Motorola Solutions, Inc (NYSE:MSI) Extends AI And MANET Footprint, Positioning For Near-Term Revenue Lift

Acquisitions and board-level moves accelerate the company’s technology and go-to-market expansion while cash returns climb; momentum indicators and moving-average structure support a constructive near-term price bias.

Recent News

Nov. 19, 2025 — Motorola Solutions acquired Blue Eye, an AI-powered remote video monitoring provider, to integrate verified video alerts and live voice talk-down capability into its Video and Inform workflows; Nov. 18, 2025 — the board approved an 11% increase to the regular quarterly dividend to $1.21 per share, payable Jan. 15, 2026; Nov. 18, 2025 — Motorola added Dr. Mark Lashier (Phillips 66 CEO) to its board of directors.

Technical Analysis

ADX at 41.59 signals very strong trend strength, which amplifies the impact of recent directional signals on near-term price movement.

DI+ shows a dip & reversal at 27.41 while DI- peaked and reversed at 9.40; both directional indicator moves read as bullish and support upside continuation toward recent resistance levels.

MACD at 7.76 with an increasing trend and a current reading above the signal line (MACD signal 5.79) represents a bullish momentum confirmation that aligns with the ADX-strengthened bias.

MRO reads -0.24 with a dip & reversal trend; the slightly negative oscillator indicates price sits marginally below an internal target and therefore carries modest upside potential into the next reversion window.

RSI at 56.23 with an increasing trend indicates mild bullish momentum without overbought stress, complementing MACD’s positive signal.

Price structure favors buyers: the close at $422.18 trades above the 20-day average ($405.13), 50-day average ($384.87) and 200-day average ($419.94), while price sits between the 1× and 2× Bollinger upper bands (upper1x $414.86; upper2x $424.58), indicating elevated near-term levels but room before extreme overextension.

Short-term EMAs support continuation: the 12-day EMA is increasing at $407.99 and lies below the close, which aligns with the MACD crossover and reinforces near-term bullish pressure.

 


Fundamental Analysis

Revenue reached $3,009,000,000 with year-over-year revenue growth of 43.17% and quarter-over-quarter revenue change of -5.87%, showing strong annual expansion despite seasonal/conversion softness QoQ.

Gross margin stands at 51.65% and operating margin at 25.46%; EBIT margin equals 27.52%, up 1.31% QoQ and essentially flat YoY (-0.04%). The EBIT margin sits slightly above the industry peer mean of 27.10% (industry peer mean) while remaining inside the industry peer range. These margin levels support above-average operating profitability relative to peers.

Net income registered $562,000,000 and EPS came in at $4.06, beating the estimate of $3.85 by $0.21 (an EPS surprise of 5.46%), which improves near-term earnings visibility for the forward period.

Cash flow and capital returns: free cash flow equals $732,000,000 with a free cash flow yield of 0.97%; dividend payout ratio sits at 32.38% with dividend coverage of 308.79%, indicating cash flow can support the dividend while retaining capital for acquisitions and operations.

Leverage and coverage: total debt stands at $9,936,000,000 with net debt $8,445,000,000; debt-to-equity measures 426.99% and debt-to-assets equals 52.85%, while interest coverage runs 8.04×. High leverage magnifies capital structure risk but the interest coverage ratio provides operating earnings buffer versus interest expense.

Return metrics exceed industry peer means: return on equity at 24.15% sits above the industry peer mean of 6.65% (industry peer mean), return on assets at 3.19% tops the industry peer mean of 2.78% (industry peer mean), and return on invested capital at 5.54% exceeds the industry peer mean of 4.39% (industry peer mean), supporting the company’s ability to convert revenue into shareholder returns.

Valuation context: price multiples appear rich — trailing PE ~111.15 and enterprise multiple ~89.36 — and WMDST values the stock as over-valued. Elevated multiples, modest free cash flow yield, and substantial leverage frame valuation risk even as fundamental growth and margin metrics remain solid.

