Skip to main content

Fiscal Wizard · Single-issue tearsheet

MCO / Oct 1, 2026 Run #19206
Paper trade

MCO

Moody's Corporation

Moody's Corporation, together with its subsidiaries, operates as an integrated risk assessment firm in the United States, the rest of the Americas, Europe, the Middle East, Africa, and the Asia Pacific. It operates through two segments, Moody's Analytics (MA) and Moody's Investors Service (MIS). The MA segment develops a range of products and services that support the risk management activities of institutional participants in financial markets. This segment also offers credit research, credit models and analytics, economic data and models, and structured finance solutions; data sets on companies and securities; and cloud-based SaaS subscription solutions supporting banking, insurance, and know-your-customer workflows. The MIS segment publishes credit ratings and provides assessment services on various debt obligations, programs and facilities, and entities that issue such obligations, including corporate, financial institution, and governmental obligations, as well as structured finance securities. It also provides ratings, investment research, compliance and third-party risk, supplier risk, trade credit, business intelligence sales and marketing, financial and regulatory reporting, balance sheet management, capital management, credit portfolio management, and model risk and governance solutions; Maxsight, a unified risk platform; lending suite, origination, and monitoring solutions; and property, casualty, and sustainable insurance underwriting solutions. The company serves the financial, banking, insurance, corporate, public, and asset management sectors. The company was formerly known as Dun and Bradstreet Company and changed its name to Moody's Corporation in September 2000. Moody's Corporation was founded in 1900 and is headquartered in New York, New York.

Composite verdict

F 26.6 / 100
Bearish setup · Trend Following 10 drivers · 5 gates blocking
  • Accumulation/Distribution Line
  • Coppock Curve
  • Trendline Break
Consider long put target Δ ~0.70 · ~35 DTE Bearish setup, Grade A → ITM put target

Industry rank 7th of 11 in Financial Data & Stock Exchanges

rescore-sweep
Technical synthesisRegime: volatile range
Bull 0%Evidence: High · 17 signals100% Bear
Momentum Bearish 3Mean-reversion Neutral 49

No notable composite patterns — the signals don't cluster into a named setup right now.

Where value comes fromMargin of safety -89%
Asset value $23.41Earnings power value $142.49Price $447.36

Priced above its no-growth earnings power value ($142.49/share) — you're paying for growth and franchise expansion, not just current earnings.

Fundamentals Mixed

53.2 / 100

Score-bearing fundamentals shown here exclude gate-only risk checks. · 35 metrics shown.

Strongest
Weakest
Return on Equity 100
P/B 0
Cash Conversion 92
Margin of Safety 0
EPS Growth (YoY) 86
Days Sales Outstanding 0

Technicals Bearish

0.0 / 100

Bearish setup leads (Accumulation/Distribution Line, Coppock Curve, Trendline Break); bulls gated by guards. · 44 signals shown.

Strongest
Weakest
Accumulation/Distribution Line 5
Trendline Break 9
Coppock Curve 11

Risk Gates

5 blocking 2 caution

5 guards active, 24 signals gated.

Debt-to-Equity Blocking

High debt-to-equity blocks bullish signals — leverage risk.

LT Debt-to-Equity Blocking

High long-term D/E blocks bullish signals — structural-leverage risk.

MA Crossover Blocking

Blocks counter-regime signals only when the MA crossover agrees with the long-term regime.

Realized Volatility Regime Blocking

High-vol regime mutes mean-reversion signals; low-vol regime mutes breakout signals.

Breakdown

Look under the hood

Empty pane

Pick a category, above, to crack it open.

Every chip in either subscore card drills into the metrics or signals that fed it — including the formula, the threshold band, and what the current reading means for MCO.