Credo Technology (CRDO) Reports Strong Q2 Earnings, Positive Q3 Guidance
- Ticker: CRDO
- Event: Q2 FY26 earnings (reported Nov 2025)
- Theme: High-growth AI / data-center connectivity name, now inflecting to strong profitability.
π Earnings Snapshot β Q2 FY26
Headline Numbers
- Revenue: β $268M
- QoQ: ~+20%
- YoY: ~+272%
- Gross Margin:
- GAAP: ~67.5%
- Non-GAAP: ~67.7%
- Operating Income:
- GAAP: β $78.8M (29% margin)
- Non-GAAP: β $124M (46% margin)
- Net Income / EPS:
- GAAP: β $82.6M / $0.44
- Non-GAAP: β $127.8M / $0.67
Balance Sheet
- Cash & ST investments: β $814M
- Total assets: β $1.45B
- Total liabilities: β $163M
- Net cash, no real debt risk.
Business Drivers (from 8-K language)
- Growth driven by AI training & inference clusters.
- Strong ramps in AEC, IC, ZeroFlap Optics, ALCs, OmniConnect β all AI / hyperscale-linked.
- Management commentary points to continued strong growth through FY26 and beyond.
Key Positives
- Hyper-growth + high margins (rare combo).
- Turned from GAAP loss a year ago to strong GAAP profitability.
- Very asset-light with a cash-rich balance sheet.
Key Watchpoints / Risks
- Stock-based compensation is large (big gap between GAAP vs non-GAAP opex).
- Guided gross margin for next quarter a few points lower (mid-60s) β mix/price or ramp costs.
- Heavy AI cyclicality β if hyperscaler capex slows, growth could reset.
π Guidance β Q3 FY26
- Revenue: $335β345M (midpoint ~+27% QoQ).
- GAAP gross margin: 63.8β65.8%
- Non-GAAP gross margin: 64.0β66.0%
- GAAP opex: $116β120M
- Non-GAAP opex: $68β72M
Takeaway: Company is guiding to another big step-up in revenue with still-strong margins β supports a multi-quarter AI build-out thesis, not a one-off spike.
π Price & Trend Snapshot (Daily)
- Pre-market (today): β $201
- Prev. close: $171.13
- Move: +~17% pre-market, on top of a prior strong run.
- 50-day SMA: $152.51
- 200-day SMA: $98.10
Trend View
- Price is well above both the 50D and 200D; 50D > 200D β strong, established uptrend.
- The last two earnings each triggered higher trading ranges; this quarterβs beat + guide has pushed price through the prior ~$193β194 high into new territory.
- Stock is now ~32% above the 50D β extended in the short term.
π Momentum & Overbought Readings (from your Excel levels)
Based on your RSI/Stoch price mappings:
- RSI price equivalents (14-period):
- RSI 70: ~$210
- RSI 50: ~$155
- RSI 30: ~$79
- Stochastic price equivalents:
- 80%: ~$171.7
- 70%: ~$165.7
- 50%: ~$153.8
- 30%: ~$141.8
At ~$201 pre-market:
- Price is above Stoch 80% and approaching RSI-70 zone (~$210) β strong / overbought momentum, but not yet at the extreme $210+ level from your mapping.
π Key Technical Levels (Short Term)
All levels from your technical sheet + charts.
Resistance / Upside
- $193β194 β prior 52-wk / 13-wk high & old R3 zone.
- $187β188 β prior R2 cluster.
- $179β180 β prior R1 / volume shelf.
- $210β215 β RSI-70 band; potential blow-off / extension target if a squeeze continues.
At β$201, CRDO is above all prior resistance and now trading between old highs ($193-194) and RSI-70 projection (~$210).
Support / Downside
- Near-term βpost-gapβ supports (for 1β3 day tactics):
- $193β194 β first big reference; becoming new support if the breakout is real.
- $187β188 β first pullback target if the open fails.
- $179β180 β deeper intraday retrace; prior R1.
- Stronger swing supports / βbuy-the-dipβ zones:
- $167β168 β above your S1 region / near recent swing structure.
- $160 β around Β±1Ο support and mid-range retrace.
- $155β153 β major confluence: 2β3Ο supports + Stoch 50% + very close to 50-day SMA
- This is the key swing line in the sand; uptrend remains clean while price holds above this band.
- Deeper levels (trend damage if reached quickly):
- $145β142, $131, then low-$120s β only relevant if AI sentiment or market breaks.
π― Price Reaction vs Earnings
- Earnings beat + strong guidance pushed it:
- Close: to $171 with high volume.
- Pre-market today: to ~$201, a massive re-rating and a clean breakout above all prior highs.
- This move lines up with the fundamentals (huge growth + high margins), but short-term is now extended and exposed to profit-taking.
π§ Post-Earnings Trading Framework
Not advice β a map to structure your own plan.
1β3 Day Tactical View
Bullish continuation (gap-and-go) bias if:
- Stock holds above ~$193β195 after the first 30β60 mins.
- Pullbacks to $193β195 or $187β188 are bought with strong demand and price stays above intraday VWAP.
In that case:
- Upside focus: retest $201β205, then stretch to $210β215 (RSI-70 zone).
- For aggressive longs, invalidation is a decisive break back below $187β188 with heavy selling.
Fade / mean-reversion (gap-and-fade) bias if:
- Early spike above $200β205 shows long upper wicks, fails to hold, and price slips back below $193β195 on strong volume.
In that case:
- Short-side / hedge targets:
- First: $187β188
- Next: $179β180
- Deep: $171 (full gap-fill back to prior close) if selling accelerates.
- Invalidation: reclaiming and holding back above ~$200β205 after a breakdown.
Swing (multi-week) View
- As long as price stays above the $155β153 / 50-day SMA cluster, the primary bull trend post-AI-earnings inflection remains intact.
- A controlled pullback into that band after this spike would be normal digestion; a fast break below it, especially with fundamental/headline change, would suggest trend fatigue.
TL;DR Cheat Sheet
- Fundamentals: Hyper-growth (>270% YoY) + mid-60s GM + 40%+ non-GAAP op margin + net cash.
- Guidance: Another big QoQ step-up in Q3; management talking multi-quarter strength in AI.
- Trend: Strong uptrend; price far above 50D and 200D; AI leader factor profile.
- Current spot (~$201 pre-market): Above all prior highs, approaching overbought zone (~$210), very extended vs 50D.
- Key levels:
- Upside: $201, then $210β215.
- Supports: $193β195 β $187β188 β $179β180 β $155β153 (major).
- Trade framing: Watch $193β195 as the decision zone for gap-and-go vs gap-and-fade over the next 1β3 sessions.
This is AI-assisted market analysis for informational and educational purposes only and is not a recommendation or advice to buy, sell, or trade any security.