MOST-RECENT QUARTERLY REPORT
REPORT PERIOD ENDING: 2025-09-30
REPORT DATE: 2025-10-30
NEXT REPORT DATE: 2026-01-29
CASH FLOW  Begin Period Cash Flow 3.2 B
 Operating Cash Flow 798.0 M
 Capital Expenditures -66.00 M
 Change In Working Capital 46.0 M
 Dividends Paid -182.00 M
 Cash Flow Delta -2.31 B
 End Period Cash Flow 894.0 M
 
INCOME STATEMENT REVENUE
 Total Revenue 3.0 B
 Forward Revenue 910.3 M
COSTS
 Cost Of Revenue 1.5 B
 Depreciation 49.0 M
 Depreciation and Amortization 115.0 M
 Research and Development 237.0 M
 Total Operating Expenses 2.2 B
PROFITABILITY
 Gross Profit 1.6 B
 EBITDA 943.0 M
 EBIT 828.0 M
 Operating Income 766.0 M
 Interest Income 17.0 M
 Interest Expense 103.0 M
 Net Interest Income -86.00 M
 Income Before Tax 725.0 M
 Tax Provision 161.0 M
 Tax Rate 22.0 %
 Net Income 562.0 M
 Net Income From Continuing Operations 563.0 M
EARNINGS
 EPS Estimate 3.85
 EPS Actual 4.06
 EPS Difference 0.21
 EPS Surprise 5.455 %
 Forward EPS 4.08
 
BALANCE SHEET ASSETS
 Total Assets 18.8 B
 Intangible Assets 9.9 B
 Net Tangible Assets -7.58 B
 Total Current Assets 5.8 B
 Cash and Short-Term Investments 894.0 M
 Cash 894.0 M
 Net Receivables 2.0 B
 Inventory 943.0 M
 Long-Term Investments 96.0 M
LIABILITIES
 Accounts Payable 1.1 B
 Short-Term Debt 928.0 M
 Total Current Liabilities 5.7 B
 Net Debt 8.4 B
 Total Debt 9.9 B
 Total Liabilities 16.5 B
EQUITY
 Total Equity 2.3 B
 Retained Earnings 2.6 B
VALUATION & PER-SHARE METRICS EQUITY & PER-SHARE METRICS
 Book Value Per-Share 13.96
 Shares Outstanding 166.700 M
 Revenue Per-Share 18.05
VALUATION
 Market Capitalization 75.2 B
 Enterprise Value 84.3 B
 Enterprise Multiple 89.36
Enterprise Multiple QoQ -4.84 %
Enterprise Multiple YoY 4.747 %
Enterprise Multiple IPRWA high: 162.207
MSI: 89.36
median: 68.592
mean: 67.038
low: -11.362
 EV/R 28.005
CAPITAL STRUCTURE
 Asset To Equity 8.079
 Asset To Liability 1.142
 Debt To Capital 0.81
 Debt To Assets 0.529
Debt To Assets QoQ 4.109 %
Debt To Assets YoY 2180.155 %
Debt To Assets IPRWA high: 0.533
MSI: 0.529
median: 0.228
mean: 0.22
low: 0.024
 Debt To Equity 4.27
Debt To Equity QoQ 0.854 %
Debt To Equity YoY 1658.31 %
Debt To Equity IPRWA MSI: 4.27
high: 2.401
median: 0.569
mean: 0.566
low: 0.034
PRICE-BASED VALUATION
 Price To Book (P/B) 32.327
Price To Book QoQ -13.411 %
Price To Book YoY -41.89 %
Price To Book IPRWA MSI: 32.327
high: 21.237
mean: 7.576
median: 5.604
low: -1.369
 Price To Earnings (P/E) 111.147
Price To Earnings QoQ -6.321 %
Price To Earnings YoY -5.948 %
Price To Earnings IPRWA high: 350.333
mean: 111.755
MSI: 111.147
median: 55.548
low: -73.826
 PE/G Ratio 8.098
 Price To Sales (P/S) 25.0
Price To Sales QoQ -5.918 %
Price To Sales YoY -5.445 %
Price To Sales IPRWA high: 43.745
MSI: 25.0
median: 17.892
mean: 13.25
low: 0.045
FORWARD MULTIPLES
Forward P/E 111.533
Forward PE/G 8.126
Forward P/S 82.634
EFFICIENCY OPERATIONAL
 Operating Leverage 1.162
ASSET & SALES
 Asset Turnover Ratio 0.171
Asset Turnover Ratio QoQ -4.669 %
Asset Turnover Ratio YoY -16.585 %
Asset Turnover Ratio IPRWA high: 0.496
MSI: 0.171
mean: 0.157
median: 0.126
low: 0.057
 Receivables Turnover 1.555
Receivables Turnover Ratio QoQ 1.851 %
Receivables Turnover Ratio YoY 0.604 %
Receivables Turnover Ratio IPRWA high: 3.142
median: 2.071
mean: 2.002
MSI: 1.555
low: 0.595
 Inventory Turnover 1.613
Inventory Turnover Ratio QoQ 1.056 %
Inventory Turnover Ratio YoY -3.774 %
Inventory Turnover Ratio IPRWA high: 3.69
MSI: 1.613
mean: 1.177
median: 1.079
low: 0.006
 Days Sales Outstanding (DSO) 58.68
CASH CYCLE
 Cash Conversion Cycle Days (CCC) 45.047
Cash Conversion Cycle Days QoQ -0.261 %
Cash Conversion Cycle Days YoY 3.989 %
Cash Conversion Cycle Days IPRWA high: 366.812
mean: 116.112
median: 52.2
MSI: 45.047
low: -92.54
CAPITAL DEPLOYMENT
 Cash Conversion Ratio 19.796
 CapEx To Revenue -0.022
 CapEx To Depreciation -1.347
 
