
@StockInvestUS
YouTube
Avg. Quality
74
Success Rate
46.59
Analysis
367
Correct
171
Fail
134
Pending
53
Ineffective
0
Total Quality
Score
If You Had Traded on This Analysis…
Pending

MP
Long Entry
78.3570
2025-10-11
03:43 UTC
Target
365.1700
Fail
74.5300
Risk/Reward
1 : 75
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The analysis focuses on MP Materials (MP), indicating it as a strong buy candidate with a score of 7.755. From October 2nd, 2025, the stock has shown a 10.4% gain, translating to a daily gain of 1.49%. It's within a broad upward trend. Short-term trend suggest an 18% increase over 3 months, with potential returns between 0.5% and 27%. The 12-month analysis suggests a potential change of approximately 400%, fluctuating between 162% and 366%, translating to a future price range of $205.12 and $365.17. The stock closed at $78.34, an 8.37% increase, with high volatility. There are buy signals from short and long-term moving averages, the short-term average is above the long-term average. A buy signal was issued from a pivot bottom on September 10, 2025, rising 25.46%. Potential support at $73.11 and $69.29. Recommended stop-loss is at $74.53, a 4.86% decline. Recent insider trading indicates a slightly negative sentiment, with sells outweighing buys. Analyst ratings lean towards a strong sell with a general D+ rating. The analyst on Monday, September 22, 2025, give an outperform rating with initialise action, where as on August 29, 2025 another give Buy rating with hold action, some positive indicators and a pivot bottom are identified from 22 days ago. Long term structured tailwinds can lift revenues and margins. All this analysis concludes with a strong buy candidate rating.