MRCY Performance Analysis - Mercury Systems | 95.7% 12M Return

12M Return: 95.7% | +74% vs S&P 500 | Volatility: 55% | Relative Strength, Momentum & Peer Ranking

RS IBD 83.27
Top 10% in Peers
Idiosyncratic Score 93.83
Top 8% in Peers
Total Return 3m 19.3%
Top 90% in Peers
Total Return 12m 95.67%
Top 5% in Peers
P/E
P/E Trailing0.00
P/E Forward71.9
High / Low 52w
52 Week High127.81 USD
52 Week Low49.86 USD
Sentiment
Buy Signal ±30.70
VRO Trend ±10049.44
Drawdowns 3y
Max Drawdown35.04%
Median Drawdown10.31%
Compare vs 59 peers in Aerospace & Defense
Total Return: MRCY vs Peers Total Return of Mercury Systems versus broad market ETF SPY
5y Drawdown (Underwater) Chart 5 Year Drawdown / Underwater Chart for MRCY Performance Analysis - Mercury Systems | 95.7% 12M Return

Detailed Performance Metrics Updated: 2026-07-15 19:57

Risk-Adjusted Return
CAGR 42.4%
CAGR / Max DD 1.21
CAGR / Mean DD 3.51
CAGR / Median DD 4.11
Market Sensitivity & Volatility
ATR % 6.95%
Beta 1.542
Beta Downside 0.932
Alpha 65.41%
CAPM 11.41%
Trend & Momentum
Current Price 100.32 USD
SMA 20 Distance +10.47%
SMA 50 Distance +4.69%
SMA 200 Distance -13.76%
RSI 14 40.5
EMA8 Dist. Percentile 1.4%
Distance to 52W High -21.51%
Hurst Exponent 0.547
Key Levels
Support / Resistance (price, strength)
79 (1.17) 94.6 (0.89) 102 (1.68) 120 (0.95)
Pivot Points (date, price, move %)
2025-10-27: 80.89 2025-11-21: 65.04 (-19.59%) 2026-01-16: 103.84 (+59.66%) 2026-02-05: 74.01 (-28.73%) 2026-03-02: 96.91 (+30.94%) 2026-03-30: 69.06 (-28.74%) 2026-04-17: 88.06 (+27.51%) 2026-04-29: 73.47 (-16.57%) 2026-06-15: 122.17 (+66.29%) 2026-06-26: 102.95 (-15.73%) 2026-07-06: 128.45 (+24.77%) 2026-07-13: 96.5 (-24.87%)
Structural Changepoints
2025-12-18 2026-01-15 2026-03-09 2026-03-30 2026-06-04 2026-06-25 2026-07-02
Peer Rankings higher = better
METRIC MRCY PERCENTILE RANK
RS IBD 83.27 90.7
Performance 1M -13.47% 12.7
Performance 3M 19.30% 90.7
Performance 6M 1.72% 66.9
Performance 12M 95.67% 95.8
Sharpe Ratio 1.36 90.7

Top Performer in Aerospace & Defense 5 of 59 peers

Short Term Performance
SYMBOL 1W 1M 3M
AXON -14.55% 23.48% 43.69%
MILDEF -2.05% -0.14% 38.83%
HXL 1.77% 3.30% 20.12%
MRCY -13.39% -13.47% 19.30%
AIR -3.93% 6.67% 15.51%
EXA -0.64% 18.10% -3.80%
Long Term Performance
SYMBOL 6M 12M 5Y
ATRO 26.82% 153.72% 422.32%
PKE 32.47% 115.02% 188.72%
MRCY 1.72% 95.67% 55.37%
DCO 51.40% 90.76% 231.92%
AIR 33.02% 79.95% 292.24%
HXL 22.71% 73.63% 98.89%

Overall Best Picks of Peer Group GARP Metrics

SYMBOL MCAP 1M 12M 5Y P/E P/E fwd PEG EPS cagr
ATRO NASDAQ
Astronics
3.58B -4.28% 153.72% 422.32% 71.8 27.2 1.46 -%
HWM NYSE
Howmet Aerospace
108B 2.34% 50.50% 821.13% 62.8 52.6 0.80 42.98%
CW NYSE
Curtiss-Wright
28.1B -1.37% 54.65% 582.81% 55.9 28.4 2.00 18.53%
PKE NYSE
Park Aerospace
758M -1.00% 115.02% 188.72% 66.0 17.1 1.49 0.12%
GE NYSE
GE Aerospace
375B 3.48% 35.52% 505.75% 44.3 48.1 8.57 44.89%
ACLN SW
Accelleron Industries
9.72B 2.80% 40.20% 396.87% 41.8 20.8 - -%
BS6 SG
YANGZIJIANG SHIPBLDG HLDGS
10.8B -0.83% 62.75% 502.84% 8.45 7.85 1.91 -%
MILDEF ST
MilDef
898M -0.14% 3.38% 309.74% 39.4 30.4 - 43.19%

Compare MRCY vs S&P 500

Total Return vs S&P 500
PERIOD MRCY S&P 500
1 Week -13.39% 0.55%
1 Month -13.47% -0.14%
3 Months 19.30% 8.54%
6 Months 1.72% 9.48%
12 Months 95.67% 21.66%
5 Years 55.37% 89.29%

FAQ

Does MRCY outperform the market?

Yes, MRCY significantly outperforms the market. Over the past 12 months, MRCY returned 95.67% compared to 21.66% for the S&P 500.

What is the MRCY return over the last 12 months?

MRCY has returned 95.67% over the past 12 months, including dividends. Over 3 months the return was 19.30%, and over 5 years 55.37%.

How risky is MRCY?

MRCY has relatively low risk with a maximum drawdown of 35.04% over the past 3 years. The average drawdown is 12.07%.

MRCY vs Sectors 12m

Relative Performance vs S&P Sectors Sorted by outperformance, Positive = MRCY beats sector.
SECTOR ETF DIFFERENCE 12M
Consumer Discretionary XLY 90.6%
Communication Services XLC 90.2%
Consumer Staples XLP 89.7%
Financials XLF 87.1%
Real Estate XLRE 85.7%
Materials XLB 82.4%
Materials XLB 82.4%
Health Care XLV 76.4%
Industrials XLI 74.6%
Energy XLE 62.4%
Technology XLK 51.3%

MRCY vs Asset Classes 12m

Relative Performance vs Major Asset Classes
ASSET CLASS ETF DIFFERENCE 12M
S&P 500 SPY 74%
Emerging Market EEM 57.1%
Gold GLD 74.9%
Long-Term Bonds TLT 93%
Risk-Free Cash SHY 92.7%