Stock Analysis

AD Stock Analysis

Array Digital Infrastructure, Inc.
COMMUNICATION SERVICES TELECOM SERVICES

Back to Winners View Yahoo Finance Chart Buy on the Dip
Strong Caution Mixed Weak Unavailable
Score 17%
17%
Weak
Fails several important screening checks.
Score combines multiple StockValueFinder tests.
Rating AVOID
Avoid
The screening rules are warning against this setup.
Rating is the simple decision label from the screening rules.
Trend SELL / AVOID TREND
Weak Trend
The current trend is unfavorable.
Trend shows whether price action is helping or hurting the setup.
P/E Ratio 8.73
Value-Friendly
Below 15 is a classic value screen, but not proof of a bargain.
P/E shows how much investors pay for each dollar of earnings.
ROIC 6.80%
Borderline
Below 10% is usable but not especially strong.
ROIC measures how efficiently capital turns into profit.
Debt Payback 3.86 yrs
Fair
Manageable, but not as strong as a sub-3-year payback.
Debt payback estimates how quickly debt could be covered.
Interest Coverage -1.74x
Poor
Negative coverage means earnings are not covering interest costs.
Interest coverage shows how easily earnings cover interest costs.
Price $34.02
Market Price
Price alone is not a buy or sell signal.
Price should be judged with valuation, quality, and trend.
💰 Dividend Income Dividend Payer
$11.00 semiannual

Annualized: $22.00 • Yield: 64.67%

Last ex-dividend: 2026-06-11. Dividend payments can change or be suspended.
Estimated income from $1,000 invested $323.34 per semiannual payment $646.68 estimated yearly Based on cached price. Estimates exclude taxes, dividend changes, and fractional-share limitations.
Last updated: 2026-07-14 02:10:13

AI Hedge Fund Panel Review

Multi-agent AI second opinion. This is research support, not financial advice.

No AI panel review has been cached yet for this ticker. The next background AI scan can add one automatically.

🔴
Red Light Avoid / Exit Warning

SVF Entry & Exit Plan

Price is below the 50-day average area. This is not a clean long setup.

Suggested Entry Zone $36.32 - $38.16

Preferred area to consider an entry instead of chasing price.

Current Price $34.02

Distance from 20-day average: -7.7%

Initial Stop / Exit Point $31.23

Consider exiting if price closes below this risk line.

Trailing Stop 8.2%

Volatility-adjusted trailing stop estimate.

Profit Target 1 $39.60

Approximate 2-to-1 reward/risk target.

Profit Target 2 $42.38

Approximate 3-to-1 reward/risk target.

20-Day Avg$36.87
50-Day Avg$45.12
200-Day Avg$48.34

This entry and exit plan is generated from rule-based price, trend, volatility, and AI-review data. It is a research tool only, not financial advice.

Performance Overview

Trailing adjusted-close returns as of 2026-07-13. Benchmark is SPY.

YTD Return

AD -1.86%
SPY +10.45%

1-Year Return

AD +7.41%
SPY +21.46%

3-Year Return

AD +329.83%
SPY +72.98%

5-Year Return

AD +103.68%
SPY +84.05%

Returns are calculated from adjusted close prices and may differ from broker or research-site totals depending on data source, dividend handling, benchmark choice, and latest available trading date.

AD Price & Moving Average Chart

Cached chart using stored daily close prices with 20-day, 50-day, and 200-day moving averages.

-46.82%
High $80.45 Low $30.58 2025-06-30 2026-07-13
Price 20-day MA 50-day MA 200-day MA Limit buy idea
Chart window: 2025-06-30 to 2026-07-13. Current cached close: $34.02. Period change: -46.82%.

AI Analyst Explanation

Plain-English expert explanation based on cached fundamentals, moving averages, and chart behavior. Educational only — not financial advice.

THINKING Just a minute...

The AI analyst is reading the chart, moving averages, valuation, fundamentals, and risk signals. The explanation will appear in this box automatically.

Current step Starting analyst queue... The page will update automatically when the explanation is ready.
Data Chart Fundamentals Analyst Writing

Why This Stock Scored This Way

This page uses cached SQL data from the latest StockValueFinder scan, so it loads fast without hitting Alpha Vantage on every page view.

17%
EPS Strength
FAIL

Looks for positive and improving earnings per share.

ROIC 10%+
FAIL

Looks for strong return on invested capital.

Interest Coverage 6+
FAIL

Checks whether operating income comfortably covers interest expense.

Debt Payback ≤ 3 Years
FAIL

Checks whether free cash flow could pay down long-term debt quickly.

P/E 15 or Less
PASS

Checks whether valuation is reasonable under the current rule set.

Moving Average Trend
SELL / AVOID TREND

Uses 20-day, 50-day, and 200-day moving averages for entry timing context.

A high StockValueFinder score is a research signal, not a guarantee. Strong companies can still fall during recessions, sector downturns, valuation resets, or company-specific events. Always review the business, risks, SEC filings, valuation, and your personal investment goals before buying.

Cached Technical Data

Moving average values from the latest stored scan.

20-Day MA36.87
50-Day MA45.12
200-Day MA48.34
MA Score0

30-Day Trendline Analysis

Optional intraday chart with rising support, falling resistance, and multi-timeframe views.

Load detailed price structure only when needed. Downloads roughly 30 days of 5-minute candles, identifies swing points, then calculates validated support and resistance lines.
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