MAGNMagnera Corporation
$11.65-0.38% 1Y
$11.65
$7.9652 weeks$15.26
What is the market doing?
Mixed
1 neutral, 2 without dataRangebound. That is the only one of 3 checks this filer's data supports, so take it as a single data point rather than a settled answer.
TrendRangeboundderived · Oct 8, 2026
Rangebound, no clear trend. Price is −4% vs its 200-day average.
Where this answer is blind. Insider selling is often routine (taxes, diversification); only cluster buying is a strong tell.
How MAGN is trading
Magnera Corporation is −0.38% over the past year while the S&P 500 is +18%: 19 points behind the market.
−0.38%
1-year return · S&P 500 +18%
- vs 200-day average
- −4.5%
vs 200-day average · below trend, but not far
- RSI (14)
- 53
RSI (14) · neutral
- Below its 52-week high
- 24%
Below its 52-week high
Details›
- Last close2026-10-08
- $11.65
- 1 monthS&P 500 +1.6%
- +0.26%
- 1 yearS&P 500 +18%
- −0.38%
- 5 yearsS&P 500 +86%
- −93%
- vs 50-day average$12.20
- −4.5%
- 52-week high
- $15.26
- 52-week low
- $7.96
- Annualised volatility
- 59%
| Year | Return |
|---|---|
| 2026 (year to date) | −23% |
| 2025 | −17% |
| 2024 | −28% |
| 2023 | −30% |
| 2022 | −83% |
| 2021 | +8.8% |
| 2020 | −6.4% |
| 2019 | +95% |
| 2018 | −53% |
| 2017 | −8.5% |
| Month | Years | Positive | Average |
|---|---|---|---|
| Jan | 10 | 6 of 10 | +5.4% |
| Feb | 10 | 4 of 10 | +0.12% |
| Mar | 10 | 3 of 10 | −7.7% |
| Apr | 10 | 5 of 10 | +0.85% |
| May | 10 | 4 of 10 | −8.2% |
| Jun | 10 | 7 of 10 | +1.1% |
| Jul | 11 | 8 of 11 | +2.5% |
| Aug | 11 | 4 of 11 | −6.0% |
| Sep | 11 | 3 of 11 | −3.7% |
| Oct | 11 | 7 of 11 | +0.24% |
| Nov | 10 | 5 of 10 | +3.6% |
| Dec | 10 | 7 of 10 | +0.25% |
End-of-day closes from IEX; the S&P 500 comparison uses SPY over the same window. Prices are a reference point, not a basis for trading decisions.
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