$2.200
-0.039 (-1.79%)Al cierre
Predicciones de precio
Ábrelo en la app para desbloquear previsiones a más largo plazo.
Predicción y previsión de LFS por análisis de gráficos similares
Alphio's LFS stock price prediction model matches the current Leifras Co Ltd tape against historical breakout patterns, then publishes 1-day and 1-week targets first. The 1-day print is $2.23 (+1.34%). The 1-week path is $2.18 (-0.84%). Longer windows use the same pattern set plus seasonality; the 1-month and multi-year forecasts sit behind unlock because they include precise min / avg / max bands.
¿Debería comprar acciones de Leifras Co Ltd?
Leifras Co Ltd (LFS) is currently trading at 2.27, which is below its 200-day simple moving average of 2.766, indicating a bearish trend. The RSI is at 45.951, suggesting the stock is neither overbought nor oversold, but it has declined 15.61% year-to-date, highlighting ongoing weakness. While recent acquisitions may enhance growth potential, the stock's significant drop of 43.25% over the past year raises concerns. The main risk is the company's low current ratio of 1.69, indicating potential liquidity issues.
LFS cerró en $2.20 el Tuesday, tras bajar -1.79%
Leifras Co Ltd (LFS) last closed at $2.2, losing -1.79%. These facts feed the 1-day and 1-week LFS price prediction above.
Factores de la previsión
Los factores de la previsión de Leifras Co Ltd (LFS) combinan patrones gráficos similares, estacionalidad y medias móviles.
Similar patterns
Bullish
Seasonality
Bearish
SMA 20
Bearish
SMA 200
Bearish
Patrones gráficos similares
Acciones cuya trayectoria reciente más se parece a la de LFS, ordenadas por similitud.
Análisis de estacionalidad de LFS
Historically the probability of a positive September return for LFS is 0.00%. January offers the highest probability of a positive month at 70.00%, while March is the weakest seasonal window. Alphio blends this calendar with technical signals and similar chart pattern matching before it writes the forecast.
Esta página es solo para investigación y no constituye asesoramiento de inversión. Los modelos pueden equivocarse. El rendimiento pasado no garantiza resultados futuros.