Price between its moving averages. RSI 51 — neutral.
AlphaLucid Score
AI multi-factor analysis, peer-relative
Average
56
Score (0–100)
Confidence 76%band 51–61
Valuation55
Growth63
Quality55
Health81
Momentum
Historical Analogues
Closest historical profiles by multi-factor similarity.
MSFT
Similarity 0.98
NVDA
Similarity 0.93
AAPL
Similarity 0.93
What it does for your portfolio
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Thesis Status
Sign in to track this thesis — we'll watch whether the assumptions behind it still hold and flag any drift.
News & AI Sentiment
News + momentum-8QoQ +0Neutral
An absolute −99…+99 blend of news tone and recent price momentum, with a quarter-over-quarter delta (the change matters more than the level). This differs from the peer-relative Sentiment dimension in the score above — which ranks news tone vs comparable names — so a name can read “Bullish” here on momentum while its score Sentiment sits lower vs peers. Per-headline tags come from a finance lexicon on the headline text only (not the full article) — a fast heuristic that can misread sarcasm or a mixed headline, so treat them as a rough cue, not a judgment.
Why Gemini 4 Failed To Ignite Google Stock Ahead Of Q3 Earnings - Investor's Business Daily
Neutral
Google News · recent
Here's What a $1,000 Investment in Alphabet Stock Could Be Worth in 5 Years. (Hint: It Could More Than Double.) - Yahoo Finance
Neutral
Google News · recent
Planet Labs Stock Is Down 66% as Google AI Satellite Reaches Orbit - Benzinga
Neutral
Google News · recent
40
Sentiment37
Factor Breakdown
Valuation
P/E
28.7 · pct 58→
P/B
6.4 · pct 59→
P/S
6.2 · pct 47→
Earnings Yield
3.5% · pct 58→
Dividend Yield
1.00% · pct 53→
Growth
Revenue Growth
14.0% · pct 75↑
EPS Growth
17.0% · pct 59→
Price Growth 1Y
18.0% · pct 59→
Growth Quality (EPS−Rev)
3.0pp · pct 53→
Quality
Gross Margin
58% · pct 53→
Operating Margin
28% · pct 47→
Net Margin
24% · pct 59→
ROE (proxy)
27% · pct 59→
Margin Quality
0.41 · pct 59→
Health
Debt / Equity
0.10 · pct 97↑
Current Ratio
3.10 · pct 91↑
Interest Cover (proxy)
5.00 · pct 97↑
Beta (stability)
1.20 · pct 34↓
Momentum
1M Momentum
0.0% · pct 47→
3M Momentum
0.0% · pct 41→
1Y Momentum
0.0% · pct 16↓
Momentum Acceleration
0.0pp · pct 66↑
Proximity to 52W High
64% · pct 34↓
Sentiment
News Sentiment
Neutral · pct 25↓
Trend (3M annualized)
0% · pct 41→
Income Appeal
1.00% · pct 53→
Computed 10/6/2026, 7:24:41 PM UTC
Score Profile
Peer-relative, six dimensions at a glance.
56
Average
ML Signal (1M)Up · 60%
Logistic model on real price features (980 real samples). A weak directional signal, not a forecast — see Track Record for the honest out-of-sample score. Not advice.
Financial Overview
Valuation
P/E28.7
P/B6.4
P/S6.2
Market Cap$4.17T
Profitability
Gross Margin58.0%
Operating Margin28.0%
Net Margin24.0%
Growth
Revenue Growth14.0%
EPS Growth17.0%
Price Growth 1Y18.0%
Financial Strength
Debt / Equity0.10
Current Ratio3.10
Beta1.20
Dividends
Div Yield1.0%
Payout Ratio0.0%
Performance
1M0.0%
3M0.0%
1Y0.0%
Technical
Volume13,225,512
Avg Volume20,627,671
52W High$404.47
52W Low$236.69
DCF Valuation & Sensitivity
Model: FCF DCF
Fair value needs real positive free-cash-flow data, which is not available for this ticker right now.
Fair value (DCF)
N/A
Probabilistic Scenarios (5Y)
A distribution of outcomes over 5Y, not a single price target.
break-even
market 1.49x
median 1.71x
P5 · 0.12xP95 · 3.65x
16%
P(loss)
37%
P(≥2x)
11%
P(≥3x)
Median 1.71x vs a diversified market’s 1.49x over the same horizon — this name’s outlook is above the market (both medians, so the comparison is fair).
The four regimes (sampled each year)
Regime
Chance
Return / year
Bull
21%
+27%
Base
45%
+11%
Bear
21%
+3%
Stress
8%
-11%
Ruin
6%
-60%
Why these numbers: the regimes center on an expected return of +11.2%/yr — the three sources of a stock's return: income (1.0% dividend) + earnings growth (+15.0%/yr, capped for prudence), anchored toward the 8% long-run market average (it trades near DCF fair value, so no valuation tilt). The band's width comes from its volatility — modeled log-normally with the volatility drag and fat tails priced in, plus uncertainty in the estimate itself, so it widens correctly over longer horizons. Not advice.
Alphabet Appears To Be The Easiest AI Trade Of The Year Before Its Q3 Print (NASDAQ:GOOG) - Seeking Alpha