MA

Mastercard Price

MA
$498,28
-$3,22(-%0,64)

*Data last updated: 2026-04-08 13:18 (UTC+8)

As of 2026-04-08 13:18, Mastercard (MA) is priced at $498,28, with a total market cap of $444,68B, a P/E ratio of 34,21, and a dividend yield of %0,63. Today, the stock price fluctuated between $495,69 and $502,55. The current price is %0,52 above the day's low and %0,84 below the day's high, with a trading volume of 2,34M. Over the past 52 weeks, MA has traded between $480,51 to $601,77, and the current price is -%17,19 away from the 52-week high.

MA Key Stats

Yesterday's Close$501,50
Market Cap$444,68B
Volume2,34M
P/E Ratio34,21
Dividend Yield (TTM)%0,63
Dividend Amount$0,87
Diluted EPS (TTM)16,68
Net Income (FY)$14,96B
Revenue (FY)$32,79B
Earnings Date2026-05-07
EPS Estimate4,38
Revenue Estimate$8,25B
Shares Outstanding886,70M
Beta (1Y)0.831
Ex-Dividend Date2026-04-09
Dividend Payment Date2026-05-08

About MA

Mastercard Incorporated, a technology company, provides transaction processing and other payment-related products and services in the United States and internationally. It facilitates the processing of payment transactions, including authorization, clearing, and settlement, as well as delivers other payment-related products and services. The company offers integrated products and value-added services for account holders, merchants, financial institutions, businesses, governments, and other organizations, such as programs that enable issuers to provide consumers with credits to defer payments; prepaid programs and management services; commercial credit and debit payment products and solutions; and payment products and solutions that allow its customers to access funds in deposit and other accounts. It also provides value-added products and services comprising cyber and intelligence solutions for parties to transact, as well as proprietary insights, drawing on principled use of consumer, and merchant data services. In addition, the company offers analytics, test and learn, consulting, managed services, loyalty, processing, and payment gateway solutions for e-commerce merchants. Further, it provides open banking and digital identity platforms services. The company offers payment solutions and services under the MasterCard, Maestro, and Cirrus. Mastercard Incorporated was founded in 1966 and is headquartered in Purchase, New York.
SectorFinancial Services
IndustryFinancial - Credit Services
CEOMichael Miebach
HeadquartersPurchase,NY,US
Employees (FY)39,80K
Average Revenue (1Y)$823,89K
Net Income per Employee$376,08K

Learn More about Mastercard (MA)

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Mastercard (MA) is currently trading at $498,28, with a 24h change of -%0,64. The 52-week trading range is $480,51–$601,77.

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Risk Warning

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Mastercard (MA) Latest News

2026-04-01 13:32

Maji Big Brother has accumulated $1.94 million in fees contributed on Hyperliquid, with losses reaching $30 million

Gate News message: On April 1, according to on-chain analyst Ai Yi, the well-known crypto investor Big Brother Maji has cumulatively contributed $1.94 million in trading fees to the Hyperliquid platform, and at the same time, his losses on that platform have reached approximately $30 million.

2026-04-01 04:31

Magi big brother Huang Licheng BTC and HYPE long positions have been closed, and the ETH long position holds 6,800 units

Gate News message, April 1, Hyperbot data shows that Maji Big Brother Huang Licheng’s Bitcoin long position was completely closed off 1 hour ago, and his HYPE long position was also completely closed this morning. At present, Huang Licheng holds an Ethereum long position with 25x leverage, with a position size of 6,800 ETH. The position value is $14.337 million, with an unrealized profit of $306,000. The liquidation price is $2,039.

2026-03-30 02:00

El Salvador's Bitcoin reserves increase to 7,605.37 coins, valued at approximately $506 million.

Gate News reports that on March 30, El Salvador's Bitcoin reserves increased to 7,605.37 BTC, currently valued at approximately $506 million. Additionally, analysts point out that short-term Bitcoin holders are experiencing increased losses, with the MVRV indicator in the bear market range. Brother Ma's partial positions were liquidated again, accumulating losses of $31.3 million. Walmart's payment platform OnePay has added support for more than ten new cryptocurrencies. Gnosis and Zisk launched the Ethereum Economic Zone Rollup framework, funded by the Ethereum Foundation. An account with profits exceeding $2.2 million made a total purchase of $100,000 on the NBA regular season game betting for the Thunder defeating the Knicks.

2026-03-28 05:30

Brother Ma Ji, Huang Li Cheng, opened a new 10x leverage HYPE long position this morning, and the overall position shifted from profit to loss.

