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Mastercard Incorporated (MA) - Comprehensive Stock Analysis Report

$567.65+$1.57 (+0.28%)as of 2026-09-25
Generated:
Strategy: Conservative Stop Loss (Fixed ATR-based)
Latest Data:
Position Status
+14.83% ๐Ÿš€
The model triggered a long signal on 2026-02-23 at $494.35 — a position from that signal price currently shows +14.83%.

๐Ÿ“‹ Investment SnapshotIs MA a buy right now? The 10-second read

Company Quality
80/100
Model Timing
EXIT WATCH
Risk Level
Low
Expected Return
+16.3%
Rating
ACCUMULATE

Reason: Great business, weak setup. Expected Return is the upside to the analyst price target; full rationale is detailed below.

๐Ÿ“Œ Is MA a Buy right now?

According to Ultra Stock Analysis Pro, Mastercard Incorporated (MA) reads ACCUMULATE for a new position and EXIT WATCH for an existing one (Signal Strength: 4/7 (last fired 2026-09-22, 3d ago)). The long-term fundamentals are strong (P/E: 31.2, Revenue Growth: +14.1%), while short-term technicals show a bullish trend (RSI: 49). Traders should watch for a breakout above $571.35 before entering new positions.

For the latest stock analysis and interactive charts:
๐Ÿ“Š Open MA Analysis โ†—

Important: Ultra Stock Analysis Pro publishes impersonal research and analysis for informational and educational purposes only. It is not investment advice and is not tailored to any individual's financial situation, objectives, or risk tolerance. We do not know your circumstances and do not provide personalized recommendations. Nothing here is an offer or solicitation to buy or sell any security. Analysis is generated in part by automated and AI systems and may contain errors. Past performance does not guarantee future results. Consult a licensed financial professional before making investment decisions.

โšก QUICK DECISIONShould you buy, hold or wait on MA stock today?

If you don't own it: ACCUMULATE | If you do: EXIT WATCH | Signal Strength: 4/7 (last fired 2026-09-22, 3d ago)
  • Reward:risk: 4.97:1 to the analyst target $660.07, against a stop at $549.06.
  • Model timing: RED ยท BEARISH, WATCHING FOR EXIT ยท SELL.
  • Stop loss: the Conservative fixed 2.0x ATR stop sits at $549.06, 3.3% below the current $567.65.
  • Growth vs. valuation: revenue +14.1% YoY with a 61.1% operating margin, at a forward P/E of 28.4x.
  • Wall Street: average target $660.07 (+16.3%) from 37 Buy, 4 Hold, 0 Sell ratings.
  • Key levels: nearest support $559.61 (-1.4%), nearest resistance $571.35 (+0.7%).

๐Ÿ’ก Why This Signal ExistsWhy does MA carry this rating?

MA carries a ACCUMULATE rating because valuation and fundamentals remain attractive (Investment Quality 80/100), but the trend is weak and consolidating (ADX 18), relative strength has slipped over the past month and only a partial setup is building (Signal Strength 4/7). A breakout above $571.35 on improving volume would upgrade the signal toward BUY; a break below $559.61 would mark deeper weakness.

๐ŸŽฏ CONSENSUS HUDWhat is the Wall Street analyst consensus on MA?

The call itself, and the readings behind it. Details read supportive / caution / headwind.

STREET BULLISH37 of 41 analysts rate it buy · mean target +16.3% above the current price
Signal Strength
4/7
fired 3d ago
Win Rate
50%
12 backtested trades
Street
37/41
analysts rate buy
Upside
+16.3%
to analyst target
Model Timing
EXIT WATCH
long since 2026-02-23
Technical Confluence
4/7 bullish signals (last fired 2026-09-22, 3d ago)
Backtest Win Rate
50.0% (12 trades)
Analyst Consensus
37 buy / 4 hold / 0 sell
Upside Potential
+16.3% to $660.07
Market Volatility
Beta 0.73
Valuation
28.4x forward P/E
Position
Already open โ€” +14.8%
News Sentiment
Neutral (-0.1/10)

Action plan
If you own it: EXIT WATCH โ€” The model reads RED ยท BEARISH, WATCHING FOR EXIT ยท SELL โ€” its own signal has turned against the position.
If you don't: ACCUMULATE โ€” Reward:risk improves to 5.75:1 at $553.12.

