Motorola Solutions, Inc. (MSI) Stock Price, Analysis & Forecast 2026

NASDAQ
MSI
Motorola Solutions, Inc.
Updated 2026-05-07

Motorola Solutions, Inc. (MSI) Stock Price, Analysis & Forecast 2026

Current price
$411.58 ▲ 2.06%
Market cap$72.08B
ConsensusBuy
Price target$506 +11.0%
52-week range359.36-492.22
Next earnings2026-05-07

MSI interactive stock chart

Key statistics

Overall score

✓ Buy
Valuation

7.5/10

Financial health

4.1/10

Profitability

10/10

Growth

7.0/10

Analyst consensus

7.0/10

Current price
$411.58 ▲ 2.06%
NASDAQ · Live

52-week range
359.36-492.22
Low56%High
Short pressure
41.0%
Moderate short activity
Revenue TTM
$11.68B
↑ 8.0% YoY

Market cap
$72.08B
Large-cap

Next earnings
2026-05-07
EPS est. $3.25
Market cap$72.08BToday’s volume1,441,543
Revenue (TTM)$11.68BAvg. daily volumeN/A
P/E ratio33.46xToday’s range426.7 – 436.905
Debt / equity4.05x52-week range359.36-492.22
Net margin18.44%Beta0.935x
ROEN/A%Current ratio1.04x
Dividend & yield$4.84 (0.01%)Next earnings2026-05-07
FCF yield3.57%FMP ratingB+
DCF fair value$460.64 (6.2%)Revenue growth8.0%
Other Technology stocks to watchAll stocks →

See also: ADSK · CRWV · FTNT · INFY · NOK · All Communication Equipment stocks

Is MSI a good stock to buy in 2026?

Buy
Key signals
✓ 69.7% analyst Buy✓ +11.0% upside to $481.25✓ $72.08B large-cap✓ Short pressure 41.0%
✗ D/E ratio 4.05x

MSI stock is currently rated a “Buy” by analysts, with a strong consensus target of $481.25, representing an 11.0% upside. Its P/E ratio of 33.46x is notably lower than the Communication Equipment sector average of 54.7x, suggesting a potential value opportunity. While profitability metrics are robust, the high debt-to-equity ratio of 4.05x warrants careful consideration for long-term investors.

Top Strength: Strong Profitability
Top Weakness: High Debt
Overall Signal: Buy

2026 MSI price scenarios

Based on analyst consensus of $481.25 from 33 analysts. Not a prediction by Alert Invest.

Pessimistic$450
+3.8%

Key risks:

  • Increased competition from new entrants or existing players eroding market share.
  • Unforeseen disruptions in the global supply chain impacting production and delivery.
  • Failure to innovate or adapt to rapidly evolving communication technology trends.
12.1% of analysts · sell

Base case$506
+11.0% upside

Assumes:

  • MSI continues its steady revenue growth of around 8.0%, reaching forward revenue estimates of $14.23 billion.
  • The company maintains strong profitability with a net margin of 18.44% and achieves forward EPS of $19.90.
  • No significant macroeconomic downturns or geopolitical events that severely impact global communication equipment demand.
18.2% hold · consensus view

Optimistic$506
+16.7% upside

Requires:

  • Faster-than-expected adoption of MSI’s new public safety and enterprise communication solutions.
  • Successful cost-reduction initiatives leading to further margin expansion.
  • Strategic acquisitions that enhance market position and unlock new revenue streams.
0.0% of analysts · strong buy

How does MSI compare?

Side-by-side valuation, growth, and analyst ratings vs top Technology competitors.

About Motorola Solutions, Inc. (MSI)

Motorola Solutions, Inc. provides mission critical communications and analytics in the United States, the United Kingdom, Canada, and internationally. The company operates in two segments, Products and Systems Integration, and Software and Services.

Under the leadership of CEO Gregory Q. Brown, Motorola Solutions has established itself as a global leader in public safety and enterprise security solutions. The company’s core strengths lie in its extensive portfolio of land mobile radio communications, video security, access control, and command center software, serving government and commercial clients worldwide.

MSI competitive moat and business analysis

Motorola Solutions benefits from a significant competitive advantage driven by its deep expertise in mission-critical communications, strong brand recognition, and extensive customer relationships, particularly within government and public safety sectors. The company’s net margin of 18.44% indicates robust operational efficiency and pricing power. While specific ROE and ROIC figures are not available, strong margins often correlate with effective capital deployment in the absence of high leverage.

MSI operates primarily through two segments: Products and Systems Integration, and Software and Services. These segments cater to critical needs for voice, data, and video solutions globally. While specific revenue breakdowns by segment or geographic region for fiscal year 2025 are not detailed in the provided data, the company’s established presence across the United States, the United Kingdom, and Canada underscores its widespread market penetration and diversified revenue streams.

