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ETOReToro Group Ltd.Sell5.4·$38.48+0.08%
ETOR · Why this verdict

Why eToro Group (ETOR) is rated SELL

Updated

Model-generated analysis — not investment advice. Not a registered investment advisor. Past performance does not guarantee future results.

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Methodology · Editorial policy & full disclaimer

VerdictSELL
Overall score5.4/10
ConfidenceHIGH
MacroNEUTRAL

Per-dimension breakdown

Value

9.1/10data confidence 83%
ComponentSub-score
P/E7.6
P/S10.0
Fwd P/E9.0
PEG10.0
Analyst target9.0
  • Forward P/E: 12.1x
  • PEG: 0.49
  • Attractively valued

Quality

5.0/10data confidence 100%
ComponentSub-score
ROE7.0
ROA10.0
Gross margin0.0
Op margin1.1
Net margin1.0
Current ratio9.6
Moat4.2
Piotroski F6.7
  • No competitive moat

Growth

3.5/10data confidence 67%
ComponentSub-score
Rev growth0.0
EPS growth6.9
  • Declining revenue: -36%

Momentum

5.5/10data confidence 100%
ComponentSub-score
RSI7.7
MACD0.0
OBV10.0
MA position5.0
Volume4.9
  • Uptrend pullback (RSI 38) - buy opportunity
  • Volume accumulation (rising OBV)
  • Above 200-MA but MA slope flat

Sentiment

7.6/10data confidence 100%
ComponentSub-score
LLM sentiment6.5
Analyst rating7.3
Price target9.3
  • Analyst upside: 43%

Insider

3.4/10data confidence 75%
ComponentSub-score
materiality3.0
insider conviction2.0
holder change5.2
  • Notable insider selling — $6,555,855 (0.211% of mkt cap)

Peer rank

3.5/10data confidence 80%
ComponentSub-score
value rank7.6
quality rank4.1
growth rank0.0

Technical

4.3/10data confidence 100%
ComponentSub-score
bollinger5.8
support resistance7.2
52w position0.0

Risk (lower is worse)

6.0/10data confidence 100%
ComponentSub-score
short interest7.5
days to cover9.1
volatility2.2
put call10.0
implied vol4.4
debt equity2.6
news risk6.0

Catalyst

4.0/10data confidence 100%
ComponentSub-score
erm5.0
earnings history3.3
earnings timing5.0
surprise avg1.9
news activity5.0
  • Earnings concerns: 2B/2M

How the verdict was assembled

Engine trigger

Multiple concerning factors. Consider reducing position.

Engine technical detail
verdict_path: L4:PATH_F_SELL
Passed (7)
  • MOMENTUM:5.5>=5.5
  • ASYMMETRY:3.5>=1.5
  • INSIDER:OK
  • 8K:CLEAN
  • EARNINGS_PROXIMITY:52d clear
  • SEMI_CYCLE_PEAK:CLEAR
  • MATERIALS_CYCLE_PEAK:CLEAR
Failed (0)

none

Warning (0)

none

Reward-to-Risk
3.45
Upside
+28.5%
Downside
8.3%
Sizing output
AVOID

SetupUNKNOWN No clear chart pattern; technical signals are mixed

EdgeNO_EDGE No clear edge identified

SuitabilityAGGRESSIVE MCap $3.1B<$5B

Investment implication

The F-path SELL output reflects an overall score of 3.9 below the 5.6 soft trigger — multiple weakening dimensions accumulated rather than a single hard-floor breach. The strongest dimension ( Value at 9.1) was not enough to lift the adjusted overall above the threshold. Current asymmetry R:R is 3.45 — supplementary context, not the trigger for this path.

The strongest dimensions are Value at 9.1, Sentiment at 7.6, and Risk (lower is worse) at 6.0; the weakest are Insider at 3.4, Peer rank at 3.5, and Growth at 3.5. The V9 engine cleared all gates, producing an asymmetric reward-to-risk of 3.45 and an engine sizing output of AVOID.

Engine reasoning is mechanically derived from pipeline gate outputs. See decision view.

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