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信號顯示 Lyft 股票的回調可能是短暫的

Schaeffers
2026年9月10日 下午05:16
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Lyft 股票下跌 0.2%,至 14.86 美元,標誌着連續第五個交易日下跌,年初至今累計下跌 23.3%。然而,分析師建議這種回調可能是短暫的,因為股價接近 126 日移動平均線附近的歷史看漲趨勢線。過去出現此信號時,平均一個月後上漲 9.4%。此外,高的認沽/認購比率表明了看跌情緒,這種情緒可能會逆轉,從而推動股價回升至 16 美元以上

Lyft Inc (NASDAQ:LYFT) is slightly lower this afternoon, down 0.2% at $14.86. Heading for a fifth-straight daily drop, the Uber Technologies (UBER) rival is trading near its late-July lows, sporting a grim 23.3% year-to-date deficit. All may not be lost, however, as this pullback looks to be placing Lyft stock near a trendline with historically bullish implications.

According to Schaeffer's Senior Quantitative Analyst Rocky White, LYFT shares are within 0.75 of their 126-day moving average's 20-day average true range (ATR), after remaining below it 80% of the time in the past two weeks and in 80% of the last 42 trading sessions.

This signal has occurred five times in the last 10 years, after which Lyft stock was higher one month later 60% of the time, averaging a 9.4% gain. From its current perch, a surge of this magnitude would put the shares back above the $16 area.

Put traders have been circling, per LYFT's 10-day put/call volume ratio at the International Securities Exchange (ISE), Chicago Board Options Exchange (CBOE), and NASDAQ OMX PHLX (PHLX), which stands higher than 76% of all other readings from the past year. Echoing this, the stock's Schaeffer's put/call open interest ratio (SOIR) of ranks higher than all other readings from the past 12 months. Should this bearish sentiment begin to unwind, it could trigger tailwinds for the shares.

Options are attractively priced as well, per the stock's Schaeffer's Volatility Index (SVI) of 51%, which stands higher than just 18% of all other readings from the past year, implying that near-term option traders are pricing in relatively low volatility expectations.

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