TRJ

TRAJAN GRO FPO [TRJ]
Trajan Group Holdings Limited develops, manufactures, and sells analytical and life science products and devices in Malaysia, Japan, Australia, New Zealand, the United States, Europe, the Middle East, Africa, and India. The company offers analytical products, including syringes, GC columns and septa, inlet liners, rings, and tubing products; and sampling products, comprising septa, caps, liners, well plates and sealing mats, crimping tools, and micro sampling tools, as well as automation systems and consumables. It also provides pathology products, consisting of NBF containers, adhesive and frosted microscope slides, coverslips, microtome blades, biopsy pads, microscope slide storage trays/mailers, microscope slide and cassette storage boxes, histology wax plus, and tissue marking dyes and sets, and MiPlatform, a smartphone adapter; on-line and laboratory instruments and related parts and services; and miniaturized and portable instrumentation, as well as products and services related to microsampling. In addition, the company offers analytical, automation, life sciences, sampling literature support products. The company was incorporated in 2011 and is headquartered in Ringwood, Australia.
Healthcare · ASX Small Cap
$0.1700 +3.0%

Updated 9 Sep 2026 · Signals refresh every scan

Appeared in 4 consecutive scansFirst seen: 2026-02-26
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Active Signals

Bullish Signals

  • RSI drifting toward oversold territory — worth watching
  • MACD momentum is picking up steam
  • Stochastic just turned bullish from a low level — early reversal sign
  • Watch out — volume is flowing out even as price holds up. Distribution pattern
  • Cash positive / operating cashflow positive
  • Low P/S ratio (0.2x)
  • Near 52-week low (2% of range)
  • Small-cap ($20-100M)
  • CANSLIM S: Tight float (41%)
  • CANSLIM I: Institutional ownership (23%)
  • Sentiment is mixed — no strong consensus either way
  • This one has been in freefall — down 70% over the past year
  • Poor risk-adjusted returns — Sharpe of -1.5 means lots of volatility for not much reward
  • Altman Z-Score grey zone (1.98, low-confidence approx)
  • RBA hiking (-3pts)

Risk Signals

  • Trading below both moving averages — the trend is working against this one
  • Below the 200-day average — the long-term trend is still working against it
  • Revenue declining (-10%)
  • Piotroski F-Score weak (3/9, low-confidence approx)
  • Negative profit margins (-0%)
  • Not enough chatter to gauge sentiment — defaulting to neutral
  • The bigger volume days are the down days — volume-weighted momentum is negative (-1.49%/day)

Recent Catalysts

NONE 2026 Annual General Meeting
NONE FY26 Appendix 4G and Corporate Governance Statement
NONE FY26 Financial Results Presentation
LOW FY26 Appendix 4E and Annual Report

Recent ASX Announcements

2026-08-26 2026 Annual General Meeting
2026-08-26 FY26 Appendix 4G and Corporate Governance Statement
2026-08-26 FY26 Financial Results Presentation PRICE SENSITIVE
2026-08-26 FY26 Financial Results Release PRICE SENSITIVE
2026-08-26 FY26 Appendix 4E and Annual Report PRICE SENSITIVE

Key Metrics

$24.5M
Market Cap
231K
Avg Volume
0.9x
Vol Ratio
$0.14 — $0.86
52-Week Range
N/A
Short Interest
N/A
Cash Runway
-0.6%
ROE
-0.4%
Profit Margin

CANSLIM Analysis

FactorRatingDetail
CCurrent EPSfailEPS Growth: 0%
AAnnual EarningsfailCAGR: 0%
NNew Highs / Catalystsneutral
SSupply & DemandpassFloat: 41%
LLeader vs LaggardlaggardRS: -19
IInstitutional SponsorshippassInst: 23%
MMarket DirectionneutralNeutral

Sector: Healthcare

110 tickers in this sector

View all Healthcare signals →Browse all ASX tickers A–Z →
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