NCPL · Netcapital Inc.
$1.32
+0.00 (+0.00%)
At close · Oct 6
Return incl. dividend (before tax)
Going-concern doubt
— flagged Mar 19, 2026
Substantial doubt about the company's ability to continue as a going concern.
“Our management has determined, based on its recent history and the negative cash flow from operations, that it is unlikely that its plan will sufficiently alleviate or mitigate, to a sufficient level, the relevant conditions or events noted above. To the extent that funds generated from any private placements, public offerings and/or bank financing, if available, are insufficient, we will have to raise additional working capital. No assurance can be given that additional financing will be available, or if available, will be on acceptable terms. Accordingly, our management has concluded that these conditions raise substantial doubt about our ability to continue as a going concern.”View the 10-Q filed Mar 19, 2026
Market Cap
$10.67M
Shares
7.85M
Volume · Oct 5
524.82K
Avg daily vol (3M)
19.81M
Price & Indicators
20d MA
50d MA
200d MA
Earnings
Filing
Insider
Congress
Investor day
Close$1.32
Open$1.35
Day$1.29–1.39
52W close$0.23–2.54
Avg vol 30d42.1M
Short int231K · 2.9% float · 1.0d
Short vol60%
Last earningsDec 15, 2025
DataJan 2020–Oct 2026
Filing10-Q · Mar 19
Up next
filed Mar 19, 2026
call held Dec 15, 2025
Metrics snapshot
Useful current figures from the complete screener profile.
Revenue (TTM)
$739,504
Trailing 12 months
Net income (TTM)
−$28.13M
Trailing 12 months
Revenue growth YoY
-38.2%
Year over year
Operating margin
-1,285.0%
Trailing 12 months
P / E (TTM)
—
Trailing earnings
FCF yield
—
TTM · current market cap
Return on invested capital
—
Trailing 12 months
Net cash
−$2.20M
Latest balance sheet
Dividend yield
—
Trailing 12 months
Shares change YoY
+193.0%
Year over year · more shares
Price change (1Y)
-43.3%
Trailing year
Short interest
2.9%
Latest settlement · 1.0 days to cover
Equibles Rating
blended score · not investment adviceOverall
Buy
SellHoldBuy
Technical
Strong Buy
Momentum
Very Strong
Sentiment
Bullish
Fundamentals
Fair
Quant / Vol
Very High
Market backdrop
VIX 15.5 · calm
Equity put/call 0.59
Technical
price trend
50 / 200-day cross
Golden cross
Price vs 200-day avg
+121%
above
Price vs 50-day avg
+112%
above
RSI (14)
63
neutral
MACD trend
Positive
52-week position
47%
mid-range
Volume (OBV)
Confirms
volume backs price
Momentum
relative strength
1-month return
+129%
trailing
6-month return
+214%
trailing
YTD return
+100%
this year
Relative strength
+202%
vs S&P · 6-mo
Sentiment
smart money
Trend (MA cross)
Golden cross
50d $1 › 200d $1 — 50d above 200d
Institutional flow
Accumulating
+14% holders QoQ · +3 funds added
Insider flow
Flat
No net insider activity over 90 days
Short interest
Falling
2.94% of float · ▼ -86.0% MoM · 1.0 days cover
Volume signal
Normal
Volume near normal
Institution breadth
Steady
16 holders — mid 3-yr range
Squeeze score
47
elevated · 0–100
Fundamentals
Revenue growth
−82%
Y/Y
Gross margin
95%
contracting
EPS growth
+29%
Y/Y
Balance sheet
$2.1M
net debt
Quant / Vol
risk profile
Volatility
250%
annualized · 1-yr
Max drawdown
−91%
past year
ATR
20.6%
of price · 14-day
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 Strong Buy
50 / 200-day cross
Golden cross
Bullish
Price vs 200-day avg
+121%
Bullish
Price vs 50-day avg
+112%
Bullish
RSI (14)
63
Neutral
MACD trend
Positive
Bullish
52-week position
47%
Neutral
Volume (OBV)
Confirms
Neutral
Market signals — smart money & positioning
Bullish · 3 of 6
Trend (MA cross)
Golden cross
50d $1 › 200d $1 — 50d above 200d
Institutional flow
Accumulating
+14% holders QoQ · +3 funds added
Insider flow
Flat
No net insider activity over 90 days
Short interest
Falling
2.94% of float · ▼ -86.0% MoM · 1.0 days cover
Volume signal
Normal
Volume near normal
Institution breadth
Steady
16 holders — mid 3-yr range
Price context
position in its 52-week range
Range low $0
Now $1 · 47%
Range high $3
vs 200-day avg +121%
vs 50-day avg +112%
50-day above 200-day golden cross
Illustrative technical + ownership context — a signal mix, not investment advice.
Versus peers
Capital Markets — same industry group| Company | Mkt cap | YTD | Rev growth Y/Y | P/E | Short % shares |
|---|---|---|---|---|---|
|
NCPL
this stock
Netcapital Inc.
|
$10.67M | +100.0% | -82.4% | — | 2.9% |
|
MS
Morgan Stanley
|
$308.32B | +7.1% | +5.5% | 15.9 | 0.9% |
|
GS
Goldman Sachs Group Inc
|
$272.38B | +1.6% | +8.9% | 14.4 | 2.4% |
|
SCHW
Schwab Charles Corp
|
$171.26B | -2.0% | +22.0% | 18.0 | 1.1% |
|
HOOD
Robinhood Markets, Inc.
|
$107.35B | +0.9% | +51.6% | 52.8 | 4.0% |
Peers by industry group · P/E from as-reported trailing EPS · short % is of shares outstanding
At a glance
key data from every sectionOwnership
Short & Settlement
Financials
Filings
Earnings & Events
Performance
| 5D | 20D | 120D | MTD | YTD | |
|---|---|---|---|---|---|
| NCPL | +22.2% | +128.6% | +213.5% | +6.5% | +100.0% |
| SPY | +1.2% | +0.6% | +11.6% | +1.6% | +13.6% |
| vs SPY | +21.0% | +128.0% | +202.0% | +4.9% | +86.4% |