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ACVA AI-Powered Stock Analysis

AI Score Explanation

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AI Score Alpha Factors

These AI Factors group the most impactful alpha signals used by Danelfin's AI to calculate the stock’s probability advantage. Positive factors (green) increase the probability of beating the market, while negative factors (red) reduce it.

  • Earnings Quality+0.47%
    Stability and reliability of reported earnings
  • Volatility+0.36%
    How much the stock price tends to fluctuate
  • Size & Liquidity+0.31%
    Company size and trading liquidity
  • Sentiment-3.49%
    How analysts and the market view the stock
  • Momentum-1.99%
    Direction and strength of recent price movements
  • Profitability-0.61%
    Profitability and operating efficiency metrics
  • Valuation-0.15%
    How the stock is priced relative to its fundamentals

ACVA probability advantage of beating the market (3M):

-5.10%

Alpha Signals: What Drives the AI Score

Alpha Signals show the individual signals used by Danelfin's AI to calculate a stock's probability of beating the market over the next 3 months. Each signal highlights its positive or negative impact on the probability advantage and helps explain what is driving the AI Score.

AI Score
Sell

ACV Auctions (ACVA) has an AI Score of 3/10 (Sell) because, according to an overall analysis, it has a probability advantage of -5.10% of beating the market (S&P500) in the next 3 months. This advantage is calculated as the difference between the average probability of any US-listed stock (50.82%) and the probability of ACVA (45.72%) of outperforming the market in the next 3 months, as determined by Danelfin AI’s comprehensive analysis.

  • Average probability of any US-listed stock of beating the market (3M)50.82%
  • ACVA probability advantage of beating the market (3M)-5.10%
  • ACVA probability of beating the market (3M)45.72%

ACVA probability advantage of beating the market (3M): -5.10%

The AI-powered overall analysis of ACV Auctions (ACVA) is based on the 25 fundamental, technical, and sentiment features that had the greatest impact on stock performance during the last 12 months (alpha signals). These alpha signals explain the probability advantage of ACVA:

Type
Alpha Signal
Current Value
Value Decile Position
Probability Advantage Impact (3M)
Sentiment
Sentiment Impact (Long Tail)
-
N/A
-1.82%
Technical
Chart Pattern (252d)
figure_60
N/A
-1.50%
Technical
Chart Pattern (504d)
figure_94
N/A
-1.39%
Sentiment
Industry (GICS)
Commercial Services & Supplies
N/A
-1.04%
Sentiment
Fear & Greed Index (CNN)
31
N/A
-0.94%
Technical
Technicals Impact (Long Tail)
-
N/A
+0.86%
Sentiment
Analyst Lowest Price Upside
-0.27%
+-
-0.78%
Technical
Distance from KAMA (20d)
0.20%
+-
-0.73%
Fundamental
Net Property, Plant & Equipment (Net PP&E)
13.65
+-
-0.71%
Fundamental
Operating Profit Margin
-4.52%
+-
-0.61%
Sentiment
+0.54%
Fundamental
+0.47%
Technical
+0.47%
Technical
+0.46%
Technical
+0.40%
Rest of Alpha Signals: +1.22%
  • ACVA probability advantage of beating the market (3M)Total:-5.10%
  • ACVA AI Score
Significant changes Vs previous day

ACVA Short Trading Parameters

These suggested trading parameters for a 3-month horizon help improve risk management and decision-making.

  • Entry:$7.30
  • Horizon: 3 months
  • Stop Loss:$XXXXXPro (XXXXXPro)
  • Take Profit:$XXXXXPro (XXXXX)

ACVA Average Past Performance & Loss Rate

Three months after its 516 Sell signals since July 2026, ACVA had an average performance of xxxxxx and a xxxxxx Loss rate (negative performance).

516 Past ACVA Sell Signals
1 Month Later
3 Months Later
6 Months Later
1 Year Later
Average Performance
+15.03%
Average Alpha
+11.42%
Loss Rate (% Negative Perf.)
48.38%
% Negative Alpha
49.19%

ACVA Frequently Asked Questions

ACV Auctions Inc Company Profile

Pros

Cons

  • ACVA / US00091G1040US Flag
  • Market Cap$1.27B
  • Short Float10.09%
  • Volume2.38M
  • Dividend %-
Performance
  • Perf Week+10.60%
  • Perf Quarter+72.16%
  • Perf Year-54.99%
  • Perf YTD-8.97%
Technical Indicators
  • 52W High16.63 -56.10%
  • 52W Low4.15 75.90%
  • Avg Volume3.17M
  • Beta1.81
  • ATR0.35
  • Volatility6.25% - 4.44%

ACVA Company Profile Summary

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