{"id":7765,"date":"2023-05-12T09:20:58","date_gmt":"2023-05-12T13:20:58","guid":{"rendered":"https:\/\/ifintechworld.com\/news\/monolithic-power-systems-near-term-cap-gain-prospect-nasdaqmpwr\/"},"modified":"2023-05-12T09:20:59","modified_gmt":"2023-05-12T13:20:59","slug":"monolithic-power-systems-near-term-cap-gain-prospect-nasdaqmpwr","status":"publish","type":"post","link":"https:\/\/ifintechworld.com\/?p=7765","title":{"rendered":"Monolithic Power Systems: Near-Term Cap-Gain Prospect (NASDAQ:MPWR)"},"content":{"rendered":"<div data-test-id=\"content-container\">\n<p><figure class=\"getty-figure\" data-type=\"getty-image\"><picture><\/picture><figcaption><\/figcaption><\/figure>\n<\/p>\n<p>The primary focus of this article is <strong>Monolithic Power Systems, Inc.<\/strong><\/p>\n<h2><strong>Investment Thesis<\/strong><\/h2>\n<p>The trade-commission-free automation progress achieved by securities markets in serving a continuing flow of individual investor internet-order small trades makes it necessary for<span class=\"paywall-full-content invisible\"> Market-Makers to have capital at risk while handling the irregular huge-value &#8220;institutional&#8221; transactions. They protect their at-risk capital endangerment by hedging actions which reflects the coming price range expectations of the stocks involved &#8211; virtually all of the actively-traded issues.<\/span><\/p>\n<p class=\"paywall-full-content invisible\">The pricing and structure of such hedges reveal the coming-price expectations of both the MM protection-buyers and that of the MM industry protection-sellers.<\/p>\n<p class=\"paywall-full-content invisible\">Our selection of <strong>Monolithic Power Systems, Inc. (<span class=\"ticker-hover-wrapper\">NASDAQ:MPWR<\/span>)<\/strong> is established by its currently-attractive stock pricing reinforced by other Seeking Alpha fundamental-analytical contributors.<\/p>\n<h2 class=\"paywall-full-content invisible\"><strong>Description of Subject Company<\/strong><\/h2>\n<blockquote class=\"paywall-full-content invisible\">\n<p><strong>&#8220;<\/strong>Monolithic Power Systems, Inc. engages in the design, development, marketing, and sale of semiconductor-based power<span class=\"paywall-full-content invisible no-summary-bullets\"> electronics solutions for the computing and storage, automotive, industrial, communications, and consumer markets. The company provides direct current (DC) to DC integrated circuits (ICS) that are used to convert and control voltages of various electronic systems. The company sells its products through third-party distributors and value-added resellers, as well as directly to original equipment manufacturers, original design manufacturers, electronic manufacturing service providers, and other end customers in China, Taiwan, Europe, South Korea, Southeast Asia, Japan, the United States, and internationally. Monolithic Power Systems, Inc. was incorporated in 1997 and is based in Kirkland, Washington.&#8221;<\/span><\/p>\n<\/blockquote>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Source: Yahoo Finance<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">\n<figure class=\"regular-img-figure\" contenteditable=\"false\"><picture><img decoding=\"async\" src=\"https:\/\/ifintechworld.com\/wp-content\/uploads\/2023\/05\/501110-16838735203950365.png\" alt=\"street analyst estimates\" contenteditable=\"true\" loading=\"lazy\"><\/picture><figcaption>\n<p class=\"item-caption\">Yahoo Finance<\/p>\n<\/figcaption><\/figure>\n<\/p>\n<h2 class=\"paywall-full-content invisible no-summary-bullets\"><strong>Alternative Power System Investments Compared<\/strong><\/h2>\n<h3 class=\"paywall-full-content invisible no-summary-bullets\"><strong>Figure 1<\/strong><\/h3>\n<p class=\"paywall-full-content invisible no-summary-bullets\">\n<figure class=\"regular-img-figure\" contenteditable=\"false\"><picture><img decoding=\"async\" src=\"https:\/\/ifintechworld.com\/wp-content\/uploads\/2023\/05\/501110-16838737381193094.png\" alt=\"MM hedging-implied forecasts\" width=\"602\" height=\"460\" contenteditable=\"true\" data-width=\"602\" data-height=\"460\" loading=\"lazy\"><\/picture><figcaption>\n<p class=\"item-caption\">blockdesk.com<\/p>\n<\/figcaption><\/figure>\n<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">(used with prior permission)<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">The tradeoffs here are between near-term upside price gains (green horizontal scale) seen worth protecting against by Market-makers with short positions in each of the stocks, and the prior actual price drawdowns experienced during holdings of those stocks (red vertical scale). Both scales are of percent change from zero to 25%.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">The intersection of those coordinates by the numbered positions is identified by the stock symbols in the blue field to the right.