Gabriel Shpitalnik

Member of Macroaxis Editorial Board

Gabriel is a young entrepreneur and writes predominantly on the business, technology, and finance sector. He likes to analyze different equity instruments across a wide range of industries focusing primarily on consumer products and evolving technologies.
Company Analysis
gabriel@macroaxis.com

Gabriel Shpitalnik Latest Stories - Published

Knowledge is power, and investing in Educational Development Corp. might just empower your portfolio. As a player in the publishing industry, this NASDAQ-listed company offers a compelling opportunity with its solid financial footing. With a market capitalization of $14.6M and a book value per share of 4.96, the stock is trading at a level that suggests potential undervaluation.
  over a week ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
Volatility is the spice of the stock market, and Northern Technologies (NASDAQ: NTIC) has been serving up a hearty helping lately. As a player in the specialty chemicals sector, NTIC's recent price swings have caught the eye of investors looking for strategic opportunities. With a valuation real value pegged at 15.64 and a current market value hovering around 13.43, there's a noticeable gap that could signal potential for growth.
  over a week ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
Accolade, a player in the healthcare sector, presents a compelling investment opportunity right now. Despite a challenging financial landscape, with an operating income loss of 114.5M and a high probability of bankruptcy at 95.30%, the company's strong current ratio of 3.33X indicates robust liquidity, suggesting it can meet its short-term obligations comfortably. Trading on NASDAQ, Accolade's market capitalization stands at 277M, with a price-to-sales ratio of just 0.63X, making it attractively valued compared to its peers.
  over a week ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
Unifirst's stock is currently valued at $166.04 per share, with moderate growth expectations. With a beta of 0.15, the stock doesn't show much volatility compared to the broader market. This means that if the market rises, Unifirst's gains might be smaller, but in a downturn, its losses could also be less severe.
  over two weeks ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
As investors search for promising opportunities in the dynamic landscape of advertising agencies, Direct Digital Holdings has emerged as a potential contender worth considering. With a total revenue of $157.1 million and a gross profit of $28 million, the company demonstrates a solid financial foundation in the entertainment service category. Despite its relatively small workforce of 90 employees, Direct Digital Holdings has managed to carve out a niche in the industry, showcasing resilience and adaptability.
  over three weeks ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
Considering Syntec Optics' high Price to Book ratio of 10.56X, which significantly exceeds industry norms, the stock appears overvalued, suggesting a cautious approach. Additionally, with a Probability of Bankruptcy at 37.08%, potential investors might want to reassess the risk before committing to a purchase.

Key Takeaways

Syntec Optics Holdings has liabilities totaling $8.93 million. To support the existing expert consensus on Syntec Optics, we offer our insights. Our recommendation system uses a sophisticated algorithm that evaluates both technical and fundamental data to assess the company's growth potential.
  over three weeks ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
My Size, trading under the ticker MYSZ on NASDAQ, is a player in the Software - Application industry that has been navigating a challenging financial landscape. With a market capitalization of just $2M, the company is relatively small, and its financial metrics reflect the hurdles it faces. The company reported a loss with a profit margin of 44%, and its return on equity stands at a concerning 97%.
  over three weeks ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
Energy Services, trading under the ticker ESOA on NASDAQ, has recently caught the attention of investors, sparking discussions about its growth potential. As a player in the Engineering & Construction industry, the company showcases a blend of financial metrics that suggest a promising trajectory. With a net income from continuing operations standing at $7.4 million, the company demonstrates its ability to generate profit from its core activities.
  over a month ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
As we look at Value Line (VALU) from a technical perspective, the stock's recent performance suggests a cautious approach. With a 52-week high of 57.676 and a current price percent change of -0.74, traders are left wondering if the stock is gearing up for a rebound or if further declines are on the horizon. The Accumulation Distribution figure of 324.3 indicates a moderate level of buying interest, but the Total Risk Alpha of -0.11 suggests that the stock may not be outperforming its risk-adjusted expectations.
  over a month ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik
When it rains, it pours, and for Sangoma Technologies Corp, the recent uptick in stock price might just be the start of a more significant surge. This NASDAQ-listed company, operating within the Software - Infrastructure sector, has caught the eye of investors with its over 1% gain. However, a deeper dive into its financials reveals a complex picture.
  over a month ago at Macroaxis 
By Gabriel Shpitalnik
Gabriel Shpitalnik

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