Gate News message. On March 28, according to Hyperbot data, “Maji Big Brother” Huang Licheng opened 10x leverage HYPE long positions this morning, currently holding 9,000 HYPE. In addition, he also holds an ETH long position with 25x leverage (currently holding 3,975 ETH) and a BTC long position with 40x leverage (currently holding 33 BTC). At present, his total position value is about $10.442 million, and it has turned from profit to loss, with an unrealized loss of approximately $248,000.

2026-03-27 09:37

"Ma Ji" increases ETH long positions and establishes new BTC and HYPE long positions.

BlockBeats news, on March 27, according to HyperInsight monitoring, "Majia" has increased its ETH long position to 3,375 coins, totaling approximately 6.9 million USD. It has also established new long positions of 10 BTC and 12,888.88 HYPE, with the current total value of long positions in the account being around 8.08 million USD. The account has accumulated total losses of 30.8 million USD.

Hot Posts About Mastercard (MA)

ChainSherlockGirl

ChainSherlockGirl

11 minutes ago
Recently, I revisited Chan Theory in depth and truly understood why so many people admire this system. To put it simply, Chan Theory transforms market chaos into an orderly rule-based system, allowing you to see every pulse of price movement clearly. The core is actually one sentence: the trend will eventually end perfectly. It sounds simple, but the underlying logic can solve all trading problems in free markets. Uptrends must end, downtrends must end, which means every trend can be precisely located. Once you understand this, you'll realize why some can consistently profit in the market while others are always trapped. The most ingenious part of Chan Theory is its classification philosophy. The concepts of levels, central points, and trend types run throughout. The level determines your operational space—just like you can't use the same cycle to trade with 1 million versus 10k in capital. The higher level sets the direction, while the lower levels seek opportunities. This is the correct trading mindset. Many lose money because they ignore levels, blindly fixated on minute charts, only to be slapped in the face by the larger daily trend. The central point is the heart of Chan Theory. Simply put, at least three consecutive sub-level trend types overlapping form a central point. Consolidation is just one central point, while a trend involves two or more same-direction central points. This definition may seem complex, but in practice, a quick glance can reveal it. True trends won't overlap between central points; this is the only standard to judge genuine versus false trends. Divergence is the only basis for changing trend judgment. Low-level divergence is a buy signal; high-level divergence is a sell signal. But there's a trap—many see the MACD histogram shrinking and think divergence is happening, only to be repeatedly shaken out. Genuine divergence requires observing the state of the yellow and white lines, comparing their strength, and confirming whether the trend type is trending or consolidating. An experienced tip in Chan Theory: when two adjacent segments within a wave show divergence in the yellow and white lines, that’s a real divergence signal. Pattern formation is the most basic operational unit. Composed of three candlesticks: the middle one is the highest or lowest when at the top or bottom, respectively. But whether a new stroke (line) forms after a pattern is the key. If support holds, it's a standard pattern formation, which will extend into a new stroke; if support fails, it's an intermediate pattern, and the trend will continue to fluctuate. This also needs to be combined with divergence conditions of smaller levels—divergence often indicates an intermediate, while no divergence suggests a new stroke will form. On the operational level, Chan Theory provides clear definitions of buy and sell points. The first buy point is the starting point after a previous downtrend completes; the second is the low point during a pullback to the central point; the third is the low after the central point expands. Correspondingly, there are three levels of sell points. The key is to choose based on your trading level—don't mix them up. If you're trading on a 30-minute level, use 5-minute and 1-minute pattern formations to precisely locate buy and sell points. This minimizes costs and keeps risks manageable. Many people struggle to learn Chan Theory because they haven't clarified the level issue. The theory itself doesn't define levels because levels are determined by capital, personality, and risk tolerance. Obviously, 1 million in capital can't trade on minute charts as freely as 10k. This is common sense. In a weak market, a 30% rise should alert you to potential distribution by the main players—don't believe in any "value investing" nonsense; cost is always the key. The application of moving averages is also quite particular. The crossover of the 5-day and 10-day moving averages forms a simple buy-sell system. When the short-term MA is above the long-term MA, it's a bull market; when below, it's a bear market. Whether the crossover is a continuation or a reversal depends on the "kiss" type. A "kiss" of the lips indicates a strong trend, a "kiss" of the mouth suggests an average trend, and a "wet kiss" signals a genuine reversal. This system is simple and effective, especially in assisting with divergence judgments. Combining multiple levels is an advanced technique. The weekly and daily charts form a basic combination, and adding the 30-minute chart creates a complete triple structure. Observing the state of the weekly and daily charts helps assess current trading risk. If both are in a downtrend, risk is highest—top traders avoid trading. Conversely, if both are in an uptrend, it's the safest zone for trading. Ultimately, Chan Theory builds trading on a rigorous logical system, not on greed or fear-driven speculation. Every market fluctuation follows these rules. The key is patience in learning and practicing. Once you truly grasp the essence of Chan Theory, you'll find the market can be so clear, and trading can be so rational. That’s why I keep studying this system deeply—because it has truly changed my understanding of the market.
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TestnetFreeloader

