MWA Mueller Water Products · $25.46 Neutral — no clear edge中性 — 无明显优势 Terminal终端
Mueller Water Products · Industrials

MWA

$25.46
Mueller Water Products, Inc. (MWP) is a publicly traded company headquartered in Atlanta, Georgia.MuellerWaterProducts,Inc.(MWP)是一家公开交易的公司,总部位于佐治亚州亚特兰大。
Cyclical周期股 Mid cap中盘 $4B
Engine stance引擎立场2026-07-20
Neutral — no clear edge中性 — 无明显优势
Daily low forming, but the bigger trend is still bearish. Small size only; stop below 24.6.日线低点正在形成,但大趋势仍偏空。只适合小仓位;止损设于 24.6 下方。
Open in Terminal打开终端 All coverage所有股票 Data through数据截至 2026-07-20 · regenerated nightly每日更新

Key Statistics关键统计

Price价格
$25.46
15.9% below 52-week high低于52周高点 15.9%
Market Cap市值
$4B
Normal volume正常成交量
P/E Ratio市盈率
20.8x
29.9x sector median
Beta贝塔
0.75
Moves about 0.8x the market波动幅度约为市场的 0.8 倍
RSI (14)RSI(14)
50
Neutral zone中性区域
Next Earnings下次财报
2026-08-03 (15d)
Volatility Rank波动率分位
73th pctile
hist. vol. percentile历史波动率分位数
Short Interest空头兴趣
3.2% of float

Performance价格表现

Period周期 MWA S&P 500vs Index对比指数
1 Week近1周 +2.2% -1.5% Beat the index by 3.7 points跑赢指数 3.7 个百分点
1 Month近1月 -0.7% +0.6% Lagged the index by 1.3 points落后指数 1.3 个百分点
3 Months近3月 -12.2% +4.7% Lagged the index by 16.9 points落后指数 16.9 个百分点
6 Months近6月 -2.7% +7.8% Lagged the index by 10.5 points落后指数 10.5 个百分点
Year to date年初至今 +6.9% +9.1% Lagged the index by 2.2 points落后指数 2.2 个百分点
1 Year近1年 +1.4% +19.4% Lagged the index by 18.0 points落后指数 18.0 个百分点
3 Years近3年 +60.1% +69.4% Lagged the index by 9.3 points落后指数 9.3 个百分点

Technicals技术面

RSI (14)RSI(14) 50 Neutral zone中性区域
vs 50-day相对50日均线 -0.4% vs 50-day avg
vs 200-day相对200日均线 -2.9% vs 200-day avg
Volatility rank波动率分位 73th percentile 分位
Engine reference levels — not advice引擎参考水平 — 非投资建议
Buy zone买入区间
$25.06
Don't chase above不追高于
$25.46
Stop止损
$24.60
Bounce — turn not confirmed; wait反弹 — 转向未确认,先观望

Earnings财务业绩

15
days until next report天后公布财报
2026-08-03

Estimates being raised — 4 analysts预期上调 — 4 位分析师

Earnings call transcripts — coming soon财报电话会议记录 — 即将上线

Valuation估值

Multiple指标 MWA Sector median行业中位 Cheaper than相对便宜
P/E (trailing)市盈率(历史) 20.77x 29.89
73%
P/B市净率 4.06x 3.90
47%
P/S市销率 2.78x 2.21
42%
Earnings yield盈利收益率 4.82% 3.10
76%
FCF yield自由现金流收益率 4.32% 3.81
60%
Shareholder yield股东收益率 0.38% 2.29
8%
EV/EBITDA企业价值/EBITDA 13.01x 16.39
72%
P/FCF市值/自由现金流 23.14x 25.50
57%
Analyst price targets — coming soon分析师目标价 — 即将上线

Financials财务数据

Revenue营业收入
$968.0M
2019
$964.1M
2020
$1.1B
2021
$1.3B
2022
$1.3B
2024
$1.4B
2025
5yr CAGR5年复合增速: 8.1%
Earnings Per Share每股收益
$0.40
2019
2020
2021
$0.55
2022
$0.74
2024
$1.22
2025
5yr CAGR5年复合增速: 25.0%
Free Cash Flow自由现金流
$5.9M
2019
$72.6M
2020
$94.0M
2021
$61.4M
2022
$191.4M
2024
$172.0M
2025
Margins利润率
Gross margin毛利率
36.1%
Operating margin营业利润率
18.2%
Net margin净利率
13.4%
FCF margin自由现金流利润率
15.3%
19.5%Return on Equity股本回报率
10.4%Return on Assets资产回报率
Leverage杠杆
Net debt / EBITDA净债务/EBITDA0.07
Current ratio流动比率3.54
Capital Allocation资本配置
Buybacks (TTM)回购(TTM)$15.0M
Stock-based comp股权薪酬$10.7M
Share count change (1y)股数变化(1年)-0.1%
Piotroski皮奥特罗斯基 7/9 Altman Z阿尔特曼Z: safe (4.4) Clean稳健

