Pixie Dust Technologies (PXDT) Stock Analysis
NASDAQTechnologyConsumer Electronics
What Pixie Dust Technologies does
Pixie Dust Technologies, Inc. (PXDT), a technology firm established in 2017 and headquartered in Tokyo, Japan, centers its operations primarily within its home country. The company's focus spans two key domains: enhancing personal care and promoting diversity, alongside optimizing workspaces and driving digital transformation. Among its innovative offerings in the personal care and diversity space, PXDT provides SonoRepro, an advanced ultrasonic device for non-contact vibrotactile scalp care. It also develops VUEVO, a range of devices engineered to help deaf and hard-of-hearing individuals detect the direction of incoming sound, and kikippa, an acoustic stimulation unit designed as a desktop speaker. In the realm of workspace and digital transformation, the company delivers several specialized technologies and services. These include iwasemi, a sound-absorbing and sound-proofing material popular with architectural and interior design practices; hackke, a precise location positioning technology; KOTOWARI, which furnishes spatial analysis data; and magickiri, a comprehensive service that includes planning and monitoring human behavior and analyzing customer environments on behalf of clients. Beyond its core product lines, Pixie Dust Technologies operates Pixie Nest, a membership forum. This platform facilitates meetings and disseminates crucial information with the goal of collectively tackling societal issues.
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Frequently asked questions
- What is the ticker symbol for Pixie Dust Technologies?
- Pixie Dust Technologies trades under the ticker PXDT on NASDAQ.
- Which exchange is PXDT listed on?
- PXDT is listed on NASDAQ.
- What sector does Pixie Dust Technologies operate in?
- Pixie Dust Technologies is classified in the Technology sector (Consumer Electronics industry).
- How can PortView help analyze PXDT in a portfolio?
- PortView shows PXDT's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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