Robinhood (RVI)

Robinhood (RVI)

Precio: 36.35

Empresa y modelo de negocio

Robinhood operates in the real estate sector, primarily focusing on providing a platform for trading stocks and other financial instruments. Its core services include commission-free trading, investment management, and educational resources for retail investors. The company generates revenue mainly through payment for order flow, interest on cash balances, and subscription services.

Perfil de inversión

The stock presents a neutral investment profile, appealing to investors seeking a balanced approach. It offers potential for growth through its innovative trading platform while lacking a dividend yield. The volatility suggests a moderate risk level, making it suitable for investors with a medium to long-term horizon who are comfortable with market fluctuations.

Sitio oficial

Métricas fundamentales

EPS (TTM) — ganancias por acción de los últimos 12 meses, $
2.52 OK
Ingresos QoQ — crecimiento trimestral de ingresos
665.5%
Volatilidad 20d
12.5% volátil
Datos FMP / FinFeed actualizados: 2026-06-11
Recomendación: Mantener Potencial: 67 Riesgo: 80 Actualizado: 2026-06-11 05:25
Cómo funciona la recomendación
Por qué la IA piensa así:
High volatility and uncertain fundamentals warrant caution.

Seguir en portafolio

Gráfico de precio

Recomendación IA Pronóstico de analista Evento de calendario Señal positiva Señal negativa Neutral / actualización Mantener / informativo B My buy S My sell
Cambios de recomendación IA
Fecha Antes Después Razón
2026-05-24 02:49 Comprar Mantener Strong revenue growth, but high volatility and risk.
2026-05-20 02:55 Mantener Comprar Strong momentum and revenue growth indicate significant upside potential.
2026-05-16 02:51 Comprar Mantener Strong growth but high volatility and uncertainty remain.

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Robinhood (RVI)

Фонд венчурных инвестиций Robinhood (RVI) упал на 11% в первый день торгов на Нью-Йоркской фондовой бирже

Фонд венчурных инвестиций Robinhood I дебютировал на Нью-Йоркской фондовой бирже с падением на 11%, что вызывает сомнения в готовности инвесторов к более рискованным вложениям на фоне геополитической напряженности.