GFI

GFI

USD

Gold Fields Limited American Depositary Shares

$35.680-0.490 (-1.355%)

即時價格

基本材料
黃金
南非

價格圖表

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關鍵指標

市場指標
公司基本面
交易統計

市場指標

開盤

$36.170

最高

$36.549

最低

$35.460

交易量

4.43M

公司基本面

市值

32.0B

行業

黃金

國家

South Africa

交易統計

平均交易量

3.60M

交易所

NYQ

貨幣

USD

52週範圍

最低 $12.98當前 $35.680最高 $47.18

AI分析報告

最後更新: 2025年11月3日
由AI生成數據來源: Yahoo Finance, Bloomberg, SEC

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

  1. Bearish DMI Signal: ADX (12.1), +DI (5.7), -DI (11.7) suggest a weak downtrend
  2. MACD Death Cross: MACD (-0.0534) below signal line (-0.0173) indicates short-term bearish momentum
  3. 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

CategoryScore (Out of 100)
Technicals7.18 (Bearish)
Fundamentals62.25 (Bullish)
Sentiment51.0 (Neutral)

Disclaimer: This analysis is based on provided data and does not constitute financial advice. Investors should verify information

AI預測Beta

AI推薦

中立

更新於: 2025年11月5日 上午03:12

看跌中立看漲

64.3% 信心度

風險與交易

風險級別1/5
低風險
適合
成長保守
交易指南

入場點

$35.51

獲利了結

$36.39

止損

$32.11

關鍵因素

DMI 顯示熊市趨勢 (ADX:17.9, +DI:7.0, -DI:8.0),建議謹慎
當前價格非常接近支撐位 ($35.63),表明強勁的買入機會
交易量是平均值 (44,506) 的 6.9 倍,表明極強的買入壓力
MACD -0.0202 在信號線 -0.0515 上方,表示看漲交叉

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