4173.T Wacul.Inc (JPX) Pre-market JPY 500.00 28 Jan 2026: Oversold bounce setup

4173.T Wacul.Inc (JPX) Pre-market JPY 500.00 28 Jan 2026: Oversold bounce setup

4173.T stock trades at JPY 500.00 in the pre-market on 28 Jan 2026, setting a clear oversold bounce setup. We see price sitting on the 50-day average of JPY 499.54, with thin volume at 9,700 versus an average 109,382 shares. That mix creates a short-term bounce edge, but limited liquidity raises execution risk for larger trades.

4173.T stock: Pre-market snapshot and intraday context

Wacul.Inc (4173.T) on JPX opened at JPY 500.00 and shows day range JPY 500.00–500.00 pre-market. Market cap is JPY 3873170000.00 and shares outstanding are 7,746,340. Volume is thin at 9,700, well below the 50-day average of 109,382, which raises volatility on any intraday bounce.

4173.T stock: Technical setup supporting an oversold bounce

Price sits at the 50-day MA of JPY 499.54, close to current trade, which often supports short-term mean reversion. Keltner channels compress around JPY 498.50–501.50, signalling low immediate volatility and a higher probability of a brief bounce. The year high is JPY 517.00 and year low is JPY 238.00, so momentum can swing quickly on news.

Meyka AI rates 4173.T with a score out of 100: 64.04 | Grade B | Suggestion HOLD. This grade factors S&P 500 and sector comparisons, growth, key metrics, and analyst consensus. Grades are informational only and not financial advice.

4173.T stock: Fundamentals and valuation metrics

Wacul reports EPS of JPY 12.45 and a trailing PE of 40.16, above the Technology sector average PE of 27.13. Price-to-book is 2.71 and cash per share is JPY 175.27, supporting a solid balance sheet. Current ratio is 2.91 and interest coverage is 34.98, which reduce short-term solvency risk.

4173.T stock: Catalysts, earnings timing and sector context

Wacul is a Technology, Software – Application company and a subsidiary of TBS Holdings. The next earnings announcement date is listed as 2025-04-10. Technology sector momentum shows a one-year gain near 28.82%, while Wacul’s YTD is 61.29%, highlighting stock-specific moves. TBS affiliation and earnings are the main catalysts to watch.

4173.T stock: Trade plan for an oversold bounce

For traders targeting a bounce, consider entries near JPY 490.00–495.00, with an initial stop at JPY 470.00 to limit downside. A first profit target is JPY 560.00 and a secondary target is JPY 620.00 for a tactical rebound. Keep position sizes small given relat ive volume of 9,700 and average 109,382.

4173.T stock: Risks and liquidity considerations

Low relative volume increases slippage and widens spreads, which can erase short-term bounce gains. High PE implies valuation sensitivity to earnings misses. Enterprise value to EBITDA sits around 15.79, which tightens room for upside if growth stalls. Manage exposure and prefer limit orders to reduce execution cost.

Final Thoughts

Key takeaways for 4173.T stock: the pre-market price JPY 500.00 sits on the 50-day MA JPY 499.54, creating a measurable oversold bounce opportunity on thin volume. Meyka AI’s forecast model projects a 12-month target of JPY 620.00, implying an upside of 24.00% versus the current price. Forecasts are model-based projections and not guarantees. Balance the bounce trade with clear stops because volume is low at 9,700 and the trailing PE of 40.16 leaves little margin for earnings disappointment. For active traders, use small size and tight risk controls. For longer-term holders, monitor the upcoming earnings and TBS Holdings integration as primary drivers.

FAQs

Is 4173.T stock a buy on the pre-market oversold bounce?

The pre-market bounce is tradable but not a guaranteed buy. Use small position sizes and a stop near JPY 470.00. The Meyka grade is B (HOLD), so consider waiting for confirmation or earnings before increasing exposure.

What are the main valuation numbers for 4173.T stock?

Key metrics: EPS JPY 12.45, PE 40.16, PB 2.71, current ratio 2.91, cash per share JPY 175.27. These show a solid balance sheet but a premium multiple versus sector averages.

How does liquidity affect trading 4173.T stock?

Low volume (today 9,700 vs avg 109,382) increases slippage and widens spreads. Use limit orders and small sizes to control execution risk during a bounce trade.

Disclaimer:

Stock markets involve risks. This content is for informational purposes only. Past performance does not guarantee future results. Meyka AI PTY LTD provides market analysis and data insights, not financial advice. Always conduct your own research and consider consulting a licensed financial advisor.

Similar Posts

Leave a Reply

Your email address will not be published. Required fields are marked *