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">The dotted diagonal line marks the points of equal upside price change forecasts derived from Market-Maker [MM] hedging actions and the actual worst-case price drawdowns from positions that could have been taken following prior MM forecasts like today&#8217;s.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Our principal interest is in MPWR at location [10]. A &#8220;market index&#8221; norm of reward~risk tradeoffs is offered by SPDR S&amp;P500 index ETF at [11].<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Those forecasts are implied by the self-protective behaviors of MMs who must usually put firm capital at temporary risk to balance buyer and seller interests in helping big-money portfolio managers make volume adjustments to multi-billion-dollar portfolios. The protective actions taken with real-money bets define daily the extent of likely expected price changes for thousands of stocks and ETFs.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">This map is a good starting point, but it can only cover some of the investment characteristics that often should influence an investor&#8217;s choice of where to put his\/her capital to work. The table in Figure 2 covers the above considerations and several others.<\/p>\n<h2 class=\"paywall-full-content invisible no-summary-bullets\"><strong>Comparing Alternative Investments<\/strong><\/h2>\n<h3 class=\"paywall-full-content invisible no-summary-bullets\"><strong>Figure 2<\/strong><\/h3>\n<p class=\"paywall-full-content invisible no-summary-bullets\">\n<figure class=\"regular-img-figure\" contenteditable=\"false\"><picture><span><img decoding=\"async\" src=\"https:\/\/ifintechworld.com\/wp-content\/uploads\/2023\/05\/501110-16838738325792124.png\" alt=\"detail comparative data\" width=\"640\" height=\"166\" contenteditable=\"true\" data-width=\"640\" data-height=\"166\" loading=\"lazy\"><\/span><\/picture><figcaption>\n<p class=\"item-caption\">blockdesk.com<\/p>\n<\/figcaption><\/figure>\n<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">(used with permission)<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Column headers for Figure 2 define elements for each row stock whose symbol appears at the left in column [A]. The elements are derived or calculated separately for each stock, based on the specifics of its situation and current-day MM price-range forecasts. Data in red numerals are negative, usually undesirable to &#8220;long&#8221; holding positions. Table cells with yellow fills are of data for the stock of principal interest and of all issues at the ranking column, [R].<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Readers familiar with our analysis methods may wish to skip to the next section viewing price range forecast trends for MPWR.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Figure 2&#8217;s purpose is to attempt universally comparable measures, stock by stock, of a) How BIG the price gain payoff may be, b) how LIKELY the payoff will be a profitable experience, c) how SOON it may happen, and d) what price drawdown RISK may be encountered during its holding period.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">The price-range forecast limits of columns [B] and [C] get defined by MM hedging actions to protect firm capital required to be put at risk of price changes from volume trade orders placed by big-$ &#8220;institutional&#8221; clients.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">[E] measures potential upside risks for MM short positions created to fill such orders, and reward potentials for the buy-side positions so created. Prior forecasts like the present provide a history of <em>relevant<\/em> price draw-down risks for buyers. An average of the most severe ones actually encountered are in [F], during holding periods in effort to reach [E] gains. Those are where buyers are most likely to accept losses.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">[H] tells what proportion of the [L] sample of prior like forecasts have earned gains by either having price reach its [B] target or be above its [D] entry cost at the end of a 3-month max-patience holding period limit. [ I ] gives the net gains-losses of those [L] experiences and [N] suggests how credible [E] may be compared to [ I ].<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Further Reward~Risk tradeoffs involve using the [H] odds for gains and the 100 &#8211; H loss odds as weights for N-conditioned [E] and for [F], for a combined-return score [Q]. The typical position holding period [J] on [Q] provides a <em>figure of merit<\/em> [<em>fom<\/em>] ranking measure [R] useful in portfolio position preferences. Figure 2 is row-ranked on [R] among candidate securities, with MPWR yellow-row identified. Pink highlighted cells are alerts of data deficient in its intended purpose.