Not a good buy right now: trend is bearish (SMA_200 > SMA_20 > SMA_5) and momentum is deteriorating (MACD histogram below 0 and negatively expanding).
Price (~1.51 pre-market) is sitting on/just below near-term support (S1 1.518; next S2 1.466), which increases breakdown risk if support fails.
Options are extremely expensive (30D IV ~310% vs HV ~96.5) and do not show confirming bullish activity (0 volume today); this is not a clean long entry setup.
Insiders are aggressively selling (selling amount up ~343% last month), a strong negative signal.
Intellectia Proprietary Trading Signals: no AI Stock Picker signal today and no recent SwingMax entry signal, so there is no high-conviction proprietary “buy now” trigger.
RSI: RSI_6 = 29.07 (near oversold conditions), which can allow a short bounce, but it’s not a reliable buy signal against a bearish MA stack.
Key levels: Pivot 1.602 (reclaiming this would help bulls). Resistance R1 1.686 / R2 1.738. Support S1 1.518 (being tested) and S2 1.466 (next downside level).
Pattern-based forward view: Similar-pattern stats imply ~70% chance of a slight dip next day (-0.11%) with modest upside bias over 1 week (+0.68%) and 1 month (+2.19%), but the edge is small and not aligned with the current bearish tape.
Options Data
Bullish
Open Interest Put-Call Ratio
Bullish
Option Volume Put-Call Ratio
Positioning: Call OI 7,290 vs Put OI 6 (OI put/call ratio ~0) → skewed toward calls, but this can also reflect legacy positioning rather than fresh bullish conviction.
Activity: Today’s options volume is 0 (no real-time sentiment confirmation from trading flow).
Volatility: Implied vol (30D) ~310.81% with IV percentile 86.4 → options are priced for very large moves; combined with no volume, this is not a supportive “smart money” signal.
IV trend: IV 5D avg ~394.87 and 10D avg ~354.17 (still elevated), suggesting continued uncertainty/risk pricing rather than stable bullish sentiment.
Technical Summary
Sell
10
Buy
3
Positive Catalysts
Upcoming earnings (2026-02-11 pre-market) can create a sharp move if results/updates surprise positively.
RSI near oversold levels can produce a short-lived technical bounce if S1/S2 holds and price reclaims the pivot (1.602).
Neutral/Negative Catalysts
No news in the last week: lack of near-term catalysts can leave the stock drifting with the prevailing bearish tape.
Financial Performance
Latest quarter: 2025/Q3.
Revenue: 0 (0.00% YoY) → no top-line traction indicated in the snapshot.
Profitability: Net income -$1.54M (down -27.77% YoY) → losses widened.
Overall: Financial snapshot points to ongoing cash burn/losses without revenue improvement in the period shown.
Growth
Profitability
Efficiency
Analyst Ratings and Price Target Trends
No analyst rating trend or price target change data was provided, so Wall Street sentiment can’t be validated from the dataset.
Practical read-through given the provided data: without visible upgrades/targets plus worsening losses and heavy insider selling, the “pro” case is weak versus the “con” case right now.
Wall Street analysts forecast BYSI stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for BYSI is 0 USD with a low forecast of 0 USD and a high forecast of 0 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.
Analyst Rating
0
Wall Street analysts forecast BYSI stock price to rise over the next 12 months. According to Wall Street analysts, the average 1-year price target for BYSI is 0 USD with a low forecast of 0 USD and a high forecast of 0 USD. However, analyst price targets are subjective and often lag stock prices, so investors should focus on the objective reasons behind analyst rating changes, which better reflect the company's fundamentals.