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Mynaric (M0YN.DE) -19.39% on 02 Jan 2026 market closed: oversold bounce may offer 50.38% upside

DE Stocks
4 mins read

Mynaric AG M0YN.DE fell 19.39% to EUR 0.53 on XETRA as the market closed on 02 Jan 2026, creating an oversold-bounce setup for short-term traders. The slide came on volume of 59,408.00 shares, 5.52x average flows, and pushed the stock well below its 50-day average of EUR 0.74 and far under the 200-day average of EUR 2.45. We examine earnings, cash metrics, valuation and a measured bounce strategy for German-listed Mynaric AG in the Technology sector.

Price action and technicals

Mynaric AG (M0YN.DE) closed at EUR 0.53 after a one-day decline of -19.39% (change EUR -0.13), with a session range EUR 0.52 to EUR 0.68 and a relative volume of 5.52. The stock trades below its 50-day moving average EUR 0.74 and 200-day EUR 2.45, signalling an extreme short-term oversold condition on XETRA in Germany. The spike to 59,408.00 shares versus average volume 10,759.00 suggests capitulation intraday, a classic oversold-bounce trigger for active traders.

Recent earnings and cash flow

Mynaric reported EPS of EUR -6.43 on 25 Dec 2024 with revenue EUR 1,000,000.00, and an earlier EPS EUR -9.79 on 20 Jun 2024 with revenue EUR 910,000.00; trailing twelve-month EPS reads EUR -15.48. Operating cash flow per share stands at EUR -4.80 and free cash flow per share at EUR -5.61, while cash per share is EUR 3.96, giving the company runway but continuing losses through recent periods.

Valuation and key metrics

At a market capitalisation of EUR 3,361,346.00 and shares outstanding 6,318,320.00, M0YN.DE shows price-to-sales 0.62 and an EV-to-sales of 12.52, reflecting a high enterprise value relative to revenue. The PE is negative EUR -0.03 and current ratio is 0.74, indicating near-term liquidity pressure. Inventory and working capital metrics are stretched: days of inventory on hand 495.17 and working capital EUR -19,439,000.00—factors investors must weigh for any rebound trade.

Sector context and catalysts

Mynaric operates in Technology, Communication Equipment (CONDOR and HAWK optical terminals). The broader Tech sector in Germany shows YTD performance 10.78% while Mynaric lags materially. Near-term catalysts for an oversold bounce include contract announcements, production milestones and the scheduled earnings announcement on 18 Jun 2025. For primary sources see the company website Mynaric website and corporate updates on Mynaric Twitter.

Meyka AI grade and technical outlook

Meyka AI rates M0YN.DE with a score out of 100: Score: 68.35 | Grade: B | Suggestion: HOLD. This grade factors in S&P 500 benchmark comparison, sector performance, financial growth, key metrics, and analyst consensus. Technical indicators show the stock deeply oversold versus moving averages; a measured reversion trade could target a recovery toward short-term resistance near EUR 0.80 while using tight risk controls.

Risks and oversold-bounce strategy

An oversold-bounce approach to M0YN.DE should expect high volatility and low liquidity; average volume is 10,759.00 but today’s volume spiked. Position sizing should limit exposure given negative earnings and elevated enterprise value. Use clear stop-loss (for example below EUR 0.50) and consider scaling in on confirmed volume-backed bounces above EUR 0.60 with targets at technical resistance levels and time-bound exits.

Final Thoughts

Mynaric AG (M0YN.DE) closed at EUR 0.53 on XETRA on 02 Jan 2026 after a sharp -19.39% drop, creating a textbook oversold-bounce candidate for short-term traders who accept elevated risk. Fundamentals remain challenged with trailing EPS EUR -15.48, negative operating cash flow per share EUR -4.80 and a current ratio EUR 0.74, but cash per share EUR 3.96 offers runway for execution if revenue and contract momentum return. Meyka AI’s forecast model projects a short-term bounce target of EUR 0.80, implying upside of 50.38% from the current EUR 0.53; forecasts are model-based projections and not guarantees. For balanced playbooks: keep position sizes small, set stops near the EUR 0.50 support zone, and watch contract or production news that could validate a sustained recovery. Remember, our Meyka AI analysis is an AI-powered market analysis platform view and not personalized financial advice.

FAQs

Is M0YN.DE a buy after the recent drop?

Mynaric (M0YN.DE) presents a speculative oversold-bounce trade; consider risk controls. Fundamentals show negative EPS and tight liquidity, so size positions small and wait for volume-backed confirmation above EUR 0.60.

What are the key valuation risks for Mynaric?

Key risks include negative EPS EUR -15.48 TTM, low current ratio EUR 0.74, long inventory days 495.17 and a high EV-to-sales 12.52 that penalises revenue recovery assumptions.

What short-term targets and stops make sense?

Meyka AI models a short-term bounce to EUR 0.80 (upside 50.38%); consider a stop below EUR 0.50 and tiered profit-taking near EUR 0.60 and EUR 0.80, adjusting to news and volume.

Disclaimer:

Stock markets involve risks. This content is for informational purposes only. Past performance does not guarantee future results. Meyka AI PTY LTD provides market analysis and data insights, not financial advice. Always conduct your own research and consider consulting a licensed financial advisor.

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