Alpha Modus Holdings Inc. (NASDAQ: AMOD)

Alpha Modus Holdings Inc. (NASDAQ: AMOD) – Stock Analysis

1. Executive Summary

  • Company Name: Alpha Modus Holdings Inc.
  • Ticker: AMOD
  • Sector: Software – Application
  • Investment Recommendation: Sell – High near-term risk due to ongoing losses and weak financial health.

2. Company Overview

  • Business Model: Focuses on developing and licensing data-driven technologies to enhance in-store digital experiences for consumers.
  • Industry Position: Operates in AI-based retail tech with minimal market share.
  • Key Products/Services: In-store consumer behavior analytics and digital interaction technologies.
  • Management: William Rosario Alessi Jr. (CEO).

3. Financial Analysis

  • Revenue Growth: No revenue as of September 30, 2024.
  • Profitability: Net loss: $725,000 for the period ending Sept 30, 2024, widening YoY.
  • EPS: FY2023 EPS: -$0.05.
  • Balance Sheet: Cash balance: $66,000; total assets: $2.79 million; total liabilities: $1.83 million → debt ratio: ~65.6%.
  • Cash Flow: Operating cash flow: -$542,000 as of Sept 30, 2024.

4. Stock Performance

  • Current Price: $1.35 (as of May 5, 2025).
  • 52-Week Range: $1.02 – $13.49.
  • Market Cap: ~$15.97 million.
  • Beta: 0.56 → lower volatility than market.
  • Recent Trend: Stock down ~88.9% over the past year.

5. Valuation Analysis

  • P/E Ratio: Not applicable (operating losses).
  • P/S Ratio: Not applicable (no revenue).
  • P/B Ratio: **~ -0.80x** → trading below book value.
  • DCF Analysis: Not meaningful at this stage.
  • Peer Comparison: Financial structure weaker than similar early-stage software companies.

6. Industry & Market Analysis

  • Industry Trends: Demand for AI-based retail technologies growing, but competition is intense and innovation cycles are rapid.
  • Market Share: Minimal market presence; lacks major brand recognition.
  • Macroeconomic Factors: Weakened investor sentiment and tighter regulation impacting tech startups.

7. Risk Analysis

  • Market Risk: High barriers to market entry due to delays in commercialization and competitive landscape.
  • Financial Risk: Ongoing losses and low cash reserves raise solvency concerns.
  • Regulatory Risk: Exposure to intellectual property disputes and technology regulation.
  • Geopolitical Risk: Susceptible to global economic uncertainty and supply chain issues.

8. Growth Catalysts

  • New Products/Services: Developing in-store consumer analytics and digital engagement tools.
  • Expansion Plans: No major expansion plans disclosed.
  • M&A Activity: No recent acquisitions announced.
  • Industry Trend: Growing interest in AI-powered retail solutions may support future opportunity.

9. Analyst Sentiment

  • Consensus Rating: No formal analyst coverage available.
  • Target Price: No official target price reported.
  • Recent News: Reports of funding challenges and patent-related disputes have affected stock sentiment.

10. Conclusion

Alpha Modus Holdings Inc. faces significant financial risks with no current revenue and ongoing operational losses.

✅ Short-term recovery unlikely without substantial improvement in commercialization or funding.

👉 Investment Recommendation: Sell – Caution advised; reconsider investment only if revenue generation and financial stability improve.


11. Appendix

  • Stock Chart: Down ~88.9% over past year.
  • Financial Summary:
    • No revenue as of Sept 30, 2024
    • Net loss: $725,000
    • Cash: $66,000
    • Total assets: $2.79 million
    • Total liabilities: $1.83 million
  • Institutional Ownership: ~4.41%.

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