insider accumulation signal: insiders are neutral over the last month."]
["Latest provided quarter: 2025/Q3.", "Revenue: $737.18M, +18.88% YoY (strong growth).", "Net income: $178.27M, +23.43% YoY (earnings growth outpacing revenue).", "EPS: 3.71, +25.76% YoY (strong per-share growth).", "Gross margin: 55.11%, -0.49% YoY (slight margin pressure but still high for the business)."]
["Recent trend: price targets moving up into earnings with bullish ratings maintained.", "2026-02-04 Stifel: Buy, PT raised $1,250 \u2192 $1,300 (expects beat and higher Q1 guidance).", "2026-01-29 Oppenheimer: Outperform, PT raised $1,200 \u2192 $1,300 (AI and auto upside).", "2026-01-26 Wells Fargo: Overweight, PT raised $1,125 \u2192 $1,200 (improving visibility; expects upward estimate revisions).", "2025-12-19 Truist: Buy, PT raised $1,163 \u2192 $1,375 (AI infrastructure semis seen as relatively cheap vs growth).", "Wall Street pros vs cons (summary): Pros\u2014consistent estimate/target raises, AI/auto demand drivers, strong growth profile. Cons\u2014higher expectations into earnings and some margin compression; requires \u201cclean\u201d beat/raise setup."]