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Mobileye Global Inc. (MBLY) AI Forecast

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Mobileye Global Inc. (MBLY) Stock Forecast 2025


Mobileye Global Inc. (MBLY) AI Stock Price Forecast & Investment Analysis

Mobileye Global Inc. Stock Price Chart and Technical Analysis

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Mobileye Global Inc. (MBLY) - Comprehensive Stock Analysis & Investment Research

Deep dive into Mobileye Global Inc.'s business profile, financial performance, AI predictions, and competitive positioning to make informed investment decisions.

Analysis updated on July 29, 2026, 1:31 a.m. (UTC)

Mobileye Global Inc. Investment Summary

When evaluating whether Mobileye Global Inc. (MBLY) represents a compelling investment opportunity, investors must consider multiple factors including the company's financial health, market position, growth prospects, and what our AI-powered predictive models suggest about its near-term price trajectory.

Company Profile

Mobileye Global Inc. (MBLY) operates within the Technology sector, specifically in the Services-Prepackaged Software industry. . With a market capitalization of $2 billion, the company is a mid-cap stock that typically offers a balance between growth potential and established business operations.

Financial Performance Analysis

Our comprehensive financial analysis covers Mobileye Global Inc.'s revenue, profitability metrics, balance sheet strength, and cash flow generation...

AI Price Predictions

Get AI-powered 7-day, 30-day and 90-day price forecasts for Mobileye Global Inc. along with confidence scores and detailed analysis...

Investment Considerations

Expert analysis of whether Mobileye Global Inc. is suitable for your investment objectives, risk tolerance, and time horizon...

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Corporate Identity

Mobileye Global Inc. (Stock Symbol: MBLY) is a prominent company operating within the Technology sector, with a specific focus on the Services-Prepackaged Software industry. The company's shares are publicly traded on the Nasdaq exchange.

Leadership & Workforce

Detailed information about Mobileye Global Inc.'s leadership team, workforce size, and organizational structure...

Market Classification

Market capitalization analysis and stock classification (mega-cap, large-cap, mid-cap, small-cap) for Mobileye Global Inc....

Sector & Industry Analysis

In-depth sector dynamics and industry context for Mobileye Global Inc....

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Revenue & Growth Analysis

Mobileye Global Inc. generates annual revenues of $2 billion , indicating a well-established business with proven market demand.

Profitability Metrics

Net profit margin, gross margin, and operating margin analysis for Mobileye Global Inc....

Market Valuation

P/E ratio, price-to-book, and valuation multiples for Mobileye Global Inc....

Return Metrics

Return on equity (ROE), return on assets (ROA), and capital efficiency for Mobileye Global Inc....

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Strategic Market Position

Mobileye Global Inc. strategically competes in the highly dynamic Services-Prepackaged Software marketplace. As a mid-cap company, it occupies an attractive position balancing growth potential with established operations. Mid-caps often represent the 'sweet spot' for investors seeking companies that have proven their business models but still have meaningful runway for expansion. These companies are large enough to have competitive advantages but nimble enough to adapt quickly to market changes.

Industry Competitive Landscape

Mobileye Global Inc. operates within the fast-evolving technology sector where competitive dynamics are shaped by innovation cycles, platform economics, and network effects. Technology companies must continuously invest in R&D to maintain relevance, while also defending against disruption from startups and adjacent market entrants. Success in this sector often requires achieving critical scale or establishing defensible intellectual property positions.

Operational Efficiency

The company shows positive operational efficiency through free cash flow generation of $388 million annually . Positive free cash flow indicates the business generates more cash than required for operations and capital investments, providing resources for growth initiatives or shareholder returns.

Margin & Pricing Power Analysis

The company maintains a 47.7% gross margin indicating healthy pricing power relative to direct production costs. This margin level suggests the company has successfully differentiated its products or services, allowing it to command prices meaningfully above input costs. Maintaining these margins requires ongoing investment in brand, technology, or other differentiating factors.

