/주식/PSNYW
PSNYW

PSNYW

USD

Polestar Automotive Holding UK PLC Class C-1 ADS (ADW)

$0.166+0.005 (3.371%)

실시간 가격

Consumer Cyclical
Auto Manufacturers
스웨덴

가격 차트

핵심 지표

시장 지표
기업 기본 정보
거래 통계

시장 지표

시가

$0.160

고가

$0.169

저가

$0.160

거래량

0.00M

기업 기본 정보

시가총액

2.2B

산업

Auto Manufacturers

국가

Sweden

거래 통계

평균 거래량

0.08M

거래소

NGM

통화

USD

52주 범위

저가 $0.091현재가 $0.166고가 $0.6088

AI 분석 리포트

마지막 업데이트: 2025년 4월 28일
AI 생성데이터 소스: Yahoo Finance, Bloomberg, SEC

PSNYW: Polestar Automotive Holding UK PLC Class C-1 ADS (ADW) - Checking the Chart and What the Data Hints At

Stock Symbol: PSNYW Generate Date: 2025-04-28 22:02:58

Alright, let's take a look at what's been happening with Polestar's ADW shares (PSNYW) based on the numbers we have. We're missing any specific news headlines right now, so we'll focus on the price action and some technical/fundamental signals the data points to.

What's the Buzz? (Based on Available Data)

Since there isn't any specific news content provided, we can't gauge the general sentiment from recent headlines. However, the recommendation data we have does offer some clues about the feeling derived from technical and fundamental analysis. It tags the stock with "Bullish Momentum" and "Undervalued Gem." That sounds pretty positive on the surface, suggesting the underlying analysis sees potential here.

The reasons given for this positive lean include technical indicators like the DMI (Directional Movement Index) showing a bullish trend and the MACD (Moving Average Convergence Divergence) having a "golden cross," which is often seen as a buy signal. On the fundamental side, the P/E ratio is noted as being very low compared to the industry, hinting at potential value.

Now, it's important to note a couple of things that temper this. The same data points out negative revenue growth, meaning the company's sales have been shrinking. Also, the risk level is flagged as 4, with factors like high volatility, market sensitivity, and low trading volume. Low volume can make it tricky to buy or sell without impacting the price much.

How's the Price Been Moving?

Looking at the last 30 days of price history (roughly from late January to late April), the picture is a bit choppy but shows a general drift downwards. The price started around $0.22 in late January/early February, bounced around between $0.18 and $0.22 for a while, and then started a more noticeable slide in early April, dropping from around $0.18 down to the $0.16-$0.17 range where it sits now.

The current price is $0.16. This is near the lower end of the recent trading range we've seen over the past couple of months. Volume has been quite inconsistent, sometimes spiking (like on March 7th or April 3rd/4th) but often staying quite low, which ties back to that risk factor mentioned earlier.

We don't have any specific future price predictions from the AI prediction score (it's 0.0), so we can't compare the current price to a predicted future point from that source.

Putting It Together: What Might This Mean?

Okay, so we have a bit of a mixed bag here. The recent price trend on the chart has been downwards, which isn't great. However, the recommendation data, based on technical and fundamental analysis, is pointing towards bullish momentum and potential undervaluation, citing specific technical signals and a low P/E ratio.

Based purely on the signals highlighted in the recommendation data, the apparent near-term leaning from that analysis seems to favor potential buyers, suggesting there might be a window here if those technical and fundamental factors play out.

Potential Entry Consideration: The recommendation data suggests potential entry points around $0.16 and $0.17. The current price is right in this zone ($0.16). If you were considering this stock based on the bullish technical and value signals mentioned, this price area is where that analysis points. Remember, though, the recent price trend has been negative, so any entry here would be betting on a reversal based on those technical/fundamental factors, not on the current chart momentum.

Potential Exit/Stop-Loss Consideration: The recommendation data provides potential levels to think about. It suggests a stop-loss at $0.15. This is a level below the recent lows and could be used as a point to cut potential losses if the price continues to fall and doesn't find support. For taking profits, it suggests $0.20. This level was a frequent resistance point or upper bound in the earlier part of the 30-day period, so it makes sense as a potential target if the price does manage to climb. These levels are about managing your risk and potential reward.

A Bit About the Company

Just to keep in mind, Polestar is an electric vehicle maker. The EV market is super competitive and sensitive to economic conditions and technological changes. So, while the technicals or fundamentals might look interesting, the broader industry trends and company-specific news (which we don't have here) are always big pieces of the puzzle. The company is headquartered in Sweden and has over 2500 employees. Its market cap is around $2.2 billion, and it's trading significantly below its 52-week high.


Disclaimer: This analysis is based solely on the provided data and is for informational purposes only. It is not financial advice. Stock investing involves risk, and you could lose money. Always do your own thorough research or consult with a qualified financial advisor before making any investment decisions.

AI 예측Beta

AI 추천

중립

업데이트 시간: 2025년 4월 28일 오후 07:09

약세중립강세

58.9% 신뢰도

리스크 & 트레이딩

리스크 수준4/5
고위험
적합 대상
공격적가치
트레이딩 가이드

진입점

$0.16

익절

$0.20

손절

$0.15

핵심 요소

PDI 37.2이(가) ADX 6.6과 함께 MDI 33.1 위에 있어 강세 추세를 시사합니다.
MACD -0.0001이(가) 신호선 -0.0005 위에 있어 강세 교차를 나타냅니다.

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