TestnetFreeloader

1 hours ago
Have you recently been trading cryptocurrencies and often heard the term ATH? In fact, whether you can understand what ath means makes a big difference to whether your trading will succeed or fail. ath is an abbreviation for “All Time High,” and refers to the highest price that an asset has reached from the past up to the present. It’s not just a number—it represents the moment when market bullish sentiment and investors’ expectations are concentrated. When a cryptocurrency reaches an ATH, it’s a sign that the previous upward price trend has entered a new phase. At this moment, many investors get excited and find themselves wrapped in anticipation. So what does ath mean? From the perspective of trading strategies, it has both risks and opportunities. Buying at the lowest price and selling at the highest price can bring large profits, but buying at an ATH increases the risk of losses. At the time an ATH is reached, there is usually little oversupply or selling pressure, and bullish buyers’ pressure is dominant. However, in practice, trading decisions at this stage are easy to rely on intuition and are prone to lacking calm analysis. What should you do during an ATH phase? Many traders use technical analysis. They use フィボナッチ比率 (23.6%, 38.2%, 50%, 61.8%, 78.6%, etc.) to identify support and resistance levels, and use 移動平均(MA) to confirm the direction of price trends. Measuring price momentum is also important—if you think of the market as functioning like a spring, then in order to reach new highs, it needs to go through a pullback to generate fresh upward pressure. Once you understand what ath is, analyzing the price breakout process becomes the key. Generally, it progresses in three stages. First is the “アクション” phase, where the resistance level is broken and trading volume increases. Next is the “反応” phase, where the upward momentum weakens and the price may undergo a correction. Finally, in the “解決” phase, it is determined whether the trend is confirmed or whether it reverses. In practice, you should check for candlestick patterns right below the breakout (such as 丸底 or 四角底), and identify the next important levels using フィボナッチエクステンション (1.270, 1.618, 2.000, 2.618, etc.). You need discipline to set profit-taking levels in advance and only increase your position when the risk-reward ratio is favorable. Decisions are also important when you are already holding an ATH position. If you’re a long-term holder, you should carefully analyze whether that ATH is temporary or indicates a structural change before making a decision. Many investors choose to sell part of their holdings and use Fibonacci analysis to determine the timing of their sales. Even if you sell everything, if the フィボナッチエクステンション overlaps with the ATH price, it suggests that the upward trend may be coming to an end—so the decision to take profit becomes more reasonable. By deeply understanding what ath means, you can trade more calmly without being swayed by market psychology. An ATH phase is indeed an opportunity, but it also carries significant risks. By making full use of technical analysis and thoroughly managing your positions, you can get through this difficult phase. How do you handle situations when you’re in ATH? If you can share your experience and thoughts, I think it will help everyone learn.
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EqunixHub

EqunixHub

2 hours ago
#DigitalAssetProductsSee224MInflows $BTC ‌ BTC/USDT Market Snapshot: Bulls Defend $71,600 as Volatility Narrows Bitcoin is trading at $71,624.24, up +3.52%on the session, as buyers hold firm above the key $71.6K level. The price is currently hovering near the day’s mid-range, with a 24-hour high of $72,772.57 and a low of $67,729.71 — a wide intraday band of roughly $5,000. Technical Indicators · Bollinger Bands (20,2): · Middle Band (MA): $69,686.08 · Upper Band (UB): $72,370.85 · Lower Band (LB): $67,001.30 Price is trading above the middle band but below the upper band, suggesting bullish momentum is intact but approaching possible resistance near $72,370. A break above the upper band could accelerate buying toward recent highs. Order Book Snapshot · Ask: $71,624.25 · Bid: $71,624.24 The tight spread indicates active two-way liquidity, though the slight ask premium reflects modest selling pressure at current levels. Volume Profile · 24h Volume (BTC): 4.96K · 24h Turnover (USDT): ~$350M · Current VOL: 341.57 · MA(5): 483.17 · MA(10): 423.69 Volume is trailing both short-term moving averages, suggesting the recent uptick lacks strong participation. A reassertion of volume above MA(5) would confirm conviction behind the move. Outlook Bitcoin is consolidating after a sharp rebound from the $67.7K low. Immediate resistance lies at $72,370 (UB)and then $72,773 (24h high). Support sits at $69,686 (middle band) and $67,700. A sustained close above $72,400 could open the door to a retest of the $73.8K region. Conversely, failure to hold $71,600 may invite a pullback toward the middle band. Trading bias: Bullish above $71,600, with caution on low volume.
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