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Stocks under $1 Report

US and Canadian markets settled this week on a mixed note, Two stocks to consider – ADY, BLNK

Jan 23, 2026

  • ADY:TSX-V
  • Investment Type
    Small-Cap
  • Risk Level
  • Action
  • Rec. Price (CA$)
  • BLNK:NASDAQ
  • Investment Type
    Small-Cap
  • Risk Level
  • Action
  • Rec. Price (US$)

Company Overview: Adyton Resources Corporation (TSXV: ADY) is focused on the exploration and development of gold and copper resources in world-class mineral jurisdictions. The company holds a portfolio of highly prospective projects in Papua New Guinea, targeting expansion of its existing Inferred and Indicated gold resources and building on recent significant copper drill intercepts at its 100%-owned Feni Island Project. Blink Charging Co. (NASDAQ: BLNK) is a global leader in electric vehicle (EV) charging solutions, providing innovative equipment and services that enable drivers, hosts, and fleets to seamlessly transition to electric transportation. The company focuses on delivering reliable, scalable, and user-friendly charging infrastructure to support the growing adoption of EVs worldwide. This Report covers the Price Action, Technical Indicators Analysis along with the Stop Loss Levels, Target Prices, and Recommendations on these two stocks.

Global Markets Wrap-Up

U.S. equity markets ended the week on a positive note, driven by broad-based sector strength. The S&P 500 rose 1.71% to 6,913.35, while the NASDAQ Composite slipped 0.34% to 23,436.02 amid weakness in major technology stocks. Small-cap stocks outperformed, with the Russell 2000 climbing 1.53% to 2,718.76, reflecting sustained investor optimism toward smaller equities.

The S&P/TSX Venture Composite Index advanced 3.94% week-to-date, closing at 1,134.19, extending its broader uptrend on sustained bullish momentum. Strength across industrials, consumer cyclicals, technology, real estate, healthcare, financials, basic materials, and energy sectors provided near-term support, reflecting improving investor sentiment. Gains were partially offset by weakness in the consumer non-cyclicals sector, which limited the index’s overall upside.

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