CAPITAL, LIQUIDITY & COVERAGE CAPITAL STRUCTURE
 Total Capital 10.7 B
 Net Invested Capital 11.7 B
 Invested Capital 11.7 B
 Net Tangible Assets -7.58 B
 Net Working Capital 152.0 M
LIQUIDITY
 Cash Ratio 0.158
 Current Ratio 1.027
Current Ratio QoQ -40.577 %
Current Ratio YoY -17.523 %
Current Ratio IPRWA high: 5.423
mean: 1.844
median: 1.171
MSI: 1.027
low: 0.722
 Quick Ratio 0.86
Quick Ratio QoQ -43.966 %
Quick Ratio YoY -19.613 %
Quick Ratio IPRWA high: 4.274
mean: 1.516
median: 0.908
MSI: 0.86
low: 0.497
COVERAGE & LEVERAGE
 Debt To EBITDA 10.537
 Cost Of Debt 0.88 %
 Interest Coverage Ratio 8.039
Interest Coverage Ratio QoQ -24.0 %
Interest Coverage Ratio YoY -23.589 %
Interest Coverage Ratio IPRWA high: 35.667
mean: 11.005
median: 8.583
MSI: 8.039
low: -29.448
 Operating Cash Flow Ratio 0.084
TIMING / LIQUIDITY
 Days Payables Outstanding (DPO) 74.512
DIVIDENDS
 Dividend Coverage Ratio 3.088
 Dividend Payout Ratio 0.324
 Dividend Rate 1.09
 Dividend Yield 0.002
PERFORMANCE GROWTH
 Asset Growth Rate 14.544 %
 Revenue Growth 8.825 %
Revenue Growth QoQ -5.867 %
Revenue Growth YoY 43.17 %
Revenue Growth IPRWA high: 44.897 %
MSI: 8.825 %
mean: 4.22 %
median: 3.703 %
low: -31.668 %
 Earnings Growth 13.725 %
Earnings Growth QoQ 11.913 %
Earnings Growth YoY -11.061 %
Earnings Growth IPRWA high: 125.0 %
MSI: 13.725 %
mean: 10.403 %
median: 2.857 %
low: -78.571 %
MARGINS
 Gross Margin 51.645 %
Gross Margin QoQ 1.061 %
Gross Margin YoY 0.551 %
Gross Margin IPRWA high: 88.028 %
median: 60.607 %
mean: 57.35 %
MSI: 51.645 %
low: 6.723 %
 EBIT Margin 27.517 %
EBIT Margin QoQ 1.311 %
EBIT Margin YoY -0.036 %
EBIT Margin IPRWA high: 52.219 %
MSI: 27.517 %
mean: 27.099 %
median: 18.66 %
low: -25.54 %
 Return On Sales (ROS) 25.457 %
Return On Sales QoQ 1.572 %
Return On Sales YoY -7.52 %
Return On Sales IPRWA high: 46.033 %
mean: 26.248 %
MSI: 25.457 %
median: 18.046 %
low: -26.82 %
CASH FLOW
 Free Cash Flow (FCF) 732.0 M
 Free Cash Flow Yield 0.973 %
Free Cash Flow Yield QoQ 217.974 %
Free Cash Flow Yield YoY 2.206 %
Free Cash Flow Yield IPRWA high: 7.425 %
median: 1.53 %
mean: 1.329 %
MSI: 0.973 %
low: -8.162 %
 Free Cash Growth 225.333 %
Free Cash Growth QoQ -529.771 %
Free Cash Growth YoY -57.225 %
Free Cash Growth IPRWA high: 387.5 %
MSI: 225.333 %
mean: 27.823 %
median: 5.822 %
low: -667.257 %
 Free Cash To Net Income 1.302
 Cash Flow Margin 15.786 %
 Cash Flow To Earnings 0.845
VALUE & RETURNS
 Economic Value Added 0.04
 Return On Assets (ROA) 3.192 %
Return On Assets QoQ -4.029 %
Return On Assets YoY -22.656 %
Return On Assets IPRWA high: 4.933 %
MSI: 3.192 %
mean: 2.778 %
median: 1.696 %
low: -4.587 %
 Return On Capital Employed (ROCE) 6.301 %
 Return On Equity (ROE) 0.242
Return On Equity QoQ -7.35 %
Return On Equity YoY -43.017 %
Return On Equity IPRWA high: 0.251
MSI: 0.242
mean: 0.067
median: 0.021
low: -0.186
 DuPont ROE 26.169 %
 Return On Invested Capital (ROIC) 5.536 %
Return On Invested Capital QoQ -5.593 %
Return On Invested Capital YoY -109.629 %
Return On Invested Capital IPRWA high: 8.517 %
MSI: 5.536 %
mean: 4.389 %
median: 3.009 %
low: -7.355 %