Operating margin of -4.7% demonstrates how efficiently the company converts revenues into operating profits after accounting for all operating expenses including research and development, sales and marketing, and general administrative costs. Operating margin compression relative to gross margin suggests high operating expenses that may warrant efficiency improvements or reflect necessary growth investments.

Asset Utilization Efficiency

Asset turnover ratio of 0.23x indicates lower asset turnover that may reflect the industry's capital-intensive nature or potentially underutilized assets. Companies with low turnover typically depend on strong margins to generate adequate returns on capital.

Financial Strength & Leverage

Current ratio of 4.60 demonstrates strong short-term liquidity with current assets significantly exceeding current liabilities. This provides a substantial buffer for meeting near-term obligations and handling unexpected financial needs.

Mobileye Global Inc. (MBLY) Fundamental Analysis & Insider Trading Data (Quarterly Financial Reports)

Comprehensive quarterly financial data, earnings trends, insider transactions, and institutional holdings for Mobileye Global Inc. stock analysis.

Deep dive into Mobileye Global Inc.'s financial health, valuation metrics, and operational efficiency to make informed investment decisions.

Understanding Valuation Metrics

What these metrics mean: Valuation metrics help determine if Mobileye Global Inc. stock is fairly priced compared to its earnings, assets, and market position.

How to read them: Lower P/E ratios may indicate undervalued stocks, while higher ratios suggest growth expectations. P/B ratio compares market value to book value.

For Mobileye Global Inc.:

P/B Ratio 0.25x
Market Cap $2.02B
EPS $-0.60
Book Value/Share $32.56
Revenue/Share $7.99
FCF/Share $1.54
Understanding Profitability Metrics

What these metrics mean: These ratios measure how efficiently Mobileye Global Inc. converts revenue into profit and generates returns for shareholders.

How to read them: Higher ROE/ROA indicate better management efficiency. Margin percentages show profit at different operational levels.

For Mobileye Global Inc.: An ROE of -5.5% indicates room for improvement in shareholder value creation.

ROE -5.5%
ROA -5.1%
ROIC -2.9%
Gross Margin 47.7%
Operating Margin -4.7%
Net Margin -8.6%
EBT Margin -5.1%
Tax Rate -69.7%
Understanding Financial Health Metrics

What these metrics mean: These ratios assess Mobileye Global Inc.'s ability to meet short-term obligations and manage debt levels effectively.

How to read them: Current ratio >2 is generally good, Quick ratio >1 shows strong liquidity. Lower D/E ratios indicate conservative debt management.

For Mobileye Global Inc.: A current ratio of 4.60 indicates strong liquidity.

Current Ratio 4.60x
Quick Ratio 3.92x
D/E Ratio 0.08x
Financial Leverage 1.08x
Working Capital $1.63B
Understanding Cash Flow Metrics

What these metrics mean: Cash flow metrics reveal Mobileye Global Inc.'s ability to generate cash from operations and fund growth initiatives.

How to read them: Positive operating cash flow is crucial. Free cash flow shows money available for dividends, buybacks, or investments.

For Mobileye Global Inc.: Free cash flow of $388M provides flexibility for shareholder returns and growth investments.

Operating Cash Flow $1.58B
Free Cash Flow $388M
Capital Spending -$1.19B
FCF Growth YoY -18.0%
FCF/Sales 19.3%
CapEx/Sales 59.1%
Understanding Operational Efficiency Metrics

What these metrics mean: These ratios measure how effectively Mobileye Global Inc. uses its assets and manages working capital.

How to read them: Higher turnover ratios indicate efficient asset utilization. Shorter collection periods show effective credit management.

For Mobileye Global Inc.: An asset turnover of 0.23x suggests room for improvement in asset utilization.

Asset Turnover 0.23x
Receivables Turnover 9.7x
Inventory Turnover 8.8x
Fixed Assets Turnover 4.3x
Days Sales Outstanding 38 days
Days Inventory 41 days
Payables Period 0 days
Cash Conversion Cycle 79 days
Understanding Financial Statement Data

What these metrics mean: Key figures from Mobileye Global Inc.'s income statement and balance sheet showing absolute financial performance.