๐ŸŽฏ Intelligent Stop Loss Strategy

Current Price

$567.65

Buy Stop Loss

$549.06

Distance: 3%

Conservative 2.0x

Position Stop Loss

$553.71

Distance: 2%

Hybrid 1.50x

ATR 14 Day

$9.29

Volatility

ADX Strength

17.1

Weak/No Trend

Position up +15% - Adaptive strategy adjusts for momentum

ADX: 20-25 = Emerging trend | 25-50 = Strong trend | 50+ = Very strong

๐Ÿ”ฎ FUTURE PRICE SCENARIOS (AI Forecast)Where could MA stock go over the next week?

To assist with risk management, here are the three most probable paths for MA over the next trading week:

๐ŸŸข The Bull Case (Probability: 55%)

If MA reclaims the $571.35 resistance level, algorithmic targets shift to $660.07. This move would likely be driven by continued sector rotation into Financial Services.

๐Ÿ”ด The Bear Case (Probability: 30%)

Failure to hold the $559.61 support level triggers a defensive stop-loss signal. In this scenario, the algorithm projects a slide toward the $542.56 liquidity zone (-4.4% from current price).

๐ŸŸก The Base Case (Sideways)

Given the current ADX of 17 (weak trend - consolidation likely), the most likely immediate outcome is consolidation between $559.61 and $571.35 until a volume catalyst occurs.

โš ๏ธ These scenarios are algorithm-generated projections based on technical analysis, not financial advice. Past performance does not guarantee future results.

โš ๏ธ RISK HUD โ€” DEEP DIVEWhat are the biggest risks of buying MA now?

Five risk axes scored LOW / MODERATE / HIGH, then the mitigation that follows from them.

CONTAINED RISKno single axis reads high
Market
LOW
beta 0.73
Volatility
LOW
ATR 1.6% of price
Valuation
MODERATE
fwd P/E 28.4x
Event
MODERATE
earnings in 34d
Technical
LOW
RSI 49
52-week range position โ€” 75% of the way up the range
now $567.65
52w low $464.5252w high $601.23
Key Support
$559.61 · $553.12 · $542.74 nearest -1.4%
Key Resistance
$571.35 · $581.85 · $588.11 · $601.23 nearest +0.7%
Mitigation โ€” Stop
2-3x ATR = $18.59 โ€“ $27.88 below entry (3.3% at 2x)
Mitigation โ€” Sizing
standard position size is supportable
Next Earnings
Oct 29, 2026 (34d away)
Short Interest
0.8% of float โ€” normal
Sector Exposure
Financial Services โ€” cycle and regulatory risk specific to the group
Backtest Edge
50% win rate over 12 trades, 1.46x profit factor
Company-specific risks
CompetitionMarket conditionsRegulatory changes

๐Ÿ“Š BUY-SIDE HUDHow much MA should you own, and can you trade it at size?

Portfolio-management read: how much to own, what the historical edge is, and whether the position can be traded at size. Details below read supportive / caution / headwind; grey is context, not a verdict.