The company’s moat appears to be strengthening, supported by a healthy 8.0% year-over-year revenue growth. This indicates sustained demand for its products and services and effective execution of its strategic initiatives. The stability and essential nature of its offerings, particularly for public safety, provide a resilient revenue base. No recent transcript quotes are available to elaborate on specific moat trends, but consistent growth in a specialized sector suggests ongoing competitive strength.

When comparing MSI stock to its peers, investors should consider MSI vs ADSK, MSI vs CRWV, and MSI vs FTNT. Motorola Solutions’ specialized focus within communication equipment often positions it differently from broader technology companies, warranting a careful look at its unique market dynamics and customer base.

Motorola Solutions, Inc. analyst rating

Based on 33 analysts. 69.7% rate MSI Buy or Strong Buy.

Buy / Hold / Sell breakdown

BUY
33 analysts

Buy69.7%

Hold18.2%

Sell12.1%

12-month price target range
$450$481.25$506
LowConsensusHigh
Current price$433.66Below all targets
To consensus
+11.0%
To high
+16.7%
Analysts
33
Buy
Based on 33 analyst ratings
Consensus target
$506
+11.0% upside
Strong buy

0.0%

Buy

69.7%

Hold

18.2%

Sell

12.1%

Strong sell

0.0%

A 69.7% “Buy” rating from 33 analysts is generally considered a strong endorsement, especially in the competitive Technology sector. This suggests a high degree of confidence among professionals regarding the future performance of MSI stock.

MSI financial scorecard

Comprehensive ranking of MSI across four financial dimensions.

Financial strength

5.0/10

MetricValueSignal & strength
Debt / equity4.05x
High debt

Current ratio1.04x
Adequate

FCF yield3.57%
Fair

DCF vs price+6.2%
Fair value

FMP debt score1/5
Below avg

Profitability rank

10/10

MetricValueSignal & strength
Gross margin50.18%
Excellent

Net margin18.44%
Good

EBITDA margin30.17%
Excellent

ROEN/A
Low

ROAN/A
Low

FMP ROE score5/5
Above avg

Growth rank

7.2/10

MetricValueSignal & strength
Revenue growth YoY+8.0%
Steady

Revenue (TTM)$11.68B
Large scale

Forward EPS est.$19.90028
Analyst consensus

Forward revenue$14.2B
Analyst consensus

FMP DCF score4/5
Above avg

Valuation rank

3.0/10

MetricValueSignal & strength
P/E ratio33.46x
Cheap

P/B ratio29.91x
Expensive

P/S ratio6.17x
Fair

DCF fair value$460.64
Fair value

FMP P/E score2/5
Below avg

FMP overall3/5
Average

Is MSI undervalued or overvalued?

DCF $460.64Fair valuePremiumHigh $506
CheapPremiumRich

$433.66
P/E ratio
33.46x

Cheap

P/B ratio
29.91x

Expensive

P/S ratio
6.17x

Fair

DCF value
$460.64

Fair value

FCF yield
3.57%

Fair

Analyst tgt
$481.25

+11.0% upside

MSI P/E ratio
33.46x
Communication Equipment sector avg
54.7x
Premium / discount
21.2 discount to sector

When assessing MSI valuation, a key metric is its P/E ratio of 33.46x, which stands significantly below the Communication Equipment sector average of 54.7x. This suggests that MSI stock could be considered undervalued relative to its industry peers on an earnings basis. The Discounted Cash Flow (DCF) model reinforces this perspective, estimating a fair value of $460.64, representing a 6.2% upside from the current price.

However, a deeper dive into MSI valuation reveals a high P/B ratio of 29.91x, indicating that the stock is trading at a substantial premium to its book value, which often signals an expensive stock. The P/S ratio of 6.17x falls into a “Fair” range. While earnings and cash flow multiples suggest value, the high price-to-book multiple could be a point of concern for investors primarily focused on asset-backed valuation.

MSI financial health & key metrics

MetricMSISector avgSignal
P/E ratio33.46x54.7xCheap
Net margin18.44%Strong
ROE / ROICN/AN/A
Debt / equity4.05xHigh
FCF yield3.57%Fair
Revenue growth8.0%Steady
DCF fair value$460.64Fair value

For value investors examining MSI stock, the combination of a P/E ratio significantly below the sector average and a DCF fair value indicating upside presents an attractive picture. However, the high debt-to-equity ratio of 4.05x is a financial health concern that needs to be weighed against strong profitability and steady revenue growth. The fair FCF yield suggests adequate cash generation, making MSI a mixed but potentially compelling opportunity for those willing to accept higher leverage for robust operational performance.

Motorola Solutions, Inc. earnings history & next report

Motorola Solutions, Inc. reported EPS of $4.59, beating estimates by 5.52%. Next earnings: 2026-05-07 with EPS estimate of $3.25.

