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Shared Analysis$MET • MetLife, Inc.
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69Score

MET

MetLife, Inc.

Financials
NYSES&P 500
Risk: HIGH
39
15
21
3
96.89USD
BUY
SWING: 🟢 Dip Buy (Pullback) (70/100)

Swing Trade Setup & Plan

🟢 Dip Buy (Pullback)

💡 Healthy pullback to moving average support in an uptrend. Favorable asymmetric risk/reward ratio.

LONG Position (Buy: Enter at current price and sell higher at Take Profit)
Buy (Entry)$96.89Current Market Price
Stop Loss (If Price Drops)$95.23-1.7% Risk (Cut loss if price falls)
Take Profit 1 (1:2 R:R)$100.19+3.4% Profit (Target)
Take Profit 2 (1:3 R:R)$101.84+5.1% Profit (Runner)

💡 With a Long position, you profit when the price rises: buy now at $96.89 and sell higher at $100.19 (+3.4% profit).

Trend Structure:Strong Bull (GC+20MA)85/100
Momentum:RSI 57, 0.8% vs 20MA90/100
52W Strength:-4.0% from 52W High65/100
Rel. Volume:0.31x avg (Accum.)50/100
Risk Profile:ATR 1.1% of price, SI 1.9%60/100
Earnings Calendar:60d to earnings60/100
Market Regime:🟡 Neutral

âš  Technical levels and targets are quantitatively calculated based on ATR volatility dynamics and price structure. Apply disciplined risk management.

All-Time Range

19.01
NOW
99.95

Current price compared to the all-time low and high. A high position may indicate strong momentum.

Wall St. Target

105.06+8.44%
84.00
AVG
NOW
119.00

Average analyst price target for the next 12 months.

+24.04%1Y
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