OVERWEIGHTHow much to own, not when to buy — +16.3% to the $660.07 analyst target against a 3.3% stop · favorable risk-adjusted return
Upside
+16.3%
to analyst target
Risk / Reward
4.97:1
vs. 2x ATR stop
Win Rate
50%
12 backtested trades
Profit Factor
1.46x
avg trade +2.3%
Position
+14.8%
open position
Signal Strength
4/7 โ€” Weak or no signal (last fired 2026-09-22, 3d ago)
RSI 14
49 โ€” Neutral range
Trend Strength (ADX)
17.1 โ€” Weak / no trend
Stop Zone (2-3x ATR)
$18.59 โ€“ $27.88 below entry
Avg Volume
2.9M/day โ€” Lower liquidity
Execution Risk
Moderate at institutional size
Market Cap
$497.3B โ€” Large cap
Beta
0.73 โ€” below-market volatility
Institutional Ownership
91.2% โ€” largest: Blackrock Inc.
Rating Changes (90d)
2 revisions

🎯 THE TWO VERDICTSShould you buy MA now, and should you hold it if you already own it?

Two questions, computed separately: the entry verdict never reads whether a position is open, and the position verdict never reads entry quality.

Model long since 2026-02-23 @ $494.35 · +14.8% · timing RED ยท BEARISH, WATCHING FOR EXIT ยท SELL — state, not a recommendation
If you already own it
EXIT WATCH
Worth reviewing your exit plan โ€” the case for holding has weakened.
The model reads RED ยท BEARISH, WATCHING FOR EXIT ยท SELL โ€” its own signal has turned against the position.
If you don't own it yet
ACCUMULATE
Better entered at the accumulation zone than at this price.
Reward:risk improves to 5.75:1 at $553.12.
The model is still holding a trade its own signal has turned against. That is not the same question as whether to open one now.
The model’s tradeopened 2026-02-23 @ $494.35 · +14.8% · its signal has turned
A new entrypriced from $567.65 against a $549.06 stop · 4.97:1

Price vs. its 50-day trend — CONSTRUCTIVE

Nothing fired. ○ context, does not decide the badge

○ From 52-week high-5.6% from the 52-week high โ€” well off the high
○ Above the 50-day EMA0.5 ATR above the 50-day EMA (extended above 2)
○ 3-day move (context)+2.1% in 3 sessions
○ 5-day move (context)+0.4% in 5 sessions

📏 ENTRY MATHWhat is the reward-to-risk on MA right now?

Reward is measured to the analyst target $660.07; risk to the 2x ATR entry stop at $549.06. Both legs are pre-trade, so the ratio means the same thing whether or not the model is holding.

Analyst figures are the consensus mean of the panel this report tracks. Other services poll a different set of analysts, so a target quoted elsewhere — including on our own live scanner — can sit a few percent either side of this one, and the reward leg moves with it.

Entry at Price Risk Reward R:R
Model entry
held since 2026-02-23 · +14.8% · against its own $466.48 stop, to TODAY's target — a fact, not a recommendation
$494.35$27.87$165.725.95:1
Today
at $567.65
$567.65$18.59$92.424.97:1
Accumulation anchor
nearest level worth waiting for · zone $553.12–$564.18 · stop $534.53
$553.12$18.59$106.955.75:1

Entry zones

Accumulate$553.12 – $564.18
Breakout above$571.35 on rising volume
Invalidation$549.06 entering today · $534.53 from the zone
Do not chaseabove $641.48

๐Ÿ“ˆ SELL-SIDE HUDIs MA stock overvalued or undervalued?

Research read: Mastercard Incorporated · Financial Services · Credit Services. What the business is worth and where the Street stands. Details below read supportive / caution / headwind; grey is context, not a verdict.

STEADY GROWTHexpanding margins on consistent revenue growth
Forward P/E (FY2026E)
28.4x
premium multiple
PEG Ratio (FY2026โ€“FY2030E CAGR)
1.87
growth-adjusted P/E
Revenue Growth
+14%
year over year
EPS Growth
+10%
next fiscal year
Operating Margin
61%
profitability
Analyst ratings (41 covering)Strong Buy
■ 37 Buy■ 4 Hold■ 0 Sell
Analyst target range vs. current price
now $567.65
low $597.00avg $660.07high $740.00
Trailing P/E
31.2x
Price / Sales
14.17x โ€” premium
Price / Book
88.75x
Enterprise Value
$510.3B
Revenue (TTM)
$35.1B
Free Cash Flow
$17.0B
Earnings Growth
+22.1%
Avg Target
$660.07 (+16.3%)

๐Ÿงญ Investment Quality vs. Entry QualityHow does MA's investment quality compare to its entry quality?