Investors will be closely watching Motorola Solutions’ next earnings report on 2026-05-07, with an estimated EPS of $3.25. Given the previous beat, market participants will be keen to see if the company can maintain its positive earnings momentum, especially in the context of its strong revenue growth and profitability metrics. Commentary on forward guidance and market demand for its critical communication solutions will be particularly impactful for MSI stock performance.

MSI daily short volume

Short volume data from FINRA CNMS Consolidated — shares sold short in the most recent US trading session. A high short ratio can signal bearish conviction or a potential short squeeze. Updated every trading day.

Short ratio
41.0%
Moderate short activity
Short volume
204.6K
shares sold short
Total volume
498.7K
FINRA-reported
Short ratio barSession: 2026-05-06
0%41.0% shorted100%
MetricValueContext
Short volume ratio41.0%40-60% = moderate
Shares sold short204.6KFINRA-reported for 2026-05-06
Total reported volume498.7KAll FINRA ATS + OTC volume
Exempt short volume94Market-maker / arbitrage exempt trades
SignalModerate short activityFINRA CNMS Consolidated

MSI insider trading activity

Corporate insiders must report trades to the SEC within two business days.

Insider signal
Bearish
Insiders are net sellers — worth monitoring closely.
Total purchases
$55,309
5 transactions
Total sales
$3,719,759
3 transactions
DateInsiderRoleTypeSharesPriceValueFiling
2026-04-03Mondre GregDirectorPurchase63$438.96$27,654SEC
2026-04-03Lashier Mark EDirectorPurchase63$438.96$27,654SEC
2026-03-14Brown Gregory QDirector, Officer: Chairman And CeoPurchase8,961N/A$0SEC
2026-03-14Brown Gregory QDirector, Officer: Chairman And CeoSale4,333$473.12$2,049,859SEC
2026-03-13Brown Gregory QDirector, Officer: Chairman And CeoPurchase7,300N/A$0SEC
2026-03-13Brown Gregory QDirector, Officer: Chairman And CeoSale3,530$473.12$1,669,901SEC

Source: SEC Form 4 via EDGAR · Data: Financial Modeling Prep · Not investment advice

Recent MSI analyst rating changes

FirmPreviousNew ratingDateAction
JP MorganOverweightOverweight2026-02-12Reiterated
BarclaysOverweightOverweight2026-02-12Reiterated
Piper SandlerOverweightOverweight2026-02-12Reiterated
Piper SandlerNeutralOverweight2026-01-05Upgrade
Morgan StanleyEqual WeightOverweight2025-12-17Upgrade

Motorola Solutions, Inc. stock news today

No major news for Motorola Solutions, Inc. (MSI) has been reported this week. Investors should check company investor relations for recent announcements.

How does MSI compare to its peers?

Understanding how MSI stock stacks up against its competitors is crucial for a comprehensive investment analysis. While Motorola Solutions specializes in mission-critical communications, comparing it to other key players in the broader Technology sector, particularly those in related communication or software domains, can provide valuable insights into its relative strengths and weaknesses.

ADSK

Autodesk, Inc. provides 3D design, engineering, and entertainment software and services. It primarily serves the architecture, engineering, construction, product design, manufacturing, and media and entertainment industries.

MSI vs ADSK

CRWV

CrowdStrike Holdings, Inc. offers cloud-native endpoint and workload protection. The company provides cloud modules on its Falcon platform that deliver various services from endpoint detection to threat intelligence, often catering to enterprise security needs.

MSI vs CRWV

FTNT

Fortinet, Inc. is a global leader in broad, integrated, and automated cybersecurity solutions. The company’s products and services include firewalls, endpoint security, and intrusion prevention, serving enterprises, service providers, and government organizations worldwide.

MSI vs FTNT

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FAQ — Motorola Solutions, Inc. (MSI) stock

As of 2026-05-07, MSI market cap is $72.08B.

MSI P/E is 33.46x vs Communication Equipment sector avg 54.7x. This suggests that MSI stock is currently trading at a relatively cheap valuation compared to its sector peers.

Based on 33 analysts, consensus target is $506 (+11.0% upside). High: $506. Low: $450. Not a prediction by Alert Invest.

With 69.7% of analysts rating MSI as a “Buy” and a consensus price target indicating +11.0% upside to $481.25, MSI stock appears to be a favorable investment. Additionally, its P/E of 33.46x is lower than the sector average of 54.7x, suggesting relative value. Not investment advice.

MSI’s P/E of 33.46x is below the sector average of 54.7x, and its DCF fair value of $460.64 suggests a 6.2% upside. While its P/S ratio of 6.17x is fair, the high P/B ratio of 29.91x indicates it could be considered expensive on a book value basis. Overall, MSI appears to be fairly valued to slightly undervalued based on earnings and DCF, but expensive on a price-to-book basis.

For informational purposes only. Not investment advice. Data: Financial Modeling Prep & SEC EDGAR. Always do your own research.