/주식/ATLCP
ATLCP

ATLCP

USD

Atlanticus Holdings Corporation 7.625% Series B Cumulative Perpetual Preferred Stock no par value per share

$22.450+0.100 (0.447%)

실시간 가격

금융 서비스
Credit Services
미국

가격 차트

핵심 지표

시장 지표
기업 기본 정보
거래 통계

시장 지표

시가

$22.350

고가

$22.655

저가

$22.350

거래량

0.00M

기업 기본 정보

산업

Credit Services

국가

United States

거래 통계

평균 거래량

0.00M

거래소

NMS

통화

USD

52주 범위

저가 $21.66현재가 $22.450고가 $24.5

AI 분석 리포트

마지막 업데이트: 2025년 4월 15일
AI 생성데이터 소스: Yahoo Finance, Bloomberg, SEC

[ATLCP: Atlanticus Holdings Corp Preferred Stock]: Checking the Pulse - What's Happening & What to Watch

Stock Symbol: ATLCP Generate Date: 2025-04-15 10:47:20

Alright, let's take a look at Atlanticus Holdings Corporation's preferred stock, ticker ATLCP. We're going to break down what the recent stock movements and some AI-driven insights might mean for you, without getting bogged down in finance-speak.

News Buzz? Silence on the Wire.

First things first, news. Actually, there isn't any news content provided right now. In the real world, you'd want to quickly scan headlines for ATLCP or Atlanticus to see if anything major is moving the stock. No news here means we're flying a bit blind on sentiment from that angle, so we'll focus on what the numbers are telling us.

Price Check: A Recent Dip After a Climb

Let's look at the price chart over the last month or so. If you glance at the numbers, you'll see a general upward drift from mid-January through late February. We started around $22.38 back on January 15th and climbed to a peak around $23.89 by late February. That's a pretty steady climb.

However, things changed in March. We saw some back and forth, but generally, the price started to wobble a bit more. Then, bam, early April hit, and we saw a sharper drop. From a high of $23.33 on April 2nd, we tumbled down to a low of $22.14 by April 11th. The last data point we have, April 14th, shows a slight bounce back to $22.26.

So, in short: Up, then a bit shaky, then a dip. We're currently sitting below that recent upward trend, and closer to the lower end of the 30-day range. The previous close is $22.64, which is a bit higher than the last data point in the table, but still in that lower range.

AI's Take: "Bullish" with a Caveat

Now, let's peek at what the AI is saying. Interestingly, it's giving a "Bullish Momentum" and "Undervalued Gem" vibe. They're pointing to a "strong bullish breakout" based on some technical indicators. Things like positive DMI, nearing a support level, and a MACD golden cross – these are all signals that could suggest the stock is poised to move upwards.

They also mention it's "Undervalued" because the P/E ratio is lower than the industry average. That's a good sign, potentially.

But, and this is a big but, they also flag some risks. "High Industry-Relative Debt" and "High Market Sensitivity" are mentioned. Plus, "Low Trading Volume" and "Small Market Cap" mean this stock can be more volatile and harder to trade in and out of quickly. They also note "lower than expected" revenue growth and "high" debt-to-equity ratio as fundamental concerns. So, it's not all sunshine and roses according to the AI.

Basically, the AI is saying: Technically, it looks like it could go up, and it might be cheap, but be aware of the debt and other risks.

Putting It Together: Possible Paths & What to Consider

So, what does this all mean for you?

Near-Term Lean: Right now, it's a bit of a mixed bag. The recent price dip is concerning, but the AI is still leaning bullish based on technicals. If you believe in technical indicators, this dip could be a chance to buy at a lower price before a potential rebound. However, the fundamental risks are real, and the price action has been weak recently.

Potential Entry Point? The AI suggests entry points around $22.07 and $22.47. Given the stock is hovering around $22.64 (previous close), we're pretty close to that range. If you were thinking of getting in, waiting to see if it dips a bit closer to $22.07 might be a strategy. That $22.08 level is mentioned as a support level, so that area could be interesting if it holds.

Where to Get Out (or Cut Losses)? The AI suggests a "stop-loss" at $20.28. That's a level to consider if you want to limit your downside risk. On the upside, they mention a "take-profit" around $22.99. That seems like a relatively modest profit target, but perhaps realistic in the short term given the recent price action.

Company Context - Quick Reminder: Atlanticus is in the credit services business. They offer credit products and auto financing. Keep this in mind when you see broader economic news – things that affect consumer credit and auto sales can impact this company.

Overall Strategy Idea (Cautious): Given the mixed signals, a cautious approach seems wise. If you're interested in ATLCP, watching the price action around that $22.08 support level and the AI's suggested entry points could be a starting point. But, definitely keep an eye on those risk factors, especially the debt. Maybe start with a smaller position if you're unsure.

What to Watch For:

  • Price Action: Does the stock hold above that $22.08 support? Does it start to show more upward momentum?
  • News: Keep an eye out for any news about Atlanticus or the credit services sector in general.
  • Volume: Watch for an increase in trading volume if the price starts to move up – that could be a sign of stronger buying interest.

Important Note: This is just an analysis based on the data provided. This is not financial advice. Investing in the stock market involves risk, and you could lose money. Always do your own thorough research and consider talking to a qualified financial advisor before making any investment decisions. Make sure you understand the risks involved with preferred stocks and companies like Atlanticus before putting your money on the line.

AI 예측Beta

AI 추천

중립

업데이트 시간: 2025년 4월 28일 오전 06:07

약세중립강세

59.4% 신뢰도

리스크 & 트레이딩

리스크 수준5/5
고위험
적합 대상
가치성장공격적
트레이딩 가이드

진입점

$22.53

익절

$22.90

손절

$20.21

핵심 요소

DMI는 약세 추세(ADX:8.7, +DI:21.8, -DI:27.2)를 보여 주의를 요합니다.
현재 가격이 지지선($22.60)에 매우 근접하여 강력한 매수 기회를 시사합니다.
거래량은 평균(696)의 1.9배로 시장 참여 증가를 나타냅니다.
MACD -0.0044이(가) 신호선 0.0428 아래에 있어 약세 교차를 나타냅니다.

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