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Along with the candidate-specific stocks these selection considerations are provided for the averages of over 3,000 stocks for which MM price-range forecasts are available today, and 20 of the best-ranked (by <em>fom<\/em>) of those forecasts, as well as the forecast for S&amp;P500 Index ETF (NYSEARCA:SPY) as an equity market proxy.<\/p>\n<h2 class=\"paywall-full-content invisible no-summary-bullets\"><strong>Recent Trends in MM Price-Range Forecasts for MPWR<\/strong><\/h2>\n<h3 class=\"paywall-full-content invisible no-summary-bullets\"><strong>Figure 3<\/strong><\/h3>\n<p class=\"paywall-full-content invisible no-summary-bullets\">\n<figure class=\"regular-img-figure\" contenteditable=\"false\"><picture><img decoding=\"async\" src=\"https:\/\/ifintechworld.com\/wp-content\/uploads\/2023\/05\/501110-16838739218426251.png\" alt=\"trend of daily forecast updates\" width=\"617\" height=\"666\" contenteditable=\"true\" data-width=\"617\" data-height=\"666\" loading=\"lazy\"><\/picture><figcaption>\n<p class=\"item-caption\">blockdesk.com<\/p>\n<\/figcaption><\/figure>\n<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">(used with prior permission)<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">This picture is <em>not<\/em> a &#8220;technical chart&#8221; of <strong>past prices<\/strong> for MPWR. Instead, its vertical lines show the past 6 months of daily <em>price range <strong>forecasts<\/strong><\/em> <strong>of market actions yet to come<\/strong> in the next few months. The only past information there is the heavy dot of the closing stock price on the day of each forecast.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">That data splits the price range&#8217;s opposite forecasts into upside and downside prospects. Their trends over time provide additional insights into coming potentials, and helps keep perspective on what may be coming.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">The small picture at the bottom of Figure 3 is a <em>frequency distribution<\/em> of the Range Index&#8217;s appearance daily during the past 5 years of daily forecasts. The Range Index [RI] tells how much the downside of the forecast range occupies of that percentage of the entire range each day, and its frequency suggests what may seem &#8220;normal&#8221; for that stock, in the expectations of its evaluators&#8217; eyes. A RI of -6 actually tells that the stock is no selling slightly below the range believed to be justifiable now.<\/p>\n<p class=\"paywall-full-content invisible no-summary-bullets\">The Win Odds of 90 tells that percentage of all 21 prior forecasts in 5 years like today&#8217;s which have seen the stock&#8217;s price advance above its entry cost, often to its Sell Target. Its net prior payoff experience of +18.3% in the typical 30 market days held is annual CAGR rate of over +300%.<\/p>\n<h2 class=\"paywall-full-content invisible no-summary-bullets\"><strong>Conclusion<\/strong><\/h2>\n<p class=\"paywall-full-content invisible no-summary-bullets\">Among these alternative investments explicitly compared, <strong>Monolithic Power Systems, Inc.<\/strong> appears to be a logical buy preference now for investors seeking near-term capital gain.<\/p>\n<\/div>\n<p>Read the full article <a href=\"https:\/\/seekingalpha.com\/article\/4603610-monolithic-power-systems-near-term-cap-gain-prospect?source=feed_all_articles\" target=\"_blank\" rel=\"noopener\">here<\/a><\/p>\n","protected":false},"excerpt":{"rendered":"<p>The primary focus of this article is Monolithic Power Systems, Inc. Investment Thesis The trade-commission-free automation progress achieved by securities markets in serving a continuing flow of individual investor internet-order small trades makes it necessary for Market-Makers to have capital at risk while handling the irregular huge-value &#8220;institutional&#8221; transactions. They protect their at-risk capital endangerment [&hellip;]<\/p>\n","protected":false},"author":1,"featured_media":2644,"comment_status":"open","ping_status":"open","sticky":false,"template":"","format":"gallery","meta":{"footnotes":""},"categories":[236],"tags":[83],"class_list":["post-7765","post","type-post","status-publish","format-gallery","has-post-thumbnail","hentry","category-news","tag-featured","post_format-post-format-gallery"],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v20.6 - https:\/\/yoast.com\/wordpress\/plugins\/seo\/ -->\n<title>Monolithic Power Systems: Near-Term Cap-Gain Prospect (NASDAQ:MPWR) | iFintechWorld<\/title>\n<meta name=\"description\" content=\"The primary focus of this article is Monolithic Power Systems, Inc. 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