$0.483
-0.019 (-3.98%)收盤時
- High
- 0.500
- Open
- 0.477
- VWAP
- 0.48
- Vol
- 1.13M
- Mkt Cap
- 48.16M
- Low
- 0.460
- Amount
- 544.89K
- EV/EBITDA, TTM
- -0.01
Xiao-I Corp is a holding company mainly engaged in the provision of artificial intelligence (AI) services. The Company provides smart city, software business and architectural design AI services covering fundamental tech platform, conversation bot, cloud services, industry solutions and robotics solutions. The Company mainly conducts business in the domestic market.
AI analysis of Xiao-I Corp (AIXI)
holdXiao-I Corp (AIXI) is currently trading at $0.55, which is a significant drop of 93.65% year-to-date. The stock has a low RSI of 40.659, indicating it is not yet oversold, suggesting further downside risk. While it has shown a recent 5-day increase of 19.32%, the long-term trend is concerning with a 1-year change of -98.19%. The forward P/E ratio is 0, reflecting negative earnings expectations, and the gross margin is declining, projected at 44.44% by Q4 2025. The main risk is the company's current ratio of 0.12, indicating severe liquidity issues. Therefore, it is advisable to hold off on buying until there are clearer signs of recovery and stability.
估值指標
事件時間軸
資訊
7.008-20PRnewswireXIAO-I Corporation Faces Nasdaq Compliance Challenge
8.508-20PRnewswireXiao-I Corporation Adjusts ADS Ratio
8.508-20NewsfilterXiao-I Corporation Adjusts ADS Ratio
4.506-23NASDAQ.COMNASDAQ 100 Pre-Market Activity Overview
7.006-19PRnewswireXiao-I Corporation Updates on Patent Litigation with Apple
AIXI FAQ — answered by Alphio AI
Xiao-I Corp is a holding company mainly engaged in the provision of artificial intelligence (AI) services. The Company provides smart city, software business and architectural design AI services covering fundamental tech platform, conversation bot, cloud services, industry solutions and robotics solutions. The Company mainly conducts business in the domestic market. It operates in the Technology sector (PREPACKAGED SOFTWARE industry).
Xiao-I Corp (AIXI) is currently trading at $0.55, which is a significant drop of 93.65% year-to-date. The stock has a low RSI of 40.659, indicating it is not yet oversold, suggesting further downside risk. While it has shown a recent 5-day increase of 19.32%, the long-term trend is concerning with a 1-year change of -98.19%. The forward P/E ratio is 0, reflecting negative earnings expectations, and the gross margin is declining, projected at 44.44% by Q4 2025. The main risk is the company's current ratio of 0.12, indicating severe liquidity issues. Therefore, it is advisable to hold off on buying until there are clearer signs of recovery and stability.
本頁僅供研究參考,不構成投資建議。模型可能出錯。過往表現不代表未來結果。