NasdaqGS / Technology
$1,590
Quote as of May 22, 2026, 4:00 PM EDT
After-hours NasdaqGS quote as of May 22, 2026, 4:00 PM EDT. Extended-hours prices can sit outside the regular-session range.
Market data feed
Monolithic Power Systems operates in the Technology sector (semiconductors).
Profile data: Market data feed
Chart
Today pos.
81%
Current price in day range
Vs open
+$16.81 / +1.07%
Intraday follow-through
Opening gap
+0.75%
Open vs previous close
Volume
467.32K
467.32K traded
Trade access
Affiliate disclosure: TECHi may earn a commission on links to broker partners. Read more.
Investment snapshot
Monolithic Power Systems operates in the Technology sector (semiconductors).
Valuation frame
$78.11B market cap
Forward P/E 65.79; compare that multiple with peers before treating the move as cheap or expensive.
Trend context
Chart-led
The chart card owns live tape and range context; use this snapshot for the investment read.
Next catalyst
Catalyst feed pending
Watch earnings, lockup/news flow, guidance, and sector ETF moves.
Risk flag
Coverage gaps
15 tracked fields are pending; TECHi keeps unavailable data visible instead of filling with guessed values.
Formula outlook
Balanced watch. Strongest input: future value (87/100). Main brake: valuation pressure (18/100). Model confidence is 65/100 from 39 of 60 available inputs; 21 inputs are missing, so treat this as a directional research screen rather than a forecast.
59
/100
30-180 day + strategic setup
Medium confidence
39 of 60 fields are powering the model.
Composite formula
14% technical tape, 14% momentum, 15% quality, 12% future value, 12% valuation, 11% analyst/revision, 7% sentiment, 5% leadership, 3% social/developer, 7% risk brake.
Strategic inputs
0 roadmap items, 0 leadership roles, 0 social/developer channels, human-impact lens pending.
Factual coverage
79/100 from 73/88 sourced fields, 48% live feed health, and 15 missing fields.
Guardrail
Buy/Hold/Sell labels are research stances. Predictive accuracy is marked pending until TECHi stores signals and grades them against later closes.
Bull case
+21.6%$1,934
Momentum holds, quality signals stay firm, future-product execution improves, and valuation pressure does not widen.
Base case
+10.2%$1,751
Weighted factor model using price, fundamentals, analyst, sentiment, roadmap, leadership, social traction, and risk inputs.
Stress case
-0.8%$1,576
Volatility, missing-data, valuation, and balance-sheet brakes are applied to the setup.
Horizon model
Each row changes the formula weights: short windows lean on technicals and tape; long windows lean on quality, valuation, leadership, and future value.
Horizon
1 Day
60/100 signal
Momentum setup 62/100 · News sentiment 67/100 · Technical tape 54/100
Intraday-sensitive. Treat as tape risk, not a forecast.
42% technicals + 26% momentum + 12% sentiment + 10% risk + 6% analyst + 4% quality
+1.1%
$1,607
66/100 conf · 79/100 facts
Horizon
7 Days
62/100 signal
Momentum setup 62/100 · Analyst/revision signal 78/100 · News sentiment 67/100
One-week setup. News and technical reversals can dominate fundamentals.
34% technicals + 24% momentum + 14% sentiment + 10% analyst + 10% risk + 8% quality
+2.6%
$1,631
66/100 conf · 79/100 facts
Horizon
15 Days
60/100 signal
Analyst/revision signal 78/100 · Momentum setup 62/100 · News sentiment 67/100
Short swing setup. Earnings dates and macro prints can overwhelm the model.
29% technicals + 22% momentum + 14% sentiment + 13% analyst + 10% quality + 6% valuation + 6% risk
+3.2%
$1,641
66/100 conf · 79/100 facts
Horizon
30 Days
59/100 signal
Analyst/revision signal 78/100 · Valuation pressure 18/100 · Momentum setup 62/100
One-month setup. Best read with earnings calendar and options positioning.
22% technicals + 20% momentum + 16% analyst + 12% sentiment + 12% quality + 10% valuation + 8% risk
+4.3%
$1,658
67/100 conf · 79/100 facts
Horizon
3 Months
61/100 signal
Analyst/revision signal 78/100 · Valuation pressure 18/100 · Future value 87/100
Quarterly setup. Guidance, margin trend, and estimate revisions matter most.
18% analyst + 17% momentum + 16% quality + 15% technicals + 13% valuation + 10% future + 6% sentiment + 5% risk
+8.2%
$1,720
67/100 conf · 79/100 facts
Horizon
6 Months
61/100 signal
Future value 87/100 · Valuation pressure 18/100 · Analyst/revision signal 78/100
Two-quarter setup. Watch estimate revisions and balance-sheet risk.