How to read them: Revenue shows business scale, while margins indicate profitability. Balance sheet items reveal financial structure.

For Mobileye Global Inc.: With annual revenue of $2016M, Mobileye Global Inc. operates at significant scale.

Income Statement
Total Revenue $2.02B
Operating Income -$244M
Net Income -$448M
R&D Expense $2.26B
SG&A Expense $1.37B
Cost of Goods Sold $2.73B
Balance Sheet Highlights (% Of Assets)
Total Current Assets 2081%
Cash & Short-term Investments 1311%
Total Liabilities 628%
Short-term Debt 450%
Accounts Receivable 208%
Inventory 310%
Dividend & Shareholder Information
Shares Outstanding 252M
Growth Metrics (YoY)
Net Income Growth -8.6%
EPS Growth -7.5%

Latest Mobileye Global Inc. Stock News & Market Analysis

Breaking news, analyst reports, and market updates affecting Mobileye Global Inc. (MBLY) stock price and investment outlook.

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Mobileye Global Inc. Competitors & Peer Analysis - Technology Sector

Comparative analysis of Mobileye Global Inc. against industry peers and competitors in the Technology sector, featuring AI-powered forecasts and key financial metrics.

Company Ticker Symbol 90-Day AI Forecast Market Cap (USD M) P/E Ratio P/B Ratio
ADBE ██% $99.42B 13.8x 8.6x
ADSK ██% $50.09B 34.2x 15.7x
AEYE ██% $75M x 23.7x
AI ██% $1.25B x 1.9x
AIFF ██% $16M x 2.0x
AISP ██% $66M 13.6x x
AITX ██% $3M x x
ALAR ██% $13M x x
ALKT ██% $1.93B x 5.3x
ALRM ██% $2.69B 21.0x 3.1x
AMPL ██% $1.17B x 5.4x
AMST ██% $6M x 4.3x
APCX ██% $11M x 36.1x
API ██% $333M x 0.5x
APPF ██% $6.31B 40.1x 12.0x
APPN ██% $2.01B 2271.4x x
ARQQ ██% $305M x x
ASAN ██% $1.95B x 14.2x
ASFT ██% $1M x x
ATDS ██% N/A x x
ATHR ██% $44M x 18.8x
AUID ██% $11M x 2.1x
AVPT ██% $2.74B 58.7x 6.2x
AWRE ██% $24M x 1.1x
BAND ██% $1.66B x 4.1x
BB ██% $4.74B 108.7x 6.3x
BBAI ██% $1.32B x 1.7x
BCAR ██% $233M 26.9x x
BILL ██% $4.60B x 1.2x
BKYI ██% $5M x 0.9x
BL ██% $1.89B 71.1x 6.2x
BLIN ██% $15M x 1.6x
BLKB ██% $1.66B 11.8x 48.1x
BLZE ██% $716M x 8.5x
BMR ██% $19M x 1.2x
BNZI ██% $6M x 0.8x
BOX ██% $4.36B 17.2x x
BRZE ██% $2.78B x 4.8x
BSY ██% $11.20B 39.7x 9.1x
CCC ██% $3.71B 2195.1x 2.1x
CCLD ██% $100M 10.3x 1.7x
CCSI ██% $683M 7.8x 31.1x
CDNS ██% $95.08B 81.2x 14.5x
CERT ██% $1.21B x 1.2x
CGNT ██% $652M x 3.2x
CHKP ██% $14.53B 6.9x 5.0x
CLBT ██% $3.69B 23.6x 7.6x
CLOQ ██% $25M x x
CLPS ██% $24M x x
CMRC ██% $263M x 5.6x
COUR ██% $1.68B x 2.5x
CRM ██% $157.54B 19.4x 4.6x
CRNC ██% $368M x 2.3x
