LDXC · Londax Corp.
$1.50
At close · Jul 14
Going-concern doubt
— flagged Apr 7, 2026
Substantial doubt about the company's ability to continue as a going concern.
“These factors raise substantial doubt about the Company's ability to continue as a going concern.”View the 10-Q filed Apr 7, 2026
Shares
2.23M
Price & Indicators
20d MA
50d MA
200d MA
Earnings
Filing
Insider
Congress
Investor day
Close$1.50
Open$1.75
Day$1.50–1.75
Available close range$0.25–3.50
Avg vol available · 8d2K
Short int1K · 0.1% float · 1.0d
Short vol38%
DataJan 2026–Jul 2026
Filing10-Q · Apr 7
The closing range uses available history since Jan 22, 2026; less than a full year is stored.
Up next
filed Apr 7, 2026
Metrics snapshot
Useful current figures from the complete screener profile.
Revenue (TTM)
$19,917
Trailing 12 months
Net income (TTM)
−$58,339
Trailing 12 months
Revenue growth YoY
-36.2%
Year over year
Operating margin
-352.9%
Trailing 12 months
P / E (TTM)
—
Trailing earnings
FCF yield
—
TTM · current market cap
Return on invested capital
—
Trailing 12 months
Net cash
$13,951
Latest balance sheet
Dividend yield
—
Trailing 12 months
Shares change YoY
-57.3%
Year over year · fewer shares
Price change (1Y)
—
Trailing year
Short interest
—
Latest settlement
Equibles Rating
blended score · not investment adviceOverall
Neutral
SellHoldBuy
Technical
Neutral
Momentum
Limited
Sentiment
Bearish
Fundamentals
Excellent
Quant / Vol
Very High
Market backdrop
VIX 14.3 · calm
Equity put/call 0.47
Technical
price trend
50 / 200-day cross
No cross
52-week position
38%
mid-range
Momentum
relative strength
Not enough data for a confident read.
Sentiment
smart money
Trend (MA cross)
No cross
50/200-day averages unavailable
Institutional flow
Flat
No 13F holder data
Insider flow
Flat
No net insider activity over 90 days
Short interest
Rising
0.06% of float · 1.0 days cover
Volume signal
Normal
Volume near normal
Institution breadth
Steady
No 13F holder history
Fundamentals
Revenue growth
+163%
Y/Y
Gross margin
82%
contracting
Free cash flow
$94.5K
Quant / Vol
risk profile
Volatility
3092%
annualized · 1-yr
Max drawdown
−57%
past year
Blended from price, momentum, positioning, fundamentals & volatility · daily-close · not investment advice. Market backdrop is context, not part of the score.
Technicals
trend & momentum for long-term holders Neutral
50 / 200-day cross
No cross
Neutral
52-week position
38%
Neutral
Market signals — smart money & positioning
Bearish · 1 of 6
Trend (MA cross)
No cross
50/200-day averages unavailable
Institutional flow
Flat
No 13F holder data
Insider flow
Flat
No net insider activity over 90 days
Short interest
Rising
0.06% of float · 1.0 days cover
Volume signal
Normal
Volume near normal
Institution breadth
Steady
No 13F holder history
Price context
position in its available closing range
Range low $0
Now $2 · 38%
Range high $4
Illustrative technical + ownership context — a signal mix, not investment advice.
At a glance
key data from every sectionShort & Settlement
Financials
Filings
Performance
| 5D | 20D | 120D | MTD | YTD | |
|---|---|---|---|---|---|
| LDXC | -1.3% | — | — | +0.0% | — |
| SPY | +0.6% | +1.4% | +11.0% | +0.7% | +10.3% |
| vs SPY | -1.9% | — | — | -0.7% | — |