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MAGNACHIP SEMICONDUCTOR Corp MX

SIC 3674 — Semiconductors & Related Devices · CIK 1325702

This page lists every Interactive Market Data signal that fired on this company across fiscal years, with the calibrated net-of-cost forward-return prediction. Predictions use a triple → pair → singles fallback against our backtest panel (~32K (cik × fy) signal combos, net of execution costs at 5 bps half-spread + ADV-tiered borrow).

FY2025 short

1 signal fired · match: singles_avg

capex_spike

HorizonPredicted net PnL
20 days+2.05%
60 days-0.78%
252 days (1y)-14.91%

FY2024 short

1 signal fired · match: singles_avg

capex_spike

HorizonPredicted net PnL
20 days+2.05%
60 days-0.78%
252 days (1y)-14.91%

FY2023 short

2 signals fired · match: pair

dso_drift_severe, margin_compression_severe

HorizonPredicted net PnL
20 days+1.59%
60 days-24.76%
252 days (1y)-56.45%

FY2022 short

2 signals fired · match: pair

fcf_turn_negative, profit_to_loss

HorizonPredicted net PnL
20 days+1.22%
60 days-2.47%
252 days (1y)-17.08%

FY2021 long

1 signal fired · match: singles_avg

fcf_turn_positive

HorizonPredicted net PnL
20 days+1.81%
60 days+4.48%
252 days (1y)+19.70%

FY2020 long

5 signals fired · match: triple

accruals_quality_low, beneish_m_score_high, capex_spike, dso_drift_severe, fcf_turn_negative

HorizonPredicted net PnL
20 days+3.58%
60 days+11.81%
252 days (1y)+37.09%

FY2019 short

1 signal fired · match: singles_avg

beneish_m_score_high

HorizonPredicted net PnL
20 days-2.76%
60 days-11.63%
252 days (1y)-48.06%

FY2018 long

3 signals fired · match: pair

dso_drift_severe, fcf_turn_positive, profit_to_loss

HorizonPredicted net PnL
20 days+0.69%
60 days
252 days (1y)+21.68%

FY2018 short

3 signals fired · match: pair

dso_drift_severe, fcf_turn_positive, profit_to_loss

HorizonPredicted net PnL
20 days
60 days-4.64%
252 days (1y)

FY2017 long

4 signals fired · match: triple

accruals_quality_low, beneish_m_score_high, dso_drift_severe, fcf_ni_divergence

HorizonPredicted net PnL
20 days+2.11%
60 days+4.51%
252 days (1y)+15.97%

FY2013 short

2 signals fired · match: pair

margin_compression_severe, profit_to_loss

HorizonPredicted net PnL
20 days-0.08%
60 days-4.89%
252 days (1y)-23.06%

FY2011 short

1 signal fired · match: singles_avg

profit_to_loss

HorizonPredicted net PnL
20 days+0.79%
60 days-3.72%
252 days (1y)-17.43%

Methodology: /methodology · Live JSON: /api/company/1325702/financials