Stock analysis · Bull Rankings model

BRAI analysis

Braiin LtdTechnology. Scored on the same transparent 7-signal model behind the daily rankings.

BRAI
Braiin Ltd · Technology
FCF
Rev
D/E
P/S
PEG
65Score
$10.79
1Y Target$14.57Near-term target
5Y Target$21.70Compound horizon
10Y Target$56.47Long-dated conviction
FCFTTM
FCF not applicable for this sector (bank / insurer / REIT) or data unavailable
RevTTM YoY
Revenue growth data unavailable or not applicable — neutral default · TTM YoY from trailing-4-quarter revenue sum vs prior 4 quarters.
D/E
D/E data unavailable — neutral default
P/S
P/S unavailable
PEGproxy
PEG not meaningful — earnings growth negative or data unavailable · PEG proxy: P/E ÷ revenue growth % (true PEG requires forward EPS estimates, not in Finnhub free tier).
Why now
Technology · market cap $2.6b. Down 89% from 52-week high of $98.99 — deep drawdown territory.
Moat
Speculative bucket — the moat thesis is forward-looking; without proven margin structure or capital efficiency yet, the durability argument is about IP / network effects / first-mover position that the company hasn't fully monetized.
Risk
Down 89% from the 52-week high — the market is pricing in something the screen can't see; verify the bear case before sizing up.
Horizon
1-3 yr $14.57 (structural (no analyst coverage)) — catalyst-driven; binary events dominate. 5 yr $21.70 — requires the platform / technology to reach commercial scale. 10 yr $56.47 — return distribution heavily skewed.
Not investment advice. The Bull Rankings publishes a quantitative ranking model and accompanying analysis for general informational purposes only. Nothing on this page is a recommendation to buy, sell, or hold any security; nothing is personalized to your circumstances, risk tolerance, or tax situation. Investing carries the risk of loss — invest at your own risk and consider consulting a licensed financial professional before acting on anything you read here. See terms and methodology for full disclosures.
Shares to buy
185
Position size
$1,996
4.0% of portfolio
Stop price
$8.09
25% below $10.79
$ at risk
$500.00
1% of portfolio

Math only — share count is floor(portfolio × risk% ÷ (price × stop%)). Doesn't account for commissions, slippage, gap risk, or position-correlation across your book. Inputs persist locally; never sent to the server. Not investment advice.

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