
GFI
USDGold Fields Limited American Depositary Shares
Цена в режиме реального времени
График цен
Ключевые показатели
Рыночные показатели
Открытие
$36.170
Максимум
$36.549
Минимум
$35.460
Объем
4.43M
Фундаментальные показатели компании
Рыночная капитализация
32.0B
Отрасль
Золото
Страна
South Africa
Статистические данные торговли
Средний объем
3.60M
Биржа
NYQ
Валюта
USD
52-недельный диапазон
Отчет об анализе ИИ
Последнее обновление: 3 нояб. 2025 г.GFI 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
Прогноз ИИBeta
Рекомендация ИИ
Обновлено в: 5 нояб. 2025 г., 03:12
64.3% Уверенность
Риск и торговля
Точка входа
$35.51
Взять прибыль
$36.39
Остановить убытки
$32.11
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