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오클로OKLO

NYSE

전력 유틸리티

US$60.88+1.47%

AI 멀티 호라이즌 분석

단기신뢰도 55%
중립

1m/5m indicators near flat; minor bounce off session low but volume subdued.

중기신뢰도 65%
약세

1H and daily charts show lower highs, negative daily MACD, and price below key moving averages.

장기신뢰도 72%
약세

Persistent operating losses, rising cash burn, and $62M+ net insider sales signal structural headwinds despite large cash balance.

AI 종합 판단신뢰도 68%
약세

Heavy insider selling, widening cash burn, and daily technical breakdown outweigh the large cash position for near-term bias.

상세 AI 펀더멘털 분석

이 분석은 원래 영어로 작성되었습니다. 한국어 캐시 버전이 아직 없습니다 — 위에서 실시간 분석을 실행하여 생성하세요.

Business Snapshot

  • Oklo Inc. is a development-stage advanced nuclear company listed on the NYSE since May 2024 (CIK 1849056).
  • No revenue-generating operations are reflected in the provided financials; the company reports operating losses each quarter.
  • The firm maintains a substantial cash position funded through equity raises, with total assets growing rapidly from $731.1 million (2025-06-30) to $2.70 billion (2026-03-31).

Financial Trends

  • Operating expenses rose from $28.0 million (2025-06-30) to $51.2 million (2026-03-31), with a spike to $139.3 million in the 2025-12-31 period.
  • Net loss widened from $24.7 million (2025-06-30) to $33.1 million (2026-03-31); the 2025-12-31 period showed the largest quarterly loss at $105.7 million.
  • Free cash flow burn increased from $31.9 million (2025-06-30) to $50.7 million (2026-03-31), with the 2025-12-31 period at $115.4 million.
  • Cash & equivalents grew from $226.8 million (2025-06-30) to $1.59 billion (2026-03-31), driven by $1.18 billion in financing inflows during the latest quarter.
  • Shareholders’ equity expanded from $696.4 million to $2.64 billion over the four periods, while total liabilities rose modestly from $34.7 million to $64.9 million.
  • Current ratio remained elevated (59.9× at 2026-03-31 vs 71.3× at 2025-06-30), reflecting a balance sheet dominated by cash rather than operating assets.

Financial Health

  • The latest quarter shows continued cash burn and widening losses, offset by a massive equity raise that pushed cash to $1.59 billion.
  • Working capital stands at $2.19 billion with negligible debt, giving the company a multi-year runway at current burn rates.
  • Retained earnings deteriorated to –$273.8 million, underscoring the pre-revenue development stage.
  • No gross or operating margins are meaningful given zero reported revenue.

Insider Activity

  • Overall sentiment for the 2026-03-17 to 2026-06-15 window is Neutral (–10), with $62.99 million in sells versus $0.53 million in buys across 54 total transactions.
  • Notable sales include multiple executives (DeWitte, Cochran, Bealmear) disposing of tens of thousands of shares at prices between $64.99 and $70.45 on 2026-06-01 and 2026-06-02.
  • Some shares appear to have been acquired at $3.18 via option exercises immediately prior to the large sales, indicating monetization of equity awards.
  • Net insider selling exceeds $62.5 million over the period, concentrated in early June.

Multi-Timeframe Technical Context

  • 1-minute: price +1.17% over 200 bars, RSI 53–57 (neutral), MACD slightly negative; volume below 20-period average.
  • 5-minute: price +1.42%, RSI 58–67 (mildly bullish), MACD positive and expanding; volume still subdued.
  • 15-minute: price +8.19% from session low of 53.05, RSI 53–59, MACD near flat; price hugging upper Bollinger Band.
  • 1-hour: price –8.31% over 200 bars from 66.44 open, yet RSI 74.5 (overbought on this timeframe) with MACD bullish; session high 74.45 remains resistance.
  • Daily: price –18.05% over 200 bars, RSI 39.8 (approaching oversold), MACD deeply negative; price well below all major moving averages and the lower Bollinger Band at 52.06.