CRWD ██% $185.12B x 40.0x
CRWV ██% $35.47B x 7.5x
CTGL ██% $9M x x
CVLT ██% $4.95B 70.1x 660.7x
CWAN ██% $7.24B x 3.5x
CXAI ██% $12M x x
CXM ██% $1.52B 53.0x 3.1x
CYAB ██% $4M x x
DBX ██% $7.53B 15.9x x
DCBO ██% $533M x x
DDD ██% $430M 6.9x 1.8x
DDOG ██% $88.63B 653.3x 22.2x
DH ██% $71M x 0.5x
DOMO ██% $165M x x
DPLS ██% $890K x x
DSGX ██% $6.11B 18.7x 3.8x
DSNY ██% $3M x 2.0x
DT ██% $12.88B 79.2x 4.9x
DTSS ██% $8M x 2.2x
DUOL ██% $6.51B 15.4x 4.7x
DUOT ██% $238M x 2.2x
EA ██% $52.47B 59.2x 7.8x
EBZT ██% $3M x 4.5x
EGAN ██% $191M 5.0x 2.1x
ESTC ██% $6.41B 17.4x 5.0x
EVCM ██% $2.15B 66.1x 3.0x
EXFY ██% $170M x 1.2x
FATN ██% $73M 14.7x 2.9x
FDCT ██% $15M 25.5x 0.4x
FDCTD ██% $16M 26.8x 0.5x
FIG ██% $12.12B x 8.3x
FNGR ██% $17M x 1.2x
FROG ██% $9.84B x 10.7x
FRSH ██% $3.07B 17.0x 3.0x
FRSX ██% $3M x 0.5x
FSLY ██% $3.13B x 3.2x
GDYN ██% $514M 77.5x 1.0x
GEG ██% $65M x 1.6x
GEN ██% $15.99B 16.4x 6.1x
GHST ██% $4M x x
GLBE ██% $6.38B x 6.8x
GMER ██% $710K x x
GNS ██% $30M x x
GTIC ██% $2M x x
GTLB ██% $5.59B x 5.7x
GTM ██% $912M 7.2x 0.6x
GWRE ██% $12.58B 70.3x 9.6x
GXAI ██% $11M x 0.7x
HPAI ██% $17M x 1.0x
HUBS ██% $11.59B 115.6x 5.8x
IDAI ██% $11M x 1.5x
IDN ██% $73M 33.0x 3.4x
IFBD ██% $9M x 0.1x
IIIV ██% $577M 36.4x 1.8x
IMAA ██% $160K x x
INLX ██% $24M x 2.3x
INSE ██% $192M x x
INTA ██% $2.27B x 7.1x
ITOX ██% $290K x x
IVDA ██% $3M x 0.4x
KC ██% $2.97B x 0.3x
KLTR ██% $215M x 46.4x
KOAN ██% $170K x x
KVYO ██% $5.40B x 4.7x
LIVG ██% $520K x 0.0x
LPSN ██% $20M x x
LSPD ██% $1.35B x x
MANH ██% $9.42B 43.5x 45.9x
MAPS ██% $59M 39.8x 1.0x
MBLY ██% $2.02B x 0.3x
MDB ██% $25.01B x 8.5x
MFON ██% $3M x x
MNDY ██% $3.47B 14.6x 2.8x
MQ ██% $1.85B 853.6x 2.5x
MRDN ██% $174M x 3.6x
MSFT ██% $2.89T 23.1x 7.0x
MSGM ██% $18M 3.0x 2.6x
MTC ██% $291M x x
MYPS ██% $78M x 0.4x
MYSZ ██% $2M x 0.5x
NABL ██% $823M x 1.0x
NAVN ██% $6.56B x 5.3x
NCNO ██% $1.92B 144.8x 2.0x
NET ██% $93.66B x 61.4x
NICE ██% $5.74B x 1.5x
NTNX ██% $15.37B 90.5x x
NTSK ██% $4.82B x 27.5x
NTWK ██% $51M x 1.4x
NXNT ██% $12M x 97.7x
NYAX ██% $2.60B x x
OKTA ██% $24.21B 98.0x 3.5x
OPRA ██% $1.69B x x
ORCL ██% $345.31B 20.2x 8.1x
PATH ██% $6.08B 18.6x 3.2x
PAYC ██% $7.05B 15.0x 8.7x
PCOR ██% $7.02B x 5.9x
PCTY ██% $6.97B 27.0x 5.9x
PD ██% $768M 4.1x 3.5x
PDFS ██% $1.90B 265.2x 6.8x
PDYN ██% $244M x 3.5x
PLTR ██% $315.29B 138.2x 37.3x
PNXP ██% $40K x x
PRCH ██% $1.35B x x
PRGS ██% $1.60B 17.9x 3.2x
PTC ██% $14.46B 11.6x 3.8x
QLYS ██% $4.77B 23.7x 8.4x
QTWO ██% $3.64B 49.3x 6.0x
