
IDA
USDIDACORP Inc. Common Stock
السعر في الوقت الحقيقي
مخطط الأسعار
المقاييس الرئيسية
مقاييس السوق
الافتتاح
$117.350
الأعلى
$117.460
الأدنى
$115.510
الحجم
0.00M
أساسيات الشركة
القيمة السوقية
6.3B
الصناعة
Utilities - Regulated Electric
البلد
United States
إحصاءات التداول
متوسط الحجم
0.34M
البورصة
NYQ
العملة
USD
نطاق 52 أسبوعاً
تقرير تحليل الذكاء الاصطناعي
آخر تحديث: ٢ أبريل ٢٠٢٥Navigating the Current in IDACORP (IDA): A Data-Driven Stock Analysis - 2025-04-02
Generate Date: 2025-04-02 11:33:46
News Sentiment & Potential Market Impact
Recent news surrounding IDACORP (IDA) presents a cautiously optimistic outlook. The key headlines revolve around analyst ratings adjustments from UBS and Morgan Stanley. Both firms have maintained a neutral or equal-weight rating on IDA, but importantly, they have raised their price targets.
- UBS's Neutral Stance with Increased Target: UBS analyst William Appicelli's decision to maintain a "Neutral" rating while increasing the price target to $122 suggests a belief in limited upside from the current price levels, but acknowledges a justified higher valuation than previously assessed. This can be interpreted as a moderately positive signal, indicating that the stock is fairly valued with potential for slight appreciation.
- Morgan Stanley's Equal-Weight with Higher Target: Similarly, Morgan Stanley's David Arcaro reiterating an "Equal-Weight" rating while raising the price target to $131 reinforces the sentiment of fair valuation with a potential for growth. A higher price target from Morgan Stanley compared to UBS could be seen as a slightly more bullish signal, suggesting a stronger belief in the company's future performance or a more optimistic valuation methodology.
Impact on Market Sentiment: These analyst actions are likely to have a mildly positive impact on market sentiment. While neither firm is issuing a strong "Buy" recommendation, the increased price targets signal that established financial institutions see value in IDA at slightly higher levels. This can reassure investors and potentially attract moderate buying interest, preventing significant downward pressure and possibly contributing to a gradual upward drift in the stock price. However, the "Neutral" and "Equal-Weight" ratings also temper expectations, suggesting that analysts do not foresee explosive growth in the near term.
It's crucial to note that the news about Albertsons Companies' CEO succession plan is unlikely to directly impact IDACORP. Albertsons is in a different sector (Consumer Staples) and while leadership changes in major corporations can sometimes ripple through the market, there's no apparent direct link to IDA's performance as a regulated utility.
Historical Price Action: A 30-Day Retrospective
Analyzing the past 30 days of historical data reveals a stock navigating a period of moderate volatility with a recent trend towards stabilization, albeit at a slightly lower range than peaks observed earlier in the period.
- Initial Volatility and Downward Correction (Early March): The data shows a clear downward correction in early March, starting from a high of $119.04 on March 3rd and reaching a low of $112.43 by March 6th. This suggests a period of profit-taking or market adjustment after a prior upward movement observed in late February.
- Subsequent Stabilization and Range-Bound Trading (Mid to Late March): Following the initial dip, the stock price appears to have stabilized, trading within a narrower range, roughly between $114 and $116. This indicates a period of consolidation where buying and selling pressures are relatively balanced. There are fluctuations, but no strong directional trend is clearly established during this phase.
- Recent Downtick (Late March into April): Towards the end of March and into early April, there's a slight downward drift, culminating in the last recorded close of $117.39 on April 1st. This could be a continuation of the earlier correction or simply normal market noise. However, it's worth noting that the stock is currently trading below the higher end of its recent range.
- Volume Fluctuations: Volume has been variable, with spikes on certain days, particularly during price movements. The high volume on March 21st, coinciding with a price drop, suggests increased selling pressure on that day. Average volume appears to be around the reported average volume of 312,491, with some days exceeding and others falling below this level.
Absence of Clear Seasonal/Cyclical Patterns (Within 30 Days): Within this short 30-day window, it's difficult to discern any definitive seasonal or cyclical patterns. Longer-term historical data would be needed to identify such trends. However, regulated utilities are generally considered less susceptible to short-term cyclical fluctuations compared to other sectors.
AI-Driven Future Projections vs. Market Context
The AIPredictStock.com AI model projects minimal price movement for IDA in the immediate short term:
- Today's Prediction: 0.00% - Neutral movement predicted for the current day.
