DAVE

DAVE

USD

Dave Inc. Class A Common Stock

$234.580-25.430 (-9.780%)

Prix en Temps Réel

Technologie
Software - Application
États-Unis

Graphique des Prix

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Métriques Clés

Métriques de Marché
Fondamentaux de l'Entreprise
Statistiques de Trading

Métriques de Marché

Ouverture

$260.010

Haut

$273.120

Bas

$220.000

Volume

0.52M

Fondamentaux de l'Entreprise

Capitalisation Boursière

3.2B

Industrie

Software - Application

Pays

United States

Statistiques de Trading

Volume Moyen

0.47M

Bourse

NGM

Devise

USD

Intervalle sur 52 Semaines

Bas $37.56Actuel $234.580Haut $286.45

Rapport d'Analyse IA

Dernière mise à jour: 4 nov. 2025
Généré par l'IASource des Données: Yahoo Finance, Bloomberg, SEC

DAVE Inc. (DAVE) Analysis: Mixed Signals Ahead of Earnings Call

Price Action Review

DAVE shows erratic price behavior over the last three months. Key patterns include:

  • August Turbulence: Sharp 22% drop on Aug 6 ($235.48 → $187.42 low) followed by a 23% rebound over the next 12 trading days
  • Recent Highs: Reached $255.50 on Oct 24 before a 12% correction to $223.00 by Oct 30
  • Current Level: Trading at $240.11 as of Nov 3 (vs $239.32 previous close), with technical indicators split:
  • Bullish: DMI shows positive trend (PDI 17.2 > MDI 10.3)
  • Bearish: MACD crossover (1.2659 < 1.3688) and 34.73 debt-to-equity ratio

Volume patterns highlight:

  • Extreme 2.65M share day on Aug 6 (7x average volume)
  • Current 628K volume on Nov 3 exceeds average 468K, suggesting sustained interest

News & Sentiment

Two key developments shape sentiment:

  1. Analyst Support: Barrington Research reaffirmed $290 price target (Nov 3) despite recent pullback
  2. Earnings Catalyst: November 4 conference call (announced Oct 21) could drive volatility - timing aligns with current price near 3-week lows

Sentiment score remains neutral (56.34/100) despite positive analyst action, likely due to:

  • Elevated P/E ratio (240.11 vs sector average)
  • High debt-to-equity concerns (34.73 vs threshold 0.70)

Predictive Outlook

AI models project cautious optimism:

  • Day 1: Flat movement (-0.04%)
  • Day 2: +1.04%
  • Day 3: +2.29% Projected $260.08 take profit level represents 8.3% upside from current price

Strategic Recommendations

For Aggressive/Growth Investors:

  • Monitor $235.86-$239.51 range as potential entry zone (6 confirmed levels)
  • Set stop-loss at $215.34 (10.4% downside buffer)
  • Consider partial profit-taking at $239.32 (prior close) to lock gains

Key Risks:

  • Sector-specific: High market sensitivity may exaggerate movements
  • Company-specific: Elevated leverage and 64.1x P/E ratio create valuation concerns

Action Plan:

  1. Pre-Earnings Positioning: Nov 3-4 sees critical support/resistance at $235-240
  2. Post-Call Strategy: Watch for breakout above $246.61 (Nov 3 high) or breakdown below $232.89
  3. Volume Watch: Surpassing 500K shares (as seen Aug 6, Oct 14) often precedes major moves

**Balance Sheet Highlights

Actualités Connexes

Analyst Upgrades

Barrington Research Maintains Outperform on Dave, Maintains $290 Price Target

Barrington Research analyst Gary Prestopino maintains Dave with a Outperform and maintains $290 price target.

Voir plus
Barrington Research Maintains Outperform on Dave, Maintains $290 Price Target
Analyst Upgrades

Barrington Research Maintains Outperform on Dave, Maintains $290 Price Target

Barrington Research analyst Gary Prestopino maintains Dave with a Outperform and maintains $290 price target.

Voir plus
Barrington Research Maintains Outperform on Dave, Maintains $290 Price Target
GlobeNewswire

Dave to Host Third Quarter 2025 Conference Call on November 4, 2025 at 8:30 a.m. ET

LOS ANGELES, Oct. 21, 2025 (GLOBE NEWSWIRE) -- Dave Inc. (&#34;Dave&#34; or the &#34;Company&#34;) (NASDAQ:DAVE), one of the nation's leading neobanks, will host a conference call on Tuesday, November 4, 2025 at 8:30 a.m. Eastern time

Voir plus
Dave to Host Third Quarter 2025 Conference Call on November 4, 2025 at 8:30 a.m. ET

Prédiction IABeta

Recommandation IA

Haussier

Mis à jour le: 5 nov. 2025, 03:53

BaissierNeutreHaussier

64.5% Confiance

Risque et Trading

Niveau de Risque3/5
Risque Moyen
Adapté Pour
CroissanceAgressif
Guide de Trading

Point d'Entrée

$235.80

Prise de Bénéfices

$260.07

Stop Loss

$215.34

Facteurs Clés

Le PDI 17.2 est au-dessus du MDI 10.3 avec un ADX de 23.6, suggérant une tendance haussière
Le cours actuel est extrêmement proche du niveau de support ($236.79), suggérant une forte opportunité d'achat
Le volume de transactions est 17.6x la moyenne (4,753), indiquant une pression d'achat extrêmement forte
Le MACD 1.2659 est en dessous de la ligne de signal 1.3688, indiquant un croisement baissier

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