QUBT ██% $1.79B x 1.1x
QXL ██% $63M x 2.9x
RBLX ██% $34.66B x 80.2x
RBRK ██% $15.24B x x
RCAT ██% $1.19B x 5.0x
RDVT ██% $889M 63.1x 8.5x
RPD ██% $642M 25.0x 3.7x
RPMT ██% $78M x x
S ██% $6.11B x 4.3x
SAIL ██% $8.70B x 1.3x
SAP ██% $220.63B x x
SEGG ██% $14M x 0.4x
SHOP ██% $171.05B 128.4x 13.7x
SKIL ██% $60M x x
SKKY ██% $27M x 31.8x
SMSI ██% $14M x 0.8x
SNAL ██% $46M x 4.6x
SNPS ██% $74.47B 96.3x 2.4x
SOUN ██% $2.55B x 5.5x
SPSC ██% $2.43B 26.7x 2.5x
SPT ██% $513M x 2.4x
SSNC ██% $18.67B 23.1x 2.7x
SSTI ██% $109M x 1.6x
SVCO ██% $232M x 3.0x
SVMB ██% $555M x x
TAOP ██% $7M x 0.4x
TDC ██% $2.74B 6.5x 4.9x
TEAM ██% $25.51B x 29.0x
TENB ██% $3.65B x 14.7x
TTAN ██% $7.52B x 4.8x
TTWO ██% $45.56B x 13.0x
TWLO ██% $29.35B 282.3x 3.8x
TYL ██% $13.64B 43.2x 3.8x
UPLD ██% $13M x x
UPYY ██% N/A x x
VEEV ██% $32.94B 35.0x 4.5x
VIIQ ██% $3M x 0.1x
VPRB ██% $11M 10.2x x
VRNS ██% $5.30B x 11.7x
VTEX ██% $747M x 3.2x
VWAV ██% $65M x 0.7x
WBSR ██% $8M x x
WEAV ██% $549M x 6.6x
WFCF ██% $61M 38.1x 6.6x
WHEN ██% N/A x x
WIMI ██% $21M x 0.0x
WK ██% $3.38B 238.0x x
XYZ ██% $49.41B 61.2x 2.3x
XZO ██% $1.52B 11.0x 5.5x
ZDGE ██% $40M x 1.6x
ZETA ██% $5.19B x 5.9x
ZPTA ██% $157M 14.7x x
ZSPC ██% $770K x x
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Frequently Asked Questions - Mobileye Global Inc. Stock Forecast

How accurate are Mobileye Global Inc. stock predictions?

Our AI model shows a -22% Spearman correlation coefficient for MBLY predictions, based on advanced machine learning algorithms trained on over 10 years of market data. This measures the strength of the monotonic relationship between predicted and actual price movements.

What factors influence Mobileye Global Inc. stock price forecasts?

Our analysis considers Mobileye Global Inc.'s financial metrics, Technology sector trends, market sentiment, technical indicators, earnings data, and macroeconomic factors affecting stock performance.

Is Mobileye Global Inc. a good investment in 2025?

Based on our AI analysis, Mobileye Global Inc. shows potential for various market scenarios. Consider your risk tolerance, investment timeline, and portfolio diversification before making investment decisions.

How often are Mobileye Global Inc. forecasts updated?

Mobileye Global Inc. stock forecasts are updated daily using real-time market data, ensuring you receive the most current AI-powered predictions and investment insights.

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