Bull / Bear Cases

  • Short-term bull: intraday bounces off the 53.01 low and 1-hour RSI overbought condition could support a retest of 61.80–74.45 resistance if volume expands.
  • Short-term bear: daily MACD and price below the 20-/50-day averages, combined with heavy June insider selling, increase risk of further downside toward the 52.06 lower Bollinger Band.
  • Long-term bull: $1.59 billion cash provides runway for project development and potential regulatory milestones without immediate dilution pressure.
  • Long-term bear: persistent quarterly losses, rising cash burn, and absence of revenue leave valuation dependent on future execution and sector sentiment.

Key Levels & Triggers

  • Resistance: 61.81 (1H upper Bollinger), 74.45 (session high), with daily upper Bollinger at 73.36.
  • Support: 55.64 (1H lower Bollinger), 52.06 (daily lower Bollinger), and the 53.01 session low.
  • Volume trigger: sustained prints above the daily 14.1 million share average would signal renewed institutional interest.
  • Catalyst windows: any future SEC filings on project milestones or additional financing could shift the current neutral-to-bearish technical posture.

재무 데이터

SEC EDGAR에서 · 보고 기간 2026-03-31 · 출처 양식 10-Q

손익계산서 · 최근 4기

 
2026-03-31
10-Q
2025-12-31
10-K
2025-09-30
10-Q
2025-06-30
10-Q
영업 이익-$51.25M-$139.29M-$36.31M-$28.02M
순이익-$33.06M-$105.66M-$29.72M-$24.68M
주당순이익(희석)$-0.19$-0.72$-0.20$-0.18

대차대조표 · 최근 4기

 
2026-03-31
10-Q
2025-12-31
10-Q
2025-09-30
10-Q
2025-06-30
10-Q
총 자산$2.70B$1.53B$1.25B$731.08M
총 부채$64.88M$52.25M$40.63M$34.67M
주주 자본$2.64B$1.48B$1.21B$696.41M
현금 및 현금성 자산$1.59B$788.45M$410.04M$226.77M
유동 비율59.9349.0867.5171.27

현금흐름표 · 최근 4기

 
2026-03-31
10-Q
2025-12-31
10-K
2025-09-30
10-Q
2025-06-30
10-Q
영업 활동 현금 흐름-$17.87M-$82.17M-$48.74M-$30.71M
투자 활동 현금 흐름-$359.03M-$489.68M-$605.91M-$280.70M
재무 활동 현금 흐름$1.18B$1.26B$967.56M$441.05M
자본 지출$32.81M$33.20M$6.25M$1.21M
자유 현금 흐름-$50.68M-$115.38M-$55.00M-$31.92M

손익계산서

영업 수익
총 이익
영업 이익
-$51.25M
순이익
-$33.06M
주당순이익(기본)
$-0.19
주당순이익(희석)
$-0.19

대차대조표

총 자산
$2.70B
총 부채
$64.88M
주주 자본
$2.64B
현금 및 현금성 자산
$1.59B
장기 부채
유통 주식 수
173.99M

현금흐름표

영업 활동 현금 흐름
-$17.87M
투자 활동 현금 흐름
-$359.03M
재무 활동 현금 흐름
$1.18B
자본 지출
$32.81M
자유 현금 흐름
-$50.68M

주요 비율

총 이익률
영업 이익률
순이익률
유동 비율
59.93
부채비율(부채/자본)
자유 현금 흐름
-$50.68M

내부자 거래

4 건의 내부자 신고(2026-05-16 ~ 2026-06-15) — SEC Forms 4/5에서 직접 가져옴

매입
$388.3K · 4
매도
$32.93M · 25
순액
-$32.54M
구문 분석된 신고
4
거래 날짜내부자행동주식 수가격금액
2026-06-02Bealmear Richard CraigBuy5,858$3.18$18.6K
2026-06-02Bealmear Richard CraigSell5,858$0.00$0.00
2026-06-01Bealmear Richard CraigBuy16,238$3.18$51.6K
2026-06-01Bealmear Richard CraigSell16,238$65.00$1.06M
2026-06-01Bealmear Richard CraigBuy100,000$3.18$318.0K
2026-06-01Bealmear Richard CraigSell10,000$69.31$693.1K
2026-06-01Bealmear Richard CraigSell2,100$0.00$0.00
2026-06-01Bealmear Richard CraigSell46,843$69.42$3.25M