Two independent reads: how good the business is (fundamentals) vs. how stretched the price is against its recent range. Entry Quality is a mean-reversion score โ€” it marks a stock down for trading near the top of its range. It is not the model's timing call, which is RED ยท BEARISH, WATCHING FOR EXIT ยท SELL and appears in the Consensus HUD above.

Investment Quality
80/100
Excellent business
Profitability20/20
Margin 46%, ROE 241%
Revenue Growth19/20
+14% YoY
Margins20/20
Operating 61%
Analyst Support19/20
37B/4H/0S, +16% to target
Balance Sheet3/20
Debt/Equity 4.4
Entry Quality (price stretch)
75/100
Prime setup
Trend16/20
Bullish EMA stack, ADX 18
Momentum14/20
RSI 38, MACD bearish
Pullback vs. Extension24/30
Mid-range
Fresh Signal & Room21/30
Confluence 4 pts, +16% to target

Strong on both. MA pairs a solid business with a constructive setup.

๐Ÿงฎ Factor AttributionWhat is actually driving MA's rating?

What is driving the view โ€” every factor's signed contribution to one net score. Green adds to the bull case; red detracts.

FactorContributionPts
Earnings Growth
+22% YoY
+18
Profitability
Margin 46%, ROE 241%
+16
Relative Strength
+9.5% vs benchmarks (3M)
+10
Revenue Growth
+14% YoY
+9
Trend
EMA bullish, ADX 18
+5
Volatility
ATR 1.6% of price
+1
Valuation
Fwd P/E 28.4, PEG 1.9
+0
Sentiment
Neutral
+0
Momentum
RSI 38, MACD bearish
-5

Net Factor Score: +54 โ€” Strongly bullish factor profile. This weighs the broad bull/bear case; the entry signal (Signal Strength) governs timing โ€” a strong factor score can still read WAIT until a setup triggers.

๐Ÿ† Relative StrengthIs MA outperforming the S&P 500 and its sector?

The stock's return minus each benchmark's return. Positive = outperforming = leadership; negative = lagging. Relative strength is one of the most durable signals in quantitative research.

Benchmark1-Mo3-Mo6-Mo
S&P 500 (SPY)-6.1%+7.9%-6.4%
Financial Services (XLF)+0.4%+11.2%+1.2%

MA 3-month return: +13.9% · Leadership: BROAD LEADER โ€” outperforming the market, its sector, and peers

๐Ÿค– ML ProbabilityWhat is the probability MA stock closes higher?

A gradient-boosted model's estimated probability that price closes higher over each horizon (directional estimate, not a guarantee).

52%
next day up
48%
5-day up
60%
20-day up

โš”๏ธ MA vs. Its Closest PeersHow does MA compare to V and its other closest peers?

The closest business match first, then the nearest by market cap within Credit Services from the live sector screener. Industry classification alone is not enough โ€” it files MA beside companies in a different line of business โ€” so the direct competitor is seeded explicitly. Green marks the best reading in each row, red the worst.

MetricMA (this report)VJPM
Market Cap$497.3B$689.7B$911.9B
Revenue Growth (YoY)+14.1%+14.4%+30.4%
Forward P/E (FY2026E)28.4x27.8x13.9x
PEG Ratio (FY2026โ€“FY2030E CAGR)1.872.86โ€”
Operating Margin61.1%66.1%50.4%
Trend Strength (ADX)17.114.818.2

V (Visa Inc. โ€” closest business match), JPM (JPMorgan Chase & Co.). Peers marked “closest business match” come from the curated rival map; the rest are the nearest by market cap in the same industry. ADX is shown where recent price data is already on file for that peer.

