Nvidia (NVDA) Stock Drops Following Earnings Report
On 13 November, we analysed Nvidia’s (NVDA) price chart and noted: → The continuation of a long-term upward channel (highlighted in blue). → A consolidation below the psychological $150 level, forming a narrowing triangle along the Quater Line, which divides the lower half of the channel.
On 20 November, Nvidia released its Q3 earnings report, which exceeded analysts’ expectations: → Earnings per share (EPS): $0.81 (expected: $0.74). → Revenue: $35.08 billion (expected: $33.17 billion). → Revenue growth: +94% year-on-year, +17% quarter-on-quarter. Key Insights (via Reuters):
→ Optimism centres on Nvidia’s new Blackwell processors. → Concerns arise over a reduced revenue forecast due to supply chain constraints in chip production.
Despite strong results, Nvidia’s stock price dipped slightly following the report. Pre-market data suggests today’s trading could start around $142.50.
What’s Next?
Technical analysis of Nvidia’s chart indicates potential for further downside movement, with resistance levels formed by: → The psychological $150 mark. → A Resistance line running parallel above the correction channel (July–October) at a height equal to its range.
If bearish sentiment gains momentum in today’s main session, it could: → Confirm a bearish breakout from the consolidation triangle. → Threaten a breach of the lower boundary of the long-term growth channel.
In a worst-case scenario, NVDA could shift into a bearish trend within a descending channel (marked in red). Analyst Outlook:
According to TipRanks: → 39 of 42 analysts recommend buying NVDA stock. → The average 12-month price target is $165.
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