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Mobileye Global Inc.

Mobileye Global Inc.

MBLYBATSShares

$17.92

$1.53

9.32%

24 Jun 20:00

$10.48

$28.73

52 weeks low/high

Technical analysis

  • Trend Class
    Turning up
  • Trend Power
    Almost flat
  • Pattern
    Ascending triangle
  • EMA-20
    Bearish reversal
    2025-06-12 the price crossed down the moving average line and demonstrates a downside trend.
  • EMA-50
    Bearish reversal
    2025-06-13 the price crossed down the moving average line and getting closer to the MA, which means that the short-term downside trend weakens.
  • EMA-100
    Bearish reversal
    2025-06-13 the price crossed down the moving average line and trying to form a short-term downside trend.
  • Stochastic
    Bullish reversal
    The stochastic indicator is in the lower part of the neutral territory and left the oversold territory. These factors indicate that perhaps the downside trend is coming to an end price will probably head north Last signal: main and signal line crossing.
  • RSI
    Bearish Weakening
    RSI indicator is in the lower part of the neutral territory and it grows. These factors indicate that the upside trend is confirmed. Last signal: entrance to the overbought zone.
  • MACD
    Bearish
    Oscillator MACD is in the negative territory it's lower than the signal line and falls. These factors mean that negative mood prevails. Last signal: down-crossing the middle level.
  • Candle pattern type
    Bullish Engulfing
    Is characterized by a large white body engulfing a preceding smaller black body, which appears during a downtrend. Considered to be a bullish reversal pattern.
    Date of signal:

Prices and risks

Price

ChangeChange by industryMin.Max.Volume
Yesterday-10.27%3.53%$16.68$17.9643.18M
Week-1.81%2.79%$14.62$17.96241.34M
Month-4.50%1.81%$14.62$17.96905.40M
3 Months-0.97%1.73%$11.58$17.962.68B
6 Months-19.73%17.26%$11.58$22.516.90B
Year-43.70%16.02%$10.48$28.7316.73B
3 years96.65%
5 years75.59%
All time-48.56%80.55%$10.48$48.1147.95B

Volatility

MBLYBy industry
Yesterday5.41%1.06%
Week8.62%3.79%
Month13.71%10.98%
3 Months38.95%22.19%
6 Months54.90%30.43%
Year73.68%45.17%
3 years109.37%80.84%
5 years141.20%108.72%
All time

Risk ratios

Sortino
-0.46
Sharpe
-0.59
Sterling
-0.69
Liquidity index
6.12
Alpha
0.00190
Beta
0.45
Indicators are given for the year

Fundamental analysis

Indicators for the last quarter and their dynamics for 5 quarters

Ratios

Valuation
P/E
0.00
Price/Sales
7.43
P/B
0.90
P/FCF
73.18
Debts
D/E
0.00
Efficiency
ROE
-1.81
ROA
-1.56
Net Worth
13.65
Quick Ratio
4.40
Current Ratio
5.80
Other ratios
Net Profit Margin
-12.14
Operating Margin
-13.60
Gross Margin
47.64
Return on tangible equity
-154.30
Revenue
EPS
0.02
EPS Forecast
0.02
Revenue
439.00M
Gross Profit
209.00M
EBITDA
33.00M

Financials

Growth
Net Income
-$86.00M
Operating Income
-$94.00M
Assets
Total Assets
$15.31B
Cash on Hand
$1.20B
Total share holder equity
$14.72B
Debts
Long Term Debt
$0.00
Total liabilities
$588.00M

News