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INDO Indonesia Energy Corporation Limited

âš ī¸ Penny Stock
NYSE American Energy Oil & Gas E&P Nano-Cap
$3.24 +0.05 (+1.57%)
After Hours: $3.38 (+4.32%)
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Open $3.11
Day High $3.30
Day Low $3.08
Volume 865.7K
Avg Vol 2.62M
Mkt Cap $49.85M
P/E (TTM) N/A
Beta N/A
$2.40 52-Week Range $8.50
Current price is 13.8% through the 52-week range — Near 52W Low (potential value)
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Price Chart

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Fundamental Analysis

The financial health and valuation of the company

📊 Valuation Metrics

P/E Ratio (TTM)
?
Price-to-Earnings: How much investors pay per $1 of earnings. Lower = cheaper. Industry average matters — compare to sector peers.
N/A
N/A
Forward P/E
?
Based on estimated future earnings. If lower than trailing P/E, analysts expect earnings to grow — generally bullish.
N/A
Price/Book
?
P/B compares stock price to net asset value. Under 1x means trading below book value — could indicate undervaluation or problems.
2.47x
Beta
?
Volatility relative to the market. Beta >1 = more volatile than S&P 500. Beta <1 = less volatile. Negative = moves opposite to market.
N/A
N/A
Market Cap
?
Total market value = price × shares outstanding. Indicates company size. Mega (>$200B), Large (>$10B), Mid (>$2B), Small, Micro, Nano.
$49.85M
Nano-Cap
Shares Outstanding
?
Total shares issued. Float = shares available to trade. Low float stocks are more volatile — small buys/sells have outsized price impact.
15.39M
Float: 9.78M
Dividend Yield
?
Annual dividends as a % of stock price. A yield above 4-5% may indicate high risk of dividend cut, or could be a value opportunity.
None
EPS (TTM)
?
Earnings Per Share over the last 12 months. Positive = profitable. Negative = company is losing money. Forward EPS is analyst estimate.
$-0.35

đŸŠŗ Short Interest & Squeeze Risk

â„šī¸ What is short interest? Short sellers borrow shares and sell them, hoping to buy back cheaper. High short interest = bearish bets. But if the stock rises, shorts must buy to cover — causing a "short squeeze" (rapid price surge).
Short Float %
?
Percentage of float shares sold short. Above 20-25% is considered high — potential squeeze territory. GME reached 140% in Jan 2021.
5.74%
Moderate Risk
Short Ratio (Days to Cover)
?
How many days of average trading volume it would take shorts to buy back all shares. Higher = more explosive potential squeeze if triggered.
0.6 days
Shares Short
561.3K
Float
9.78M
đŸ”Ĩ Low Float
Low Squeeze Risk (0%) Short Float: 5.74% Extreme Risk (30%+)
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Technical Analysis

Price action, momentum, and trend indicators

Overall Technical Signal

50
Neutral

3 of 6 signals bullish

RSI < 70 (Not Overbought)
RSI > 30 (Not Oversold)
Price > SMA 20
Price > SMA 50
Price > SMA 200
SMA 20 > SMA 50 (Golden)

Key Indicators

RSI (14)
?
Relative Strength Index. Measures momentum 0-100. Below 30 = oversold (potential bounce). Above 70 = overbought (potential pullback).
41.1
🟡 Neutral
SMA 20
?
20-day Simple Moving Average. Short-term trend. Price above SMA20 = bullish momentum. Price below = short-term downtrend.
$3.18
▲ Price Above
SMA 50
?
50-day SMA. Medium-term trend indicator. A key support/resistance level. When SMA20 crosses above SMA50 = "Golden Cross" (bullish).
$3.46
â–ŧ Price Below
SMA 200
?
200-day SMA. Long-term trend. Widely watched by institutions. Price above SMA200 = bull market territory. Below = bear territory.
$3.36
â–ŧ Price Below
đŸŽ¯

Analyst Coverage

Wall Street consensus and price targets

Consensus Rating

No Rating

0 analysts covering

Strong Buy
0
Buy
0
Hold
0
Sell
0
Strong Sell
0

Price Targets

Low Target
$0.00
-100.00%
Avg Target
$0.00
-100.00%
High Target
$0.00
-100.00%
âš–ī¸

DD Summary

Bull case, bear case, and key risks

🐂 Bull Case

  • ✅ Positive momentum — stock up +1.57% today
  • ✅ Low float (9.78M) — amplifies moves

đŸģ Bear Case

  • âš ī¸ Trading below 200-day MA — long-term downtrend
  • âš ī¸ Trading above avg analyst target ($0.00) — potential downside
  • âš ī¸ Penny stock — higher risk of dilution, low liquidity, wide spreads

âš ī¸ Key Risks to Monitor

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Market Risk
Broad market selloffs affect all stocks regardless of fundamentals.
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Dilution Risk
Companies can issue new shares, reducing existing shareholders' ownership.
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Earnings Risk
Missing quarterly estimates often causes sharp price drops.
đŸ›ī¸
Regulatory Risk
SEC, FDA, FTC, or other regulatory actions can devastate certain sectors.
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Macro Risk
Interest rates, inflation, and recession fears impact valuations.
đŸŠŗ
Short Seller Reports
Published short seller research can trigger sharp declines.
đŸšĢ Not Financial Advice: This report is generated automatically from public data for informational purposes only. It does not constitute investment advice, recommendation, or solicitation. Always conduct your own research and consult a licensed financial advisor before making investment decisions. Past performance does not guarantee future results.