주요 지표

$10.87B시가총액
US$193.8452주 최고
US$22.5252주 최저
12,785,33030일 평균 거래량

205 임직원 수173.57M 발행 주식 수상장일 2024-05-10

다음 실적 발표 ~2026년 2월 2일

오클로 소개

Oklo Inc.는 대규모로 깨끗하고 안정적이며 저렴한 에너지를 제공하기 위해 핵분열 발전소를 개발하고 있습니다. 이 회사는 이러한 수요를 충족하기 위해 두 가지 상호 보완적인 접근 방식을 추구하고 있습니다. 첫째, 고객에게 안정적인 상업 규모의 에너지를 제공하는 것이고, 둘째, 미국 시장에 사용 후 핵연료 재활용 서비스를 판매하는 것입니다. Oklo Inc.는 Aurora 발전소 제품 라인을 통해 액체 금속 고속로 기술을 상용화할 계획입니다. 최초의 상업용 Aurora 발전소는 재활용 핵연료와 신규 연료 모두를 사용하여 최대 15메가와트(MWe)의 전력을 생산하도록 설계되었습니다.

최근 SimianX AI 분석

  • decision강세신뢰도 78%

    MARKET STATE: OKLO is trading above the resting bid at $61.01, with strong intraday bullish technicals but no fresh ticker-specific catalyst and mixed macro/fundamental backdrop. MY READ: The long thesis has not materially changed in the 1 minute since placement, and the order still has nearly 2 hours to work. The $60.35 limit is only 1.09% below market, so it remains realistic as a pullback entry rather than a missed setup. AI DECISION (for next days to a week): Action: WAIT Confidence: 0.78 Rationale: The order

  • decision강세신뢰도 74%

    MARKET STATE: OKLO is trading in a strong bullish technical setup during regular hours, but with mixed macro sentiment and weaker fundamental support. MY READ: The 1H technical signal is extremely strong, suggesting buyers are in control near-term and the next 3–7 days favor continuation. Fundamentals are not supportive, so I do not want maximum size, but the tape is bullish enough to act now rather than wait too far below market. MY ANALYSIS: OKLO is a high-beta momentum name, and with price at $60.97, the risk is chasing an extended move if entered blindly. However, the technical strength is strong enough that a shallow intraday pullback is the better entry than a deep bid. I want a realistic fill close to current price while still avoiding paying the high of the morning. AI DECISION (for next 3-7 days): Action: LONG Order Type: LIMIT Limit Order Price: $60.35 Expires In Minutes: 120 Confidence: 0.74 Notional USD: $5500 Stop Loss: 5.0% from entry Take Profit: 9.0% from entry Rationale: A $60.35 limit is about 1.0% below the current $60.97 price, close enough to realistically fill during regular-session volatility without chasing strength. The bullish technical profile supports a continuation trade over the next several sessions, but the bearish fundamental read argues against using the full 80% allocation. Risk/reward is acceptable with a 5% stop and 9% target, giving roughly 1.8:1 upside-to-downside.

  • intelligence중립신뢰도 60%

    No OKLO-specific news leaves the stock directionless, caught in a tug-of-war between risk-on macro flows (US-Iran peace) and cautionary signals (sticky inflation, bubble warnings).

  • indicator강세

    1H bullish trend intact with price above EMAs but RSI overbought and price still under SMA 200.

최신 뉴스

관련 종목전력 유틸리티 섹터

OKLO의 실시간 AI 관점을 확인할 준비가 되셨나요?

실시간 멀티 에이전트 룸을 실행 — Claude, GPT, Gemini, DeepSeek, Grok, Qwen가 OKLO를 동시 분석하며 라이브 신호를 출력합니다.