
GFI
USDGold Fields Limited American Depositary Shares
Prix en Temps Réel
Graphique des Prix
Métriques Clés
Métriques de Marché
Ouverture
$36.170
Haut
$36.549
Bas
$35.460
Volume
4.43M
Fondamentaux de l'Entreprise
Capitalisation Boursière
32.0B
Industrie
Or
Pays
South Africa
Statistiques de Trading
Volume Moyen
3.60M
Bourse
NYQ
Devise
USD
Intervalle sur 52 Semaines
Rapport d'Analyse IA
Dernière mise à jour: 3 nov. 2025GFI Stock Analysis: Gold Fields Limited (NYSE: GFI)
November 3, 2025 Market Outlook
Key Takeaways
Gold Fields Limited (GFI) sits at a crossroads between strong long-term fundamentals and short-term technical caution signals. Recent price action shows increased volatility, and mixed indicators require careful navigation.
Price Action Snapshot
- Current Price: $38.17 (November 3, 2025)
- 52-Week Range: $12.98 - $47.18
- Recent Volatility: Sharp 7.5% drop (October 9) followed by partial recovery
- Volume Trends: Spiked to 8.4x average (Oct 9) but now near 6-month lows
Technical Red Flags
- Bearish DMI Signal: ADX (12.1), +DI (5.7), -DI (11.7) suggest a weak downtrend
- MACD Death Cross: MACD (-0.0534) below signal line (-0.0173) indicates short-term bearish momentum
- Support Zone Alert: Price nearing critical $38.61 support level - breakdown risk (3.5% below current price)
Fundamental Strengths
- High Growth: Revenue surged 63.7% year-over-year
- Profitability: 35.2% ROE (Return on Equity) shows strong management efficiency
- Analyst Backing: 8 strong buy ratings with $47.50 average target (+23.6% upside)
Key Weakness: Debt-to-equity ratio at 40.88 (well above healthy threshold of 0.70)
Risk Profile
- Risk Level: 3/5 (Moderate)
- Mitigating Factors:
- Low volatility (contradicted by recent 10%+ daily swings)
- Low market correlation reduces systemic exposure
Strategic Recommendations
Conservative Approach:
- Watch $38.61 support level closely - potential bounce candidate
- Consider entry at $38.49-$38.81 range with stop-loss at $34.59
Caution Zone:
- Avoid aggressive positions until MACD/DMI confirm trend reversal
- Monitor debt concerns amid rising commodity price sensitivity
Long-Term View:
- Take-profit at $39.2 offers 1.4% near-term upside
- 23.6% analyst target upside suggests recovery potential over 6+ months
Technical Scorecard
| Category | Score (Out of 100) |
|---|---|
| Technicals | 7.18 (Bearish) |
| Fundamentals | 62.25 (Bullish) |
| Sentiment | 51.0 (Neutral) |
Disclaimer: This analysis is based on provided data and does not constitute financial advice. Investors should verify information
Prédiction IABeta
Recommandation IA
Mis à jour le: 5 nov. 2025, 03:12
64.3% Confiance
Risque et Trading
Point d'Entrée
$35.51
Prise de Bénéfices
$36.39
Stop Loss
$32.11
Facteurs Clés
Actions Connexes
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