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AAPL+0.8%MSFT+1.1%SPY+0.3%QQQ+0.6%TLT-0.2%GLD+0.4%NVDA+2.1%XLF-0.1%AAPL+0.8%MSFT+1.1%SPY+0.3%QQQ+0.6%TLT-0.2%GLD+0.4%NVDA+2.1%XLF-0.1%

NVDA Company Analysis

A guided view of price action, financial statements, ratios, and AI-style research notes.

Updated now
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OverviewPriceEventsThesisQuantFinancialsRatiosAI notes

Overview

NVDA · NVIDIA Corp

Equity · Semiconductors · NASDAQ NMS - GLOBAL MARKET

Live data

Current price

1.5%
$211.14

USD

Market cap

$5.11T

US

Revenue

0.0%
$215.9B

2026

Net income

0.0%
$120.1B

2026

Price graph

1-year price history

-1.5%

AI analysis

Research assistant

Quant context: CautiousReturnNet context attached

Business overview: NVIDIA Corp (NVDA) operates in Semiconductors with an estimated market cap of $5.11T.

Revenue trend: Revenue was broadly stable year over year, moving from $215.9B to $215.9B.

Profitability trend: Net income was broadly stable; latest net margin is 55.6% and operating margin is 60.4%.

Balance sheet strength: Assets are $206.8B against liabilities of $49.5B. Debt-to-equity is 0.06 and current ratio is 3.91.

Valuation: P/E is 42.6, P/S is 23.7, and P/B is 32.5 using available market cap and filing data.

Risks: Provider coverage, filing timing, accounting classifications, rates, margins, competition, and macro conditions can materially change this view.

Educational summary: This is a fundamentals-oriented breakdown for research only and is not financial advice or a buy/sell recommendation.

Earnings calendar

Upcoming catalysts

Earnings

Aug 25, 2026

Q2 2027

EPS est.

2.12

EPS actual

N/A

Revenue est.

$93.2B

Timing

amc

earnings · Aug 25, 2026

Upcoming earnings date

Fiscal Q2 2027, EPS estimate 2.1196, timing amc.

neutral

insider · May 27, 2026

Insider activity monitor

15 recent insider transactions found; net reported share change -239,731.

caution

filing · May 20, 2026

10-Q filing available

10-Q for period 2026-04-26 is available from SEC EDGAR.

positive

SEC filing viewer

10-K / 10-Q summaries

10-Q · Filed May 20, 2026

10-Q

SEC source

Select a filing and generate a summary. The summary is educational only and should be checked against the original SEC document.

Provider: not generated. Not investment advice.

Insider transactions

Recent Form 4 activity

Dabiri John

May 27, 2026 · Code S

-625
@ $214

STEVENS MARK A

Mar 20, 2026 · Code S

-121,682
@ $175

STEVENS MARK A

Mar 20, 2026 · Code S

-100,000
@ $173

Kress Colette

Mar 20, 2026 · Code S

-471
@ $178

Kress Colette

Mar 20, 2026 · Code S

-1,034
@ $177

Kress Colette

Mar 20, 2026 · Code S

-3,876
@ $176

Kress Colette

Mar 20, 2026 · Code S

-1,316
@ $175

Kress Colette

Mar 20, 2026 · Code S

-734
@ $174

Institutional ownership

Major holders

Largest reported institutional positions from the current provider feed.

No major-holder data was returned by the configured provider for this ticker. SEC filings and insider activity remain available above when reported.

Thesis tracker

Bear-case monitor

Write the reason you care about NVDA, then test whether the latest financials, filings, catalysts, insider data, and price action support or weaken it.

Catalysts

3

Positive / caution

1 / 1

Filings tracked

8

Integrity score

--/100
Not checked

No thesis score yet. Save a thesis and run the integrity check to generate the monitor.

Provider: not generated. Educational research only.

The tracker will turn your thesis into concrete disconfirming evidence and a reusable monitoring checklist.

Educational thesis tracking only. This is not investment advice and does not recommend buying, selling, or holding any security.

Quant lab

Signals and ML forecast

Technical indicators, tail-risk statistics, and a validation-gated log-return model for NVDA. Educational only.

Cautious

Quant score

37/100

Trend 52 / Risk 23

ML next close

0.3%
$211.83

2026-06-01

EWMA volatility

35.2%

Downside vol 34.1%

Tail risk

4.87%

CVaR 6.91% / Max DD -66.4%

Price, bands, and forecast

Close, 20-day average, 50-day EMA, Bollinger range, and next-session model point.