Snapshot Gauges综合指标

Valuation vs Sector估值相对行业
Looks cheap vs sector相对行业偏便宜
Cheaper than 59% of its sector on blended multiples综合估值倍数低于行业内 59% 的公司
Beta市场敏感度
0.75×
0.2
Moves about 0.8× the market波动幅度约为市场的 0.8 倍
Financial Health财务健康
7/9
Altman阿尔特曼: safe
Strong financial health财务健康状况良好
Dividend分红
Does not pay a dividend不派发股息

Why Is It Moving为何波动

Macro宏观 Rate risk runs through its market / growth beta, not a distinct duration leg.其利率风险通过市场/成长beta体现,并无独立的久期暴露。
Positioning持仓 Short interest changed +18.8%空头仓位变动 +18.8%
Technical技术面 MWA daily MACD crossed upMWA 日线MACD上穿

Ownership & Smart Money持仓与聪明钱

Insider activity内部人员活动: -$1.0M net (2 buyers, 2 sellers)-$1.0M 净值(2 买家,2 卖家)

Signal History信号历史

DOWNTREND → UNCONFIRMED TURN下跌趋势 → 未确认转向
HIGH-RISK · NIMBLE ONLY. A daily bottoming setup is forming (swing low in, momentum turned up) — but the higher timeframes haven't confirmed it: the bigger picture is still bearish (weekly momentum negative; investor cycle overdue; last cycle left-translated (topped early)). This is an UNCONFIRMED TURN, not a confirmed buy. Weekly confirmation lags price, so this exact reading covers BOTH bounces that fail AND the first leg of a genuine new cycle — you can't tell which in real time, so treat it as a risk/size signal, not a direction call. Measured: weekly-unconfirmed bottoming setups held the low ~49% of the time vs ~68% once the weekly turns up. Last cycle was left-translated (topped early) — a bearish structural tell高风险 · 仅限灵活操作。正在形成日线筑底形态(摆动低点已现、动量转向上行)——但更高周期尚未确认:大局仍偏空(周线动量为负;投资者周期已逾期;上一周期左移(见顶偏早))。这是「未确认转向」,并非已确认的买入。周线确认滞后于价格,因此同样的读数既涵盖最终失败的反弹,也涵盖真正新周期的第一段——实时无法判定属于哪一种,故应将其视为风险/仓位信号,而非方向判断。实测:周线未确认的筑底形态约 49% 守住低点,周线转向后升至约 68%。 上一周期为左移结构(见顶偏早)——属于看空的结构性信号
COUNTERTREND BOUNCE UNCONFIRMED TURN
Jul 16, 2026
MWA daily MACD crossed upMWA 日线MACD上穿
The daily MACD histogram turned positive — fast and noisy, context rather than a standalone trigger. $25.94.日线MACD柱状图转正 — 快速且嘈杂,仅作背景。$25.94。
Jul 16, 2026
MWA StochRSI turned up from oversoldMWA StochRSI自超卖区上行
StochRSI popped back above 20 — the earliest oscillator heads-up that downside momentum is easing. $25.94.StochRSI重回20上方 — 下行动量趋缓的最早预警。$25.94。
Jul 13, 2026
UNCONFIRMED TURN → DOWNTREND未确认转向 → 下跌趋势
AVOID回避
Jul 9, 2026
NEARING A LOW → UNCONFIRMED TURN接近低点 → 未确认转向
HIGH-RISK · NIMBLE ONLY高风险 · 仅限灵活操作
Jul 8, 2026
UNCONFIRMED TURN → NEARING A LOW未确认转向 → 接近低点
GET READY准备
Jul 2, 2026
MWA daily MACD crossed downMWA 日线MACD下穿
The daily MACD histogram turned negative — fast and noisy, context rather than a standalone trigger. $24.97.日线MACD柱状图转负 — 快速且嘈杂,仅作背景。$24.97。
Jul 1, 2026
BOTTOMING → UNCONFIRMED TURN筑底中 → 未确认转向
HIGH-RISK · NIMBLE ONLY高风险 · 仅限灵活操作
Jul 1, 2026
MWA broke down vs the marketMWA 相对市场走弱
Relative strength vs SPY crossed below the 10th percentile of the last 90 days — weakness often leads price. $25.11.相对标普500的强弱下穿近90日的第10百分位 — 走弱常先于价格。$25.11。
Jun 30, 2026
Death cross on MWAMWA 死叉
The 50-day average crossed below the 200-day — a slow, widely-watched bearish trend signal. $25.83.50日均线下穿200日均线 — 一个滞后但广受关注的看空趋势信号。$25.83。

Showing last 15 of显示最近15条,共 249 signals条信号

Factor Profile因子特征

Composite factor score综合因子得分: -0.21
Value价值
-0.4
Profitability盈利能力
-0.2
Quality质量
-0.2
Investment资本投入
-0.3
Shareholder payout股东回报
-0.9
Low volatility低波动
+0.8
Low market beta低市场敏感度
+0.1
Earnings quality盈利质量
-0.5
Short interest空头兴趣
+0.6

Company Profile公司档案

Mueller Water Products, Inc. (MWP) is a publicly traded company headquartered in Atlanta, Georgia.MuellerWaterProducts,Inc.(MWP)是一家公开交易的公司,总部位于佐治亚州亚特兰大。
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