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39LOW

RFT

RECTIFIER FPO [RFT]
Rectifier Technologies Ltd, together with its subsidiaries, designs and manufactures power rectifiers in Australia, Asia, North America, South America, Europe, and Oceania. The company operates through Electronic Components; Electricity Generation/ Distribution and Defence; Transport and Telecommunication; and Electric vehicles segments. It offers electronic components; rectifiers, controllers, accessories, and systems for the power generation, distribution, and defense industries; and power supplies for the transport and telecommunications industries. The company also provides electric vehicle and battery charges, and power supplies; and electronic and specialized magnetic components. Rectifier Technologies Ltd was incorporated in 1992 and is based in Burwood, Australia.
Industrials · ASX Small Cap
$0.0030 -25.0%

Updated 23 Mar 2026 · Scores refresh every scan

Score Breakdown

Technical31
Catalyst50
Sentiment50
Fundamental65
Momentum42
Risk Gate17

Active Signals

Bullish Signals

  • RSI drifting toward oversold territory — worth watching
  • Volume surging at 72.0x normal while price falls — heavy selling pressure
  • Sitting near support — this level has held before and could attract buyers again
  • Took a hit — down 25.0% over the last 5 days
  • Lagging the Small Ords index — relative strength of 0.85, underperforming its peers
  • Strong cash runway (9 quarters)
  • Low P/S ratio (0.7x)
  • Revenue in sharp decline (-61%)
  • Near 52-week low (17% of range)
  • Micro-cap ($5-20M) - high risk
  • CANSLIM A: Moderate annual earnings growth (11%)
  • CANSLIM S: Tight float (36%)
  • Turned profitable (NPAT positive from results)
  • Sentiment is mixed — no strong consensus either way
  • The bigger volume days are the up days — volume-weighted momentum is positive (0.61%/day)
  • Altman Z-Score distress zone (0.65 < 1.81, low-confidence approx)
  • Penny stock risk ($0.004)
  • Liquidity risk: 9 zero-volume days in last 20
  • RBA hiking (-3pts)
  • Overseas risk_off (-3pts, S&P500 down, VIX 30)

Risk Signals

  • Below the 200-day average — the long-term trend is still working against it
  • Piotroski F-Score weak (2/9, low-confidence approx)
  • Deeply negative margins (-48%)
  • Not enough chatter to gauge sentiment — defaulting to neutral
  • Long-term momentum is negative — down 33% over the past year
  • Revenue declining at -61% — the top line is shrinking
  • ASX200 bearish (-2.9% 5d)

Recent Catalysts

NONE Half Yearly Report and Accounts

Recent ASX Announcements

2026-02-26 Half Yearly Report and Accounts PRICE SENSITIVE

Key Metrics

$5.5M
Market Cap
274K
Avg Volume
72.0x
Vol Ratio
$0.00 — $0.01
52-Week Range
N/A
Short Interest
N/A
Cash Runway
-23.9%
ROE
-47.5%
Profit Margin

CANSLIM Analysis

FactorRatingDetail
CCurrent EPSfailEPS Growth: 0%
AAnnual EarningsweakCAGR: 11%
NNew Highs / Catalystsneutral
SSupply & DemandpassFloat: 36%
LLeader vs LaggardlaggardRS: 0
IInstitutional Sponsorshipinsufficient_dataInst: 0%
MMarket DirectioncautionBearish

Sector: Industrials

Ranked #79 of 96 · Sector avg: 43

View all Industrials signals →
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