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TRAD

TRAD TRAD

$9.94 -0.01 (-0.10%)
Pullback · -0.77σ

Price chart

Timeframe
Range
Fundamentals · free Click ▲ earnings markers (daily) for the day's move

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Latest bar · TRAD

Momentum reads · latest daily bar
Last
$9.94
-0.01 (-0.10%)
Mkt cap
$145M
Financial Services
RSI(14)
45.7
neutral
Stochastic %K
3.7
oversold
MFI(14)
1.8
oversold
ADX(14)
22.2
building

Green means room to run, red means stretched — the reads re-read live as you switch the chart's timeframe. MFI(14) is a volume-weighted money-flow read: above 80 = overbought, below 20 = oversold.

Financial overlay · last 12 quarters

The story behind the price: three years of quarterly results laid over the chart, so you can see whether the stock has been following the business — or running ahead of it.

QuarterRevenue Net incomeOp income FCFNet margin Op margin
2026-05-31 $0.0B $-0.0B $-0.0B
2026-02-28 $-0.0B $-0.0B $-0.0B
2025-11-30 $-0.0B $-0.0B $-0.0B

Tip: toggle P/E, FCF, ROE, Gross margin and more on the chart above — every overlay is free.

Compare TRAD vs peers

Line TRAD up against up to 4 peers (5 tickers total) across ~30 metrics and get one weighted 0-100 verdict — best in green, worst in red. Peers also overlay on the chart above as rebased % lines, or flip the chart to the 2×2 grid for side-by-side mini charts.

Comparing TRAD WFC× AAPL× MSFT× NVDA×
Sector peers + JPM + V + MA + BAC + GS + MS
Popular + AMZN + GOOG + META + TSLA + AVGO
Verdict
Weighted score 0-100 across 5 tickers · best in green
#2
TRAD
score 52.4
1/5 inputs
Ranks second despite missing all fundamental data because moderate 40% YTD momentum outweighs complete absence of value/growth metrics.
momentum 52
#3
WFC
score 49.6
5/5 inputs
Balanced 50s across value/growth/quality can't overcome weak momentum with stock down 10.48% from 52-week high.
value 50growth 50quality 50momentum 42sentiment 59
#1
AAPL
score 57.1
2/5 inputs
Dominates with perfect momentum score of 100 driven by exceptional 26.7% three-month performance despite negative insider sentiment.
momentum 100sentiment 0
#5
MSFT
score 31.6
3/5 inputs
Dead-last with catastrophic momentum score of 4 as 29.1% drop from 52-week high overwhelms stellar 20% insider buying.
quality 0momentum 4sentiment 100
#4
NVDA
score 43.8
3/5 inputs
Perfect quality score of 100 provides foundation but ranks fourth due to poor sentiment and negative 2.22% one-month return.
quality 100momentum 35sentiment 0
TRAD
TRAD
$9.94
-0.10%
Snapshot
Price 9.94
Day % -0.1
1M % 0.0
3M %
YTD % 0.4
Market cap
ADV ($)
Beta
OdysseyHQ zone
Current zone Pullback
Dist 21-EMA % -0.16
Dist ATR (σ) -0.77
OdysseyHQ grade
Confluence 1
Valuation
P/E (ttm)
P/E (fwd)
P/S
EV/EBITDA
P/B
FCF yield
PEG
Growth
Revenue yoy
EPS yoy
FCF yoy
Revenue trend 8Q
Quality
Gross margin
Operating margin
Net margin
ROE
ROA
Debt / Equity
Interest cov.
Technicals
RSI(14) 45.7
MACD signal neutral
vs 50-DMA -0.04
vs 200-DMA
vs 52w high -0.9
HV-30 3.9
Sentiment
Analyst rec
Target upside
Insider buy-sell 90d
Risk
Short interest
Days to cover
Next earnings
Full TRAD dashboard →
WFC
Wells Fargo & Company
$87.51
-0.64%
Snapshot
Price 87.51
Day % -0.64
1M % 2.89
3M % 7.7
YTD % -8.08
Market cap 267797184512.0
ADV ($) 1457814686.437111
Beta 0.917
OdysseyHQ zone
Current zone Neutral
Dist 21-EMA % 2.38
Dist ATR (σ) 0.93
OdysseyHQ grade C
Confluence 3
Valuation
P/E (ttm) 12.719477
P/E (fwd) 11.115726
P/S 3.2254617
EV/EBITDA
P/B 1.6451104
FCF yield
PEG 1.67
Growth
Revenue yoy 0.095
EPS yoy 0.25
FCF yoy
Revenue trend 8Q
Quality
Gross margin 0.0
Operating margin 0.37069
Net margin 0.27232
ROE 0.12575
ROA 0.0107700005
Debt / Equity
Interest cov.
Technicals
RSI(14) 59.4
MACD signal neutral
vs 50-DMA 7.71
vs 200-DMA 3.54
vs 52w high -10.48
HV-30 25.7
Sentiment
Analyst rec 1.88462
Target upside 13.85
Insider buy-sell 90d 14
Risk
Short interest
Days to cover 0.0
Next earnings 2026-10-13
Full WFC dashboard →
AAPL
AAPL
$333.74
+0.14%
Snapshot
Price 333.74
Day % 0.14
1M % 11.53
3M % 26.7
YTD % 23.15
Market cap
ADV ($)
Beta
OdysseyHQ zone
Current zone Blow-off
Dist 21-EMA % 7.28
Dist ATR (σ) 2.78
OdysseyHQ grade
Confluence 1
Valuation
P/E (ttm)
P/E (fwd)
P/S
EV/EBITDA
P/B
FCF yield
PEG
Growth
Revenue yoy
EPS yoy
FCF yoy
Revenue trend 8Q
Quality
Gross margin
Operating margin
Net margin
ROE
ROA
Debt / Equity
Interest cov.
Technicals
RSI(14) 71.6
MACD signal bull
vs 50-DMA 10.27
vs 200-DMA 21.71
vs 52w high -0.37
HV-30 34.2
Sentiment
Analyst rec
Target upside
Insider buy-sell 90d -5
Risk
Short interest
Days to cover
Next earnings
Full AAPL dashboard →
MSFT
MSFT
$393.82
-1.82%
Snapshot
Price 393.82
Day % -1.82
1M % -0.0
3M % -6.29
YTD % -16.73
Market cap
ADV ($)
Beta
OdysseyHQ zone
Current zone Neutral
Dist 21-EMA % 1.16
Dist ATR (σ) 0.37
OdysseyHQ grade
Confluence 0
Valuation
P/E (ttm)
P/E (fwd)
P/S
EV/EBITDA
P/B
FCF yield
PEG
Growth
Revenue yoy
EPS yoy
FCF yoy
Revenue trend 8Q
Quality
Gross margin
Operating margin
Net margin
ROE
ROA
Debt / Equity
Interest cov. 52.84
Technicals
RSI(14) 51.9
MACD signal neutral
vs 50-DMA -1.92
vs 200-DMA -10.36
vs 52w high -29.1
HV-30 34.3
Sentiment
Analyst rec
Target upside
Insider buy-sell 90d 20
Risk
Short interest
Days to cover
Next earnings
Full MSFT dashboard →
NVDA
NVDA
$202.81
-2.21%
Snapshot
Price 202.81
Day % -2.21
1M % -2.22
3M % 2.25
YTD % 7.39
Market cap
ADV ($)
Beta
OdysseyHQ zone
Current zone Neutral
Dist 21-EMA % -0.9
Dist ATR (σ) -0.25
OdysseyHQ grade
Confluence 2
Valuation
P/E (ttm)
P/E (fwd)
P/S
EV/EBITDA
P/B
FCF yield
PEG
Growth
Revenue yoy
EPS yoy
FCF yoy
Revenue trend 8Q
Quality
Gross margin
Operating margin
Net margin
ROE
ROA
Debt / Equity
Interest cov. 547.14
Technicals
RSI(14) 48.2
MACD signal bull
vs 50-DMA -3.38
vs 200-DMA 5.41
vs 52w high -14.26
HV-30 41.6
Sentiment
Analyst rec
Target upside
Insider buy-sell 90d -5
Risk
Short interest
Days to cover
Next earnings
Full NVDA dashboard →

