
NRC
USDNational Research Corporation Common Stock (Delaware)
Preço em tempo real
Gráfico de preços
Métricas-chave
Métricas de mercado
Abertura
$14.340
Máximo
$14.775
Mínimo
$14.135
Volume
0.01M
Fundamentos da empresa
Capitalização de mercado
333.1M
Setor
Health Information Services
País
United States
Estatísticas de negociação
Volume médio
0.10M
Bolsa de valores
NMS
Moeda
USD
Faixa de 52 semanas
Relatório de análise de IA
Última atualização: 3/11/2025NRC Stock Update: National Research Corp Shows Volatile Recovery Pattern
Price Movement Summary
- Recent Close: $13.43 (Nov 3) after bouncing from $11.28 low (Oct 10)
- 3-Month Range: $11.28 - $16.14 (-30% peak-to-trough)
- Key Catalyst: October 28 surge (+16% on 273k volume - 2.7x average)
Breaking Down the Action
-
August Strength Steady climb from $12.58 to $16.03 (27% gain) on average volume, peaking Sept 9.
-
September Breakdown Sharp 31% collapse from $16.03 to $11.48 over six weeks, accelerated by high-volume selling Sept 19 (-6.9%) and Sept 29 (-6.2%).
-
October Rebound October 28 explosion ($11.43→$13.25) marked strongest single-day gain since August. Subsequent consolidation between $12.62-$13.45 suggests new trading range forming.
Technical Positioning
- Bullish Signals: MACD crossover + volume surge confirm momentum shift
- Immediate Resistance: $13.45-13.62 area (recent highs & Bollinger upper band)
- Critical Support: $12.02-12.62 zone (October rebound base)
- Volume Profile: Sustained above-average trading since rebound (115k-141k vs 101k avg)
Fundamental Context
| Metric | Value | Implication | |
|---|---|---|---|
| ✅ | ROE | 66.9% | Exceptional capital efficiency |
| ⚠️ | Debt/Equity | 559% | Highly leveraged structure |
| 🔻 | Revenue Growth | -3.4% | Contracting operations |
| 📊 | P/E | 11.57 | Below healthcare sector average |
Strategic Considerations
For Active Traders
- Near-term upside to $13.62 (+1.4%) if momentum holds
- Stop-loss prudent below $12.75 (recent consolidation low)
- Watch for volume confirmation on breakout attempts
Longer-Term Investors
- High debt load raises sustainability questions
- Negative growth contrasts with strong ROE - warrants deeper due diligence
- Sector outlook for health analytics remains favorable despite company-specific risks
Recommended Action Plan
- Day Traders: Scalp $13.15-13.45 range with tight stops
- Swing Traders: Consider long positions above $13.30 targeting $13.62 exit
- Risk-Averse Investors: Monitor debt management progress before entry
Data reflects market conditions as of November 3, 2025 closing. Past performance ≠ future results. Consult a financial advisor before trading. Volatility risk elevated with 52-week range of $9.76-$21.64.
Previsão de IABeta
Recomendação de IA
Atualizado em: 10/11/2025, 13:54
65.2% Confiança
Risco e negociação
Ponto de entrada
$14.43
Tomar lucro
$15.02
Parar perda
$13.26
Fatores-chave
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