Close SMA 20 Forecast

Validated return model

Expected move

0.3%

Confidence

25%

Edge

-18.4%

Val samples

297

Next-session range: $201.63 to $222.54

Chronological ridge autoregression on standardized lag, momentum, volatility, drawdown-tail, and slope features.

Indicator table

RSI 1446.3

Momentum oscillator

MACD3.81 / 5.97

Line / signal

Bollinger position38.8%

0% lower band, 100% upper band

Daily move-1.4%

Latest close vs prior close

Model RMSE3.00%

Chronological validation log-return error

Best baseline RMSE2.53%

Lower of zero-return and mean-return baselines

Validation hit rate52.5%

Predicted sign vs actual sign

Trend score
52/100

Moving averages, MACD, RSI

Risk score
23/100

Volatility and drawdown control

Model score
33/100

Sequence forecast and fit quality

Risk and regime diagnostics

Annualized return

67.4%

Compounded from mean daily log return

Downside volatility

34.1%

Annualized negative-return deviation

95% VaR

4.87%

Historical one-day loss threshold

95% CVaR

6.91%

Average loss inside the 5% tail

Sortino

1.51

Return per unit downside volatility

Calmar

1.02

Return divided by max drawdown

Hurst

0.6

Trend persistence estimate

Regime

High-volatility stress

1254 daily return observations

Quant readout

Price is below its 20-day average, so short-term momentum is still under pressure.

RSI is in a balanced range, so the signal is not dominated by overbought or oversold pressure.

EWMA realized volatility is moderate, so the model signal is less likely to be overwhelmed by daily noise.

Tail risk check: historical 95% one-day VaR is 4.87% and CVaR is 6.91%.

The return model has not beaten its simple baseline on the chronological validation split, so the forecast is heavily shrunk.

The forecast is an educational log-return model with validation-gated shrinkage, not a price target or investment advice.

Custom model

Train ReturnNet for NVDA

A custom neural network trains locally on next-session log returns and stores the latest fitted run in this browser. Scaling is fit on the training window only, with a chronological validation split and baseline gates.

No run yet

Model preset

Window

10

Layers

12

Features

Lags

Epochs

360

Predicted close

N/A

Awaiting training

Confidence

N/A

Awaiting training

Direction accuracy

N/A

Chronological validation

Model vs baseline

N/A

Log-return RMSE vs zero return

Forecast shrink

N/A

Validation gated

Neural network map

Planned architecture shown before training.

145 params10 inputs12 hidden
Returns10 nodesReturns 1Returns 2Returns 3Returns 4Returns 5Returns 6Returns 7Returns 8Returns 9Returns 10Hidden 112 nodesHidden 1 1Hidden 1 2Hidden 1 3Hidden 1 5Hidden 1 6Hidden 1 7Hidden 1 8Hidden 1 10Hidden 1 11Hidden 1 12...Return1 nodesReturn 1y
Green positive learned weight
Red negative learned weight
Thicker lines carry stronger weight magnitude

Prediction performance tracker

Each new training run logs a next-session forecast for NVDA. Completed rows score the model once the target close appears in price history.

Scored / pending

0 / 0

Forecasts tracked

Direction hit rate

N/A

Predicted sign vs actual

Return RMSE

N/A

Needs scored rows

Edge vs zero

N/A

Needs scored rows

Price MAE

N/A

Average absolute miss

Range capture

N/A

Actual inside predicted range

TargetPresetPredictionActualReturn errorHitRange
Train a model to begin tracking live prediction performance.

Out-of-sample scoreboard

Validation split compared against simple return baselines.

Model RMSE

N/A

Zero baseline

N/A

Mean baseline

N/A

Momentum baseline

N/A

Edge vs zero

N/A

Edge vs momentum

N/A

Best epoch

N/A

Early stop

N/A

Validation windowModel RMSEZero baselineHit rateSamples
Train a model to generate walk-forward diagnostics.

Training loss

Feature importance

No fitted weights yet.

Financial dashboard

Statements and trends

Margins

Cash and debt

Statement Snapshot

PeriodRevenueNet IncomeFree Cash FlowAssetsDebt
2023$60.9B$29.8B$27.0B$65.7B$11.0B
2024$130.5B$72.9B$60.9B$111.6B$8.5B
2025$215.9B$120.1B$96.7B$206.8B$9.5B
2026$215.9B$120.1B$96.7B$206.8B$9.5B

Ratio analysis

Valuation and quality

P/E42.56
P/S23.66
P/B32.48
Gross margin71.1%
Operating margin60.4%
Net margin55.6%
ROE76.3%
ROA58.1%
Debt / equity0.06
Current ratio3.91
FCF margin44.8%
Company site