๐ŸŽฏ ANALYST PRICE TARGETSHow high could MA go? The full target range

Average Target: $660.07 High Target: $740.00
Current Price: $567.65 Low Target: $597.00
Upside to Average: +16.3% Number of Analysts: 41

๐Ÿ”” ANALYST RATING CHANGESHave analysts upgraded or downgraded MA recently?

Recent upgrades, downgrades, and price target changes (last 90 days)

Firm Action From โ†’ To Date
BarclaysINITIATEDOverweightJul 08, 2026
Piper SandlerINITIATEDOverweight โ†’ OverweightJun 30, 2026

News Sentiment (14-Day)What is the latest news sentiment on MA?

Overall Score: -0.1/10 - Neutral

Bullish Articles (Top 5 of 1)

Bearish Articles (Top 5 of 1)

๐Ÿ“Š Sentiment Interpretation

The news sentiment is neutral, indicating balanced coverage without clear directional bias. This suggests market participants are waiting for catalysts or clearer signals. Monitor for changes in sentiment that could indicate emerging trends.

๐Ÿ“Š Strategy Comparison: Conservative vs Adaptive

Both strategies analyzed independently. Conservative uses fixed 2.0x ATR stops. Adaptive adjusts stops based on position profit (tighter as profit grows).

Conservative Strategy

OPEN POSITION

Fixed 2.0x ATR Stop Loss

+14.8%

Entry: $494.35 on 2026-02-23

Confluence: 5/7 (on the entry bar)

Stop Loss: $549.06

Backtest Results (Since 2018):

Past Win Rate

50%

Past Total Return

+13.2%

Max Drawdown

-18.5%

Avg Trade

+2.3%

Trades

12

Adaptive Strategy

NO POSITION

Adaptive ATR Stop Loss (1.0-2.75x)

No Position

Waiting for entry signal...

Entry Stop: $553.71 ({atr_multiplier}x ATR)

Backtest Results (Since 2018):

Past Win Rate

65%

Past Total Return

+13.8%

Max Drawdown

-12.4%

Avg Trade

+1.9%

Trades

20

EXECUTIVE SUMMARY - Essential MetricsWhat are the key metrics for MA stock?

TECHNICAL METRICS VALUE FUNDAMENTAL METRICS VALUE
Current Price $567.65 Market Cap $497.3B
Past Win Rate (Backtest) 50.0% (12 trades) Forward P/E (FY2026E) 28.4x
Past Total Return +13.2% Analyst Target $660.07
RSI / Trend Strength 49 / 17 Upside to Target +16.3%
MACD Signal Bearish Revenue Growth +14.1%
Profit Factor 1.46 Institutional Own. 91.2%
Position Entry2026-02-23 @ $494.35Analyst Ratings37 Buy / 4 Hold / 0 Sell
Open Position Past P&L+14.8%

๐Ÿค– ALGORITHMIC CONVICTION & METHODOLOGYHow is the MA rating calculated?

Why this rating?

The Ultra Stock Analysis algorithm has assigned a ACCUMULATE entry rating to MA based on a confluence of 3 distinct factors:

  1. Technical Momentum: The RSI (49) is currently in neutral range.
  2. Trend Strength: ADX at 17 indicates weak/consolidating conditions (<20). News sentiment is neutral (Neutral).
  3. Volatility Profile: The ATR ($9.29) indicates moderate volatility (1.6% of price), suggesting potential moves of 3.3%+ on breakouts.

๐Ÿ“Š Confidence Interval:

Based on 7+ years of historical data, signals with this specific technical fingerprint have resulted in a positive return 50% of the time across 12 historical trades over a medium-term (months) hold period, with an average return of +2.3% per trade.