- Next Day's Prediction: -0.30% - A slight downward correction anticipated.
- Day After Next Day's Prediction: 0.71% - A modest rebound expected.
Plausibility Assessment: These predictions, suggesting near-term stability with minor fluctuations, appear reasonably plausible when considered in conjunction with the news and historical data.
- Alignment with News Sentiment: The analyst upgrades with neutral ratings suggest limited immediate upside, which aligns with the AI's prediction of minimal positive movement. The slight negative prediction for the next day could reflect ongoing market consolidation or minor profit-taking after the analyst target price adjustments.
- Consistency with Historical Trend: The recent historical data shows a period of stabilization and slight downward drift. The AI's predictions of near-zero or slightly negative movement are consistent with this recent trend of range-bound trading and lack of strong upward momentum.
- AI Recommendation Context: It's important to note that the overall AI recommendation is "Bullish Momentum" with a high confidence score. This suggests that while the very short-term predictions are muted, the AI model likely sees a more positive trajectory beyond the immediate 2-3 day horizon, potentially aligning with the analyst price targets being raised.
However, it's crucial to treat these AI predictions as directional indicators rather than precise forecasts. Market conditions can change rapidly, and unforeseen events can significantly impact stock prices. The AI's accuracy is also dependent on the data it is trained on and may not perfectly capture all market nuances.
Decoding the AI Recommendation: Bullish Signals with Fundamental Caveats
The JSON recommendation data from AIPredictStock.com paints a picture of a stock exhibiting bullish technical signals, supported by positive sentiment, but with some fundamental weaknesses that warrant attention.
Key Strengths (Bullish Indicators):
- Strong Technical Momentum ("Bullish Breakout"): The "Bullish Momentum" tag is strongly supported by multiple technical indicators:
- DMI Positive: Positive Directional Movement Index (DMI) indicates a bullish trend.
- Bollinger Band Breakthrough (Lower Band): Price near the lower Bollinger Band suggests a potential buying opportunity at a support level.
- OBV Surge: Extremely high trading volume indicates strong buying pressure.
- MACD Golden Cross: Bullish crossover of the Moving Average Convergence Divergence (MACD) line above the signal line further confirms bullish momentum.
- Positive Sentiment ("Analyst Upgrade"): Strong buy ratings from 8 analysts with an average price target of $124.25 (+5.8% upside) provide a significant sentiment boost and suggest external validation of the stock's potential.
- AI Prediction (Longer-Term Bullish View): While short-term AI price predictions are muted, the recommendation data also includes an "AI Prediction" reason stating "AI projects upward trend with potential target price of $1.02". While the target price of $1.02 seems unusually low and potentially a data interpretation error (likely meant to be a percentage increase or a different scale), the directional indication of an "upward trend" from AI is consistent with the overall bullish sentiment.
Fundamental Concerns (Risk Factors):
- Neutral to Negative Fundamentals: Several fundamental indicators raise concerns:
- Neutral P/E Ratio: P/E ratio at 21.1x is in a neutral range, neither particularly attractive nor alarming.
- Negative Revenue Growth: Revenue contraction of -3.4% is a significant negative signal, indicating potential challenges in top-line growth.
- Low Return on Equity (ROE): ROE of 9.3% is below the desired threshold, suggesting less efficient capital utilization compared to benchmarks.
- High Debt-to-Equity Ratio: A Debt-to-Equity ratio of 92.08% is considered high, indicating significant financial leverage and potential risk, especially in a rising interest rate environment.
Risk Level and Investor Suitability:
- Risk Level 3 (Moderate): The risk level is assessed as moderate, which is reasonable given the mix of bullish technicals and concerning fundamentals.
- Suitable Investors: Moderate: The stock is deemed suitable for moderate investors, suggesting it's not a high-risk speculative play, but also not a low-risk, conservative investment.
- Investment Horizon: Short-term Trading (1-2 weeks): The recommended investment horizon of "Short-term Trading" aligns with the strong technical signals and suggests capitalizing on potential short-term price movements driven by technical momentum and positive sentiment, rather than long-term fundamental value investing.
Entry/Exit Points and Risk Management:
- Entry Points: Entry points of $116.72 and $117.12 are provided, suggesting buying opportunities around the current price level.
- Stop Loss: A stop-loss at $105.69 is crucial for risk management, limiting potential losses if the bullish momentum fails to materialize or reverses.
- Take Profit: A take-profit target of $123.31 aligns with the analyst price targets and represents a reasonable upside target for a short-term trade.
