Odyssey Marine Exploration Inc

Odyssey Marine Exploration Inc(OMEX)股票分析

$0.824

-0.071 (-8.63%)收盤時

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High
0.918
Open
0.900
VWAP
0.85
Vol
465.70K
Mkt Cap
102.36M
Low
0.813
Amount
396.50K
EV/EBITDA, TTM
0.00

Odyssey Marine Exploration, Inc. is an ocean exploration company. The Company is engaged in the discovery, validation, and advancement of seafloor critical mineral projects, including polymetallic nodules for battery metals and subsea phosphate deposits for fertilizers. It offers comprehensive research, marine operations, and regulatory compliance support, and works with governments and seafloor rights holders worldwide. Its projects include the Exploraciones Oceanicas Phosphate Project (ExO Phosphate Project), CIC Project, Ocean Minerals, LLC Project and LIHIR Gold Project. The ExO Phosphate Project is a rich deposit of phosphate sands located 70-90 meters deep within Mexico’s Exclusive Economic Zone. The project is located approximately 25-40 kms from the coast of Baja California Sur, Mexico. The Lihir Gold Project covers a subsea area that contains several prospective gold exploration targets in two different mineralization types: seamount-related epithermal and modern placer gold.

AI analysis of Odyssey Marine Exploration Inc (OMEX)

hold

Odyssey Marine Exploration Inc is currently priced at 0.824, which is significantly lower than its 200-day simple moving average of 1.356, indicating a bearish trend. The RSI is at 35.236, suggesting that the stock is nearing oversold territory, which could present a buying opportunity if the price stabilizes. However, the forward P/E ratio is 21.645, which is high given the company's recent performance and negative earnings. The main risk is the significant year-to-date change of -62.20%, indicating volatility and potential further decline.

估值指標

The current forward P/E ratio for Odyssey Marine Exploration Inc (OMEX) is 21.64, compared to its 5-year average forward P/E of 2.49.

Forward P/E

Overvalued
5Y Average P/E
2.49
Current P/E
21.64
高估
14.24
低估
-9.26

Forward EV/EBITDA

Strongly Undervalued
5Y Average EV/EBITDA
0.00
Current EV/EBITDA
0.00
高估
0.00
低估
0.00

Forward P/S

Fair
5Y Average P/S
31.57
Current P/S
0.00
高估
66.21
低估
-3.08

Whales holding OMEX

T

Two Seas Capital LP

+ HoldingOMEX

-10.82%

3M Return

事件時間軸

2026-08-11 (ET)

09:00:00

American Ocean Minerals Appoints Paul Warme as CFO

2026-07-14 (ET)

09:00:00

American Ocean Minerals Completes Seafloor Survey in Cook Islands

2026-07-07 (ET)

09:00:00

American Ocean Minerals Merger with Odyssey Marine Approved

2026-05-11 (ET)

08:50:00

Odyssey Marine and AOMC Propose Merger

2026-04-27 (ET)

08:40:00

American Ocean Minerals Deploys MV Anuanua Moana for Research Activities

資訊

OMEX FAQ — answered by Alphio AI

Odyssey Marine Exploration, Inc. is an ocean exploration company. The Company is engaged in the discovery, validation, and advancement of seafloor critical mineral projects, including polymetallic nodules for battery metals and subsea phosphate deposits for fertilizers. It offers comprehensive research, marine operations, and regulatory compliance support, and works with governments and seafloor rights holders worldwide. Its projects include the Exploraciones Oceanicas Phosphate Project (ExO Phosphate Project), CIC Project, Ocean Minerals, LLC Project and LIHIR Gold Project. The ExO Phosphate Project is a rich deposit of phosphate sands located 70-90 meters deep within Mexico’s Exclusive Economic Zone. The project is located approximately 25-40 kms from the coast of Baja California Sur, Mexico. The Lihir Gold Project covers a subsea area that contains several prospective gold exploration targets in two different mineralization types: seamount-related epithermal and modern placer gold. It operates in the Basic Materials sector (WATER TRANSPORTATION industry).

Odyssey Marine Exploration Inc is currently priced at 0.824, which is significantly lower than its 200-day simple moving average of 1.356, indicating a bearish trend. The RSI is at 35.236, suggesting that the stock is nearing oversold territory, which could present a buying opportunity if the price stabilizes. However, the forward P/E ratio is 21.645, which is high given the company's recent performance and negative earnings. The main risk is the significant year-to-date change of -62.20%, indicating volatility and potential further decline.

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