Earnings replay · last 0 reports

How this stock actually behaves on report day: each past earnings print with the beat-or-miss and the next-day move — a track record for handicapping the next one.

No earnings history available.

Peer comparison · Financial Services

Context check: the same key numbers for the closest Financial Services names side by side, so you can tell whether this stock is the standout or just moving with its group.

Ticker ⇅ Mkt cap ⇅ P/E ⇅ Fwd P/E ⇅ P/S ⇅ EV/EBITDA ⇅ P/B ⇅ Gross M ⇅ Rev gr ⇅ EPS gr ⇅ FCF yld ⇅
TRAD $0B 242.4
JPM $907B 14.6 13.9 4.9 2.6 30.4% 46.9%
V $682B 31.3 24.1 15.8 22.8 19.2 97.8% 17.1% 35.5% 3.06%
MA $480B 31.4 23.9 14.2 23.0 71.8 100.0% 15.8% 21.2% 3.36%
BAC $435B 14.2 11.7 3.8 1.6 21.4% 36.0%
WFC $268B 12.7 11.1 3.2 1.6 9.5% 25.0%
GS $314B 16.4 14.8 4.7 2.9 82.1% 42.5% 92.3%
MS $339B 17.4 16.0 4.4 3.3 87.6% 28.0% 62.4%

Auto-seeded from sector. Click any ticker to switch.

Ownership

Who holds the stock and what they've been doing lately — big funds on the left, executives' own buys and sells on the right. Insider buying is the rarer, louder signal.

Top institutional holders

No 13F holders available for TRAD.

Insider activity · 90d

No insider trades for TRAD in last 90d.

Analyst estimates

yfinance

What Wall Street expects next: the consensus forecasts for the coming quarters. The market usually reacts to results versus these numbers, not the raw results themselves.

Low
$—
Mean
$—
High
$—
Analysts

Consensus: none (mean None). Distribution requires FINNHUB_API_KEY.

SEC filings

The company's own paperwork, straight from the regulator — annual and quarterly reports, big announcements and insider trades. The primary source behind every headline.

FormFiled DescriptionAction
10-Q 2026-07-15 FORM 10-Q view ·
8-K 2026-04-21 FORM 8-K view ·
10-Q 2026-04-07 FORM 10-Q view ·
8-K 2026-03-06 FORM 8-K view ·
8-K 2026-03-03 FORM 8-K view ·
S-1 2025-12-04 FORM S-1 view ·

About TRAD

Apex Tech Acquisition Inc. focuses on effecting a merger, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses. The company was incorporated in 2025 and is based in Houston, Texas.

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