Company Profile & Sector Context
IDACORP, Inc. operates in the Utilities - Regulated Electric sector, a traditionally stable and defensive sector. Regulated utilities are often considered relatively less volatile than other sectors due to their essential services and regulated pricing structures.
- Stable Revenue Stream (Generally): Regulated utilities typically have a relatively stable revenue stream due to consistent demand for electricity. However, the reported negative revenue growth for IDACORP is a deviation from this norm and needs further investigation.
- Capital Intensive Industry: The utility sector is capital intensive, requiring significant investments in infrastructure. The high debt-to-equity ratio could be a reflection of this capital intensity, but still warrants monitoring.
- Dividend Potential (Typical for Utilities): While not explicitly mentioned in the provided data, utility stocks are often favored by income-seeking investors due to their dividend-paying potential. This could be an additional factor to consider, although dividend information is not provided in this report.
- Geographic Focus: IDACORP's service area in Southern Idaho and Eastern Oregon provides geographic concentration, which can be both a strength (regional expertise) and a weakness (exposure to regional economic conditions and regulatory environments).
Comprehensive Conclusion: Cautiously Optimistic Short-Term Outlook
Based on the integrated analysis of news, historical data, AI predictions, and recommendation data, IDACORP (IDA) appears to present a cautiously optimistic outlook for the short term (1-2 weeks).
Reasons for Optimism:
- Bullish Technical Signals: Strong technical indicators point towards bullish momentum and a potential short-term upward price movement.
- Positive Analyst Sentiment: Analyst upgrades and raised price targets, even with neutral ratings, provide a positive sentiment backdrop.
- AI Recommendation Support: The overall AI recommendation is bullish, reinforcing the technical and sentiment signals.
Reasons for Caution and Risks:
- Weakening Fundamentals: Negative revenue growth, low ROE, and high debt-to-equity ratio are significant fundamental concerns that cannot be ignored. These factors could limit long-term upside and pose risks if economic conditions worsen or if the company faces operational challenges.
- Short-Term Trading Focus: The recommended short-term trading horizon underscores the reliance on technical momentum rather than long-term fundamental strength. This implies a higher degree of trading risk and the need for active monitoring and adherence to risk management strategies (stop-loss).
- Market Volatility: General market volatility and unforeseen events can always impact stock prices, regardless of company-specific factors.
Overall Judgment:
For a short-term trade (1-2 weeks), IDA could offer a potential opportunity based on the bullish technical setup and positive analyst sentiment. However, investors should proceed with caution, acknowledging the underlying fundamental weaknesses and adhering strictly to the recommended stop-loss. This is not a stock for long-term, buy-and-hold investors seeking fundamentally strong companies. The focus should be on capitalizing on potential short-term price appreciation driven by technical factors, while being prepared to exit if the bullish momentum falters.
Uncertainties and Risk Warnings:
- Sustainability of Technical Momentum: Technical indicators can be fleeting. The bullish momentum may not be sustained, and the stock price could reverse.
- Impact of Fundamental Weaknesses: If the negative revenue growth and fundamental concerns persist or worsen, they could eventually outweigh the positive technical and sentiment factors, leading to a price decline.
- Regulatory and Economic Risks: As a regulated utility, IDACORP is subject to regulatory risks and broader economic conditions that could impact its performance.
Personal Insight: While the technical picture is compelling for a short-term trade, I would personally approach IDA with a high degree of caution due to the fundamental red flags. The negative revenue growth in a stable sector like utilities is particularly concerning. If considering a trade, I would emphasize strict adherence to the stop-loss and actively monitor both technical and fundamental developments. This appears to be more of a tactical trade based on short-term market dynamics rather than a fundamentally sound long-term investment.
أخبار ذات صلة
IDACORP, Inc. Declares Dividend
Directors of IDACORP, Inc. (NYSE:IDA) today declared a common stock dividend of $0.86 per share, payable May 30, 2025 to holders of record at the close of business on May 5, 2025. View source version on
IDACORP Schedules First Quarter 2025 Earnings Release & Conference Call
IDACORP, Inc. (NYSE:IDA) will report its first quarter results on Thursday, May 1, in a news release before the stock markets open. The company will hold an analyst conference call that day at 2:30 p.m. Mountain Time
تنبؤ الذكاء الاصطناعيBeta
توصية الذكاء الاصطناعي
تم التحديث في: ٢٨ أبريل ٢٠٢٥، ١١:٤٥ ص
59.9% الثقة
المخاطر والتداول
نقطة الدخول
$116.11
جني الأرباح
$122.44
وقف الخسارة
$104.83
العوامل الرئيسية
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