MPWR
Monolithic Power Systems (MPS) designs and develops high-performance power solutions, specializing in DC-DC power converters.
Asset Summary
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Asset Performance Metrics and Risk Characteristics:
Metrics below use daily returns for Jan 1, 2026 – Jun 17, 2026 (YTD).
Understanding asset performance is crucial for evaluating investment quality and making informed decisions. Metrics like trailing return and drawdown provide insights into how an asset has performed over time, its volatility, and the efficiency of its returns relative to risk. Performance indicators help assess the stability, risk, and reward of an investment, allowing investors and portfolio managers to make comparisons and strategize accordingly.
1 Month Trailing Return
0.84%
Represents the percentage change in asset value over the past month.
3 Month Trailing Return
40.51%
Indicates the percentage change in asset value over the last three months.
Period Max Drawdown
18.64%
The highest percentage drop from the peak value to the lowest point during the observed period.
Standard Deviation
56.80%
Shows how much the asset’s daily returns deviate from the average, annualized for the entire period.
Sharpe Ratio
2.12
Measures the average return earned in excess of the risk-free rate per unit of volatility, annualized.
Calmar Ratio
6.45
The ratio of the annualized return to the maximum drawdown, reflecting the return per unit of risk.
Asset Technical Analysis
Technical analysis involves evaluating an asset's price and volume data to forecast future movements and make informed trading decisions. Using indicators such as moving averages, pivot levels, momentum studies, and candlestick pattern scans can clarify trend strength and volatility. The tabs below summarize moving averages, pivots, technical indicators, candlestick patterns, and recent prices for this symbol.
Analysis
Moving Averages
Moving Averages are commonly used to smooth out price data and identify trends over a specific period. Here’s a summary of the latest moving averages for various periods:
| Type/Period | |
|---|---|
| SMA | |
| EMA | |
| WMA | |
| WEMA |
- SMA (Simple Moving Average): Reflects the average price over a specific number of periods.
- EMA (Exponential Moving Average): Gives more weight to recent prices, making it more responsive to new information.
- WMA (Weighted Moving Average): Assigns a weight to each price, emphasizing more recent prices.
- WEMA (Weighted Exponential Moving Average): Combines elements of both WMA and EMA for a more responsive moving average.
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Unlock Full Potential NowFrequently Asked Questions
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Investors can purchase MPWR stock through a brokerage account or investment platform.
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MPS focuses on sustainability through the development of energy-efficient products and minimizing its environmental impact.
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MPS adheres to strict quality control standards and continuous improvement practices throughout its manufacturing processes.
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Monolithic Power Systems is headquartered in Kirkland, Washington.
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Investors should consider risks such as market competition, technological changes, and fluctuations in demand for electronic components.
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MPS aims to grow by expanding its product portfolio, entering new markets, and enhancing customer partnerships.
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Yes, MPWR stock is publicly traded on the NASDAQ under the ticker symbol MPWR.
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MPS invests heavily in research and development to deliver cutting-edge power solutions and enhance energy efficiency.
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MPS is well-positioned for growth with increasing demand for power management solutions in a variety of applications.
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MPS participates in community engagement initiatives and supports education in STEM fields through various programs.
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Disclaimers
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With any investment, your capital is at risk. Past performance is no guarantee of future results. Consult your provider's terms and privacy policies where applicable.
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