Our valuation model suggests a stable target with relatively steady profitability, indicating a relatively positive fundamental outlook. 2. The current stock trend is bearishwith momentum accumulation in the intermediate-term. 3. The current potential for an upward price swing is higher. Considering the current swing trading score, our default strategy has a risk-to-reward ratio of 2.55. 4. The institutional ownership stands at 101.28%, indicating relatively concentrated ownership. Latest quarter: 92 institutions bought, 136 institutions sold. 5. No dividend history, not ideal for dividend-oriented buy-and-hold strategy.