19% quality + 18% analyst + 16% valuation + 14% future + 12% momentum + 9% technicals + 6% sentiment + 6% risk
+11.7%
$1,776
67/100 conf · 79/100 facts
Horizon
1 Year
60/100 signal
Future value 87/100 · Valuation pressure 18/100 · Analyst/revision signal 78/100
Twelve-month research signal. Compare with analyst targets and filings.
20% quality + 18% analyst + 18% valuation + 16% future + 10% momentum + 6% technicals + 5% leadership + 4% sentiment + 3% risk
+17.3%
$1,865
68/100 conf · 79/100 facts
Horizon
3 Years
60/100 signal
Future value 87/100 · Valuation pressure 18/100 · Quality trend 64/100
Multi-year thesis signal. Execution quality matters more than current tape.
24% quality + 21% future + 17% valuation + 10% leadership + 9% analyst + 8% risk + 5% momentum + 4% social + 2% sentiment
+32.0%
$2,099
69/100 conf · 79/100 facts
Horizon
5 Years
60/100 signal
Future value 87/100 · Valuation pressure 18/100 · Quality trend 64/100
Long-term compounding signal. Needs repeated validation after each filing cycle.
26% quality + 23% future + 15% valuation + 12% leadership + 9% risk + 6% social + 4% analyst + 3% momentum + 2% sentiment
+48.0%
$2,353
69/100 conf · 79/100 facts
Horizon
10 Years
62/100 signal
Future value 87/100 · Valuation pressure 18/100 · Quality trend 64/100
Decade thesis signal. This is strategic durability, not a price target.
27% quality + 25% future + 14% leadership + 12% valuation + 10% risk + 6% social + 3% analyst + 2% momentum + 1% sentiment
+83.1%
$2,911
69/100 conf · 79/100 facts
Technical tape
5D/20D/60D returns + SMA 20/50/200 + RSI 14 + MACD + volume + volatility
54/100
Uses the live quote and the shared one-year chart to score trend, stretch, confirmation, and risk.
8/11 inputs available
Momentum setup
Range position + price vs averages + session move + 20D/60D returns + liquidity multiple
62/100
Rewards confirmed trend, but trims extremes near the top of the range.
5/8 inputs available
Quality trend
Margins + ROE/ROA + revenue growth + earnings growth + free-cash-flow conversion
64/100
Looks for a business that can convert growth into durable profit, cash flow, and returns.
7/9 inputs available
Future value
Product roadmap + human impact + forward growth estimates + capital runway
87/100
Adds a strategic lens for upcoming products, real-world usefulness, growth support, and balance-sheet runway.
2/7 inputs available
Valuation pressure
Forward/trailing multiple + price/sales + price/book + EV/sales + PEG + FCF yield + target spread
18/100
Higher score means the current multiple has more room relative to growth and targets.
7/8 inputs available
Analyst/revision signal
Consensus score + implied upside + latest EPS surprise + EPS estimate revisions
78/100
Blends outside target data, surprise history, and whether estimates are moving up or down.
3/4 inputs available
News sentiment
Average news sentiment score + dominant label + current headline breadth
67/100
Captures current narrative pressure without letting headlines dominate the model.
1/3 inputs available
Leadership depth
CEO + CFO/COO/CTO/CPO/CMO coverage + named executive depth
50/100
Rewards leadership visibility across finance, operations, technology, product, and go-to-market roles.
0/1 inputs available
Social/developer traction
X/Twitter + GitHub + LinkedIn + YouTube + other public audience signals
50/100
Captures community and developer gravity where verified handles or follower snapshots are available.
0/1 inputs available
Risk brake
Beta + leverage + liquidity + size + volatility + drawdown + history + missing fields
61/100
Penalizes volatility, leverage, weak liquidity, thin history, sparse provider coverage, and recent drawdowns.
6/8 inputs available
Composite = 14% technical tape + 14% momentum + 15% quality + 12% future value + 12% valuation + 11% analyst/revision + 7% sentiment + 5% leadership + 3% social/developer traction + 7% risk brake, confidence-adjusted toward neutral when fields are missing.
Scenario prices blend live market fields with roadmap, leadership, human-impact, and social/developer inputs; they are not analyst price targets.
Buy/Hold/Sell is the formula label for the selected horizon, not personal financial advice. Use it beside filings, risk tolerance, and current market conditions.
0 roadmap inputs in the future-value lens.
0 named C-suite roles tracked.
0 social and developer channels available.
Price timestamps show the latest available trade from the active session or the most recent regular-market close. Fundamentals, analyst data, and news timestamps show when that section's feed was checked or published.
Help · FAQ
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