SPGC

SPGC

USD

Sacks Parente Golf Inc. Common Stock

$3.000+2.880 (2400.000%)

वास्तविक समय मूल्य

Consumer Cyclical
Leisure
संयुक्त राज्य अमेरिका

मूल्य चार्ट

कोई चार्ट डेटा उपलब्ध नहीं है

मुख्य मीट्रिक्स

बाजार मीट्रिक्स
कंपनी के मौलिक सिद्धांत
ट्रेडिंग आँकड़े

बाजार मीट्रिक्स

खुलना

$0.120

उच्च

$0.121

कम

$0.090

मात्रा

N/A

कंपनी के मौलिक सिद्धांत

बाजार पूंजीकरण

891.6K

उद्योग

Leisure

देश

United States

ट्रेडिंग आँकड़े

औसत मात्रा

1.13M

एक्सचेंज

NCM

मुद्रा

USD

52-सप्ताह रेंज

कम $0.0902वर्तमान $3.000उच्च $195

AI विश्लेषण रिपोर्ट

अंतिम अपडेट: 28 अप्रैल 2025
AI-जनितडेटा स्रोत: Yahoo Finance, Bloomberg, SEC

SPGC: Sacks Parente Golf Inc. (Now Newton Golf Company) - Analyzing Recent Moves & What the Data Hints At

Stock Symbol: SPGC Generate Date: 2025-04-28 21:47:29

Okay, let's break down what's been happening with SPGC, which is now known as Newton Golf Company. We'll look at the price action and what some of the underlying data suggests.

What's the Word? (News & Sentiment Check)

First off, I don't have any specific news articles right here to dig into the latest headlines about the company. So, we can't get a feel for the why behind recent moves from news stories directly.

However, the data provided includes a sentiment score, which sits at 37.29. On a typical scale, that number isn't exactly screaming positive vibes. It leans more towards neutral or maybe slightly negative sentiment floating around, at least according to this particular data point. Without the actual news text, it's tough to say why the sentiment is where it is, but it doesn't seem overwhelmingly positive right now.

Checking the Price Chart

Looking at the historical price data for SPGC over the last few months, it's been quite a wild ride.

Back in late January and February, the stock was trading at much higher levels, sometimes well into the $20s and even hitting highs over $40 on one day in February. Volume was pretty high during some of those spikes.

Then, things took a dramatic turn. Starting in late February and early March, the price saw a really sharp decline, dropping significantly into the single digits and quickly down to the $3-$5 range.

Since that big drop, the stock has mostly been bouncing around in a much lower range, roughly between $1.50 and $3.50 through March and April. There have been days with massive trading volume spikes within this lower range too, often linked to quick price jumps and pullbacks.

The last price we have data for (April 25th) was $1.96. This is sitting near the lower end of that recent trading range, but obviously way, way down from those earlier highs. The chart clearly shows a stock that has experienced extreme volatility and a major price correction.

Putting It Together: What the Data Suggests & Things to Consider

So, what does this mix of price history and available data tell us?

The recommendation data tags SPGC as an "Undervalued Gem" with "Explosive Growth" potential. That sounds exciting, right? The reasons given point to a very low P/E ratio (even though it's negative, it's less negative than the industry average, which the data sees as a positive sign) and incredibly high revenue growth (over 1100%!). These are fundamental points that could attract investors looking for growth at a potentially cheap price relative to that growth.

BUT, and this is a big but, the same data flags some serious risks. It highlights "Extreme Volatility" and "Small Market Capitalization" – the price chart we just looked at absolutely confirms the volatility part! It also points out "High Debt" and "Low Return on Equity," which are fundamental weaknesses. Plus, there's a technical signal (DMI) suggesting a bearish trend currently.

The sentiment score isn't exactly cheering things on either.

The Apparent Near-Term Leaning: Based on the recent price action (trading sideways in a low range after a huge drop) and the mixed signals from the recommendation data (high growth potential vs. significant financial and technical risks), the situation looks highly speculative and uncertain. It doesn't strongly favor buying or selling right now; it seems to lean more towards caution or a 'hold' stance if you're already in, emphasizing the high risk involved. The data presents a picture of potential reward tied to very high risk.

Potential Levels to Watch (Use with Extreme Caution): Given the volatility and lack of specific future predictions, suggesting price levels is tricky. However, looking at the recent chart:

  • If someone were considering this stock despite the risks, a level near the lower end of the recent trading range, maybe around the $1.70 - $1.80 area, could be a point of interest, as the stock has bounced around this level recently. But remember, there's no guarantee it will hold.
  • On the downside, a level to watch for potentially cutting losses (a stop-loss) might be below the recent lows, perhaps under $1.50. If it breaks below there, it could signal further weakness.
  • If the stock were to move up, it might face resistance around the upper part of its recent range, maybe near $2.50 or $3.00. Getting back to those much higher levels from earlier in the year would be a huge challenge and isn't suggested by the current data or price action.

These are just observations based on the recent chart and data points; they are not predictions or recommendations. Managing risk is key with a stock this volatile.

Company Snapshot

Just a quick note on the company itself: Sacks Parente Golf, Inc. recently changed its name to Newton Golf Company in March 2025. They make golf products like putters and shafts. They're a pretty small company, with only 18 full-time employees and a market cap under $1 million. This small size often contributes to the kind of extreme price swings we've seen. They operate in the Leisure/Consumer Cyclical sector.


Disclaimer: This analysis is based solely on the provided data and is for informational purposes only. It is not financial advice. Stock investing involves significant risk, especially with small, volatile companies like SPGC (Newton Golf Company). Prices can go down as well as up. You should always conduct your own thorough research and consider consulting with a qualified financial advisor before making any investment decisions.

AI भविष्यवाणीBeta

AI सिफारिश

तटस्थ

पर अपडेट किया गया: 28 अप्रैल 2025, 12:41 pm

मंदीतटस्थतेजी

58.6% आत्मविश्वास

जोखिम और ट्रेडिंग

जोखिम स्तर4/5
उच्च जोखिम
के लिए उपयुक्त
मूल्यविकास
ट्रेडिंग गाइड
00

मुख्य कारक

DMI shows bearish trend (ADX:nan, +DI:nan, -DI:nan), suggesting caution

अपडेट रहें

मूल्य अलर्ट सेट करें, AI विश्लेषण अपडेट और वास्तविक समय बाजार समाचार प्राप्त करें।