Six-Week Outlook

Near-term technical momentum looks constructive: MACD above its signal, DI+ and DI- reversal signals, rising short-term EMAs, and price above major moving averages point toward continued upside pressure. Traders should note ADX’s very strong reading, which suggests moves may extend but also risk sharper corrections if momentum reverses. Fundamentals support upside catalysts — notably strong YoY revenue growth, recent EPS beats, and strategic AI and RVM acquisitions — yet high valuation multiples and elevated leverage create a two-sided risk profile. Expect directional trading opportunities while monitoring MACD and RSI for loss of momentum and watching the Bollinger upper band area near the $424 level for early signs of short-term exhaustion.

About Motorola Solutions, Inc.

Motorola Solutions, Inc. (NYSE:MSI) designs and delivers public safety and enterprise security solutions across the globe, including the United States, the United Kingdom, and Canada. The company operates through two primary segments: Products and Systems Integration, and Software and Services. The Products and Systems Integration segment provides a comprehensive range of devices and infrastructure, including two-way radios, video security devices, and communication network solutions. This segment also handles the implementation and integration of these systems for government, public safety, and commercial clients managing private communication networks and video security solutions. The Software and Services segment offers command center software, unified communications applications, and mobile video solutions. It also provides repair, technical support, maintenance, monitoring, software updates, and cybersecurity services. Motorola Solutions caters to industries such as hospitality, manufacturing, military and defense, public safety, mining, oil and gas, transportation, logistics, and utilities. Founded in 1928 and headquartered in Chicago, Illinois, Motorola Solutions continues to support critical communication needs worldwide.



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