Firing now — EMA Trend Alignment (2).

Not firing: Valid Breakout, Strong Trend (ADX > 25), High Volume (>1.5×), RSI Oversold, Below Lower Bollinger. Not determinable from this run: RSI Bullish Divergence, MACD Bullish Divergence, Volume Accumulation.

๐Ÿ“Š How the score works โ€” the full checklist, what each signal means, and why 4/7 can read low in an uptrend

Signal Strength is a tactical entry-timing score, not a trend or fundamentals grade. It only adds points from setups that flag a fresh reason to enter โ€” breakouts, momentum divergences, and oversold/volume/volatility extremes. Trend direction and fundamentals are scored in their own sections above. A setup must reach 3+ points to register as a signal and 5+ for a strong BUY. Individual boxes below can be checked โ€” a stacked EMA trend alone is worth 2 points โ€” without crossing the 3-point bar; when that happens the registered Signal Strength stays at 4/7, meaning no new entry trigger today โ€” not a bearish call.

SignalPtsWhat it flagsNow
Valid Breakout3Close breaks above the 20-day high on >1.5× volumeโœ—
EMA Trend Alignment2EMA20 > EMA50 > EMA200 (stacked uptrend)โœ“
RSI Bullish Divergence2Price firms while RSI was falling โ€” a reversal setupโ€”
MACD Bullish Divergence2Price firms while MACD was falling โ€” a reversal setupโ€”
Strong Trend (ADX > 25)1ADX > 25 confirming the stacked EMAsโœ—
High Volume (>1.5×)1Volume surge confirming the moveโœ—
RSI Oversold1RSI < 30 โ€” stretched to the downside (bounce setup)โœ—
Below Lower Bollinger1Close below the lower band (mean-reversion setup)โœ—
Volume Accumulation1Up-volume divergence โ€” quiet accumulationโ€”

This is why MA can show a bullish EMA trend and solid fundamentals while Signal Strength reads 4/7: those are already-in-trend and value measures, whereas this score fires only on a new tactical setup (an oversold bounce, a divergence, or a high-volume breakout) โ€” none of which is present on the latest bar.

โ“ MA โ€” Common Questions

โ€” 5 answers, each drawn from the figures above

Every answer below is generated from the same figures as the report above, as of the data date on the cover.

Is Mastercard Incorporated (MA) a buy, hold, or sell right now?
Ultra Stock Analysis Pro reads MA as ACCUMULATE for a new position and EXIT WATCH for an existing one as of September 2026, with a Signal Strength of 4/7 (last fired 2026-09-22, 3d ago). The model's timing state is RED ยท BEARISH, WATCHING FOR EXIT ยท SELL โ€” it has been long since 2026-02-23. Company Quality scores 80/100, revenue growth is +14.1% year over year, and RSI sits at 49 (neutral), so price is well positioned in its range (Entry Quality 75/100). The backtested strategy has won 50% of 12 trades.
What is the stop-loss level for MA stock?
For the open position, the Conservative fixed 2.0x ATR stop sits at $549.06, 3.3% below the current $567.65. Both derive from a 14-day ATR of $9.29.
What is the analyst price target for MA?
The average analyst price target for MA is $660.07, +16.3% from the current price of $567.65, based on 37 Buy, 4 Hold and 0 Sell ratings (41 analysts). The target range runs $597.00 to $740.00.
What are the key support and resistance levels for MA?
MA has support at $559.61, $553.12, $542.74 (nearest -1.4%) and resistance at $571.35, $581.85, $588.11 (nearest +0.7%). Levels are volume-weighted swing clusters, pruned by ATR and labelled by which side of the current price they sit on.
What is the biggest risk for MA right now?
MA reads Contained Risk overall. No single risk axis reads high. Beta is 0.73, the 14-day ATR is 1.6% of price, forward P/E is 28.4x, and the next earnings date is Oct 29, 2026.

