How the MSI forecast is built

This page is designed to answer long-term stock-price questions with measurable inputs rather than a generic AI opinion. Numerical targets are intentionally withheld until a dedicated long-horizon model has produced and validated them.

Motorola Solutions, Inc. New Stock Price Forecast 2026–2050

2026Validated long-term forecast pending
2030Validated long-term forecast pending
2035Validated long-term forecast pending
2040Validated long-term forecast pending
2050Validated long-term forecast pending

2026 stock prediction

The 2026 research section will combine the latest earnings trajectory, valuation, technical regime, sector conditions, market context and model assumptions. The current 24H–90D quantitative model is not presented as a 2026 price target.

2030 stock prediction

The 2030 section will focus on multi-year growth, margins, earnings power, valuation ranges, capital allocation and changing market conditions once the long-horizon model is validated.

2035 stock prediction

The 2035 outlook requires explicit long-range assumptions and scenario validation. US Market AI will show a target only when the relevant model output is available.

2040 stock prediction

The 2040 research layer will track structural business drivers, industry evolution, long-term valuation assumptions and market regimes instead of extrapolating a short-term signal.

2050 stock prediction

The 2050 section is intended as a long-horizon scenario research page. It will remain data-backed and assumption-led rather than presenting an unsupported single-number target.

Technical analysis

RSI 46.04198976482421MACD 2.602577866042566SMA 50 451.36959999999993SMA 200 426.0091500000001Volatility 19.905687148475888Momentum -6.251526748636116
See all technical indicators on the MSI stock page →

Fundamental analysis

Revenue growth EPS growth P/E Forward P/E ROE Free cash flow

Prediction methodology

  • Historical price and volume behavior
  • Technical indicators and volatility
  • Fundamentals and earnings data
  • Market, sector and macro context
  • News and sentiment signals
  • Out-of-sample prediction evaluation

Risks and factors that could change the outlook

Forecasts can change as earnings, valuation, macro conditions, volatility, company-specific events and market sentiment change. The model will record meaningful updates rather than silently replacing historical forecasts.

Author and research responsibility

US Market AI Research Desk maintains the research presentation, methodology and data-linked stock pages. Market values and quantitative outputs are displayed from connected data sources; missing values are not fabricated.