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TSLA quantitative analysisBelow trend

Trend regime, momentum, risk — and what a rule-based system does about it. Computed daily by the IVEST research system. As of 2026-07-09.

1-year price (gold) vs 200-day moving average (dashed). Last close 406.55

Trend regime
BELOW 200MA
Distance to 200MA
-2.8%
50/200 cross
DEAD
Composite score
34/100
Volatility (ann.)
62%
Max drawdown (1y)
-30%
Worst day (1y)
-8.2%
Off 52w high
-17.0%
RSI (14d)
52
Beta / corr (SPY)
2.12 / 0.59
MA 20 / 50 / 200
400 / 409 / 418
52-week range
296 – 490

Systematic playbook

These rules describe how systematic trend-following strategies typically operate — a framework, not a recommendation for any individual.

Momentum across horizons

HorizonReturnUniverse percentile
1M-0.6%28
3M+18.4%82
6M-6.1%23
12M+36.5%76

Cross-sectional percentile ranks TSLA against ~200 liquid US names — a stock can be "up" and still lag the tape. Persistent top-quartile momentum across horizons is the profile trend systems allocate to.

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How this is computed

Trend regime uses the 200-day moving average — the same gate the IVEST core applies before holding leveraged exposure. Composite score = 40·(trend) + 40·(momentum percentile) + 20·(1 − volatility percentile): fully transparent. Beta/correlation vs SPY over the last 12 months. Every number regenerates daily from raw prices — no analyst opinion in the loop.

FAQ

Is TSLA in an uptrend right now?

No — TSLA trades -2.8% below its 200-day moving average; trend systems treat this regime as risk-off.

Should I buy TSLA now?

No page can answer that for you — but a trend system's checklist is public: regime ❌ below the 200-day line; momentum percentile 82/100; extension normal; predefined exit at 418.27. If any of those words are unfamiliar, position sizing — not stock picking — is the first thing to learn (Kelly calculator).

What is TSLA's 200-day moving average?

418.27 as of 2026-07-09 (close 406.55, -2.8%). The 50-day sits at 408.56 — the 50/200 relationship is currently a dead cross.

How risky is TSLA?

Annualized volatility 62%, worst single day in the last year -8.2%, worst peak-to-trough -30%. Beta to SPY: 2.12. Size positions so that this drawdown profile is survivable — see the playbook above.

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