๐Ÿ“Š APPENDIX A - Complete Technical Indicators

Comprehensive technical data for quantitative analysis, grouped by what each indicator measures. Price leads; the three Bollinger bands sit together with the band position that reads them.

IndicatorValueIndicatorValue
Price & Volume
Current Price $567.65 Volume 2.4M
Avg Volume 2.9M Beta 0.73
Trend
EMA 20 $569.43 EMA 50 $562.70
EMA 200 $539.76 VWAP $566.24
Trend Strength (ADX) 17.08 Distance from EMA 20 -0.3%
Momentum
RSI (14) 48.61 MACD -2.08
MACD Signal -0.37 MACD Histogram -1.72
Stochastic %K 38.24 Stochastic %D 24.73
Bollinger Bands (20, 2σ)
Bollinger Upper $593.67 Bollinger Middle $572.77
Bollinger Lower $551.86 Band Position 37.8% (0% = lower band, 100% = upper)
Volatility
ATR (14) $9.29 ATR as % of price 1.6%
Signal
Confluence Score 4/7 (last fired 2026-09-22, 3d ago) Trade Signal None in the last 30 days

๐Ÿ’ผ APPENDIX B - Complete Fundamental Metrics

Comprehensive Fundamental Data for Financial Analysis

Valuation Metrics Performance
Market Cap $497.3B Revenue $35.1B
Forward P/E (FY2026E) 28.4 Revenue Growth +14.1%
Trailing P/E 31.2 Gross Margin N/A
Price/Sales 14.17 Operating Margin 61.1%
Price/Book 88.75 Profit Margin 46.3%
PEG Ratio (FY2026โ€“FY2030E CAGR) 1.87 ROE 241.2%
Enterprise Value $510.3B Free Cash Flow $17.0B
EPS (Forward) $19.96 Dividend Yield 0.61%
52-Week Range $464.52 - $601.23

๐Ÿ“ˆ APPENDIX C - Complete Trade History & Backtest Results

Comprehensive Trading Performance and Position Details

Backtest Performance Metrics

Past Win Rate (12 trades)
50.0%
Avg Return
+2.32%
Past Total Return
+13.2%
Profit Factor
1.46

Current Open Position

Entry DateEntry PricePast P&LEntry Stop Loss
2026-02-23$494.35+14.83%$466.48

Recent Trade History (Last 10 Trades)

Entry Date Exit Date Entry Price Exit Price Return % Result
2022-01-282022-03-03$372.32$331.91-10.85%Loss
2022-04-282022-05-09$369.25$319.69-13.42%Loss
2022-09-282023-09-14$283.27$406.03+43.34%Win
2023-10-102023-10-24$393.86$380.62-3.36%Loss
2023-11-212024-02-28$402.30$471.81+17.28%Win
2024-07-102024-10-31$428.49$494.31+15.36%Win
2025-01-302025-03-03$560.86$569.68+1.57%Win
2025-03-112025-03-18$521.01$525.36+0.83%Win
2025-03-272025-04-04$552.49$485.31-12.16%Loss
2025-04-072026-01-20$481.10$529.94+10.15%Win

Summary: 12 total trades | Strategy: Conservative Stop Loss (Fixed ATR-based)

Prices moved since this report was generated

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โš ๏ธ IMPORTANT DISCLAIMER

Disclaimer: This report is for informational and educational purposes only and does not constitute investment advice. Ultra Stock Analysis Pro is not a registered investment advisor; information is impersonal and not tailored to individual circumstances. AI-generated content may contain errors โ€” verify before acting. Past performance is not indicative of future results. Technical analysis based on historical data through 2026-09-25. Fundamental data auto-fetched from Yahoo Finance. Please conduct your own due diligence before making investment decisions.

Report Generated: September 27, 2026 at 11:56 PM

Ultra Stock Analysis Pro - Comprehensive Technical & Fundamental Analysis

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