Metlife Inc (MET) Daily/Weekly Backtest Results

Signal:                
                   
              [ What are these? | Switch to MET's monthly backtests ]
Fixed profit target:               -or-  
Show signal scores:       Scores:           Market sector score:       [ What are these scores? ]
Expectancy: 7.86%.   Win rate: 100%.   Sharpe Ratio: 36.97.   Maximum drawdown: -39.01% on 23 March 2020.
Mean CAGR: 159.8%. Time in market: 226 days.   Hypothetical return: $1000 would be worth $1459.82 on 11 July 2023.
Key: change_history : profitable trade change_history : breakeven trade (minimal loss after 2 years) change_history : losing trade (not profitable in a 2 year timeframe)


*Transaction costs, taxes and dividends are excluded from these calculations. Past performance may not necessarily be a reliable guide to future performance.

Calculations for Metlife

Expectancy is the percentage profit or loss you would expect to make on the next purchase of this stock with an entry point at the specified signal and profit target as set above. Given a large enough sample size, a positive expectancy indicates the trading strategy is likely to be profitable.

Expectancy calculation for 5 signal(s) occurring before 05 August 2024 for a 7.5% profit target: (100% * 7.86%) + (0% * 0%) - (0% * 0%) = 7.86%.
Wins: 5 Breakevens: 0 Losses: 0

To even out CAGR calculations, large individual returns from particularly quick trades have been capped at 300%.

The Sharpe Ratio calculation assumes a risk free return rate of 2% per calendar year. Ideally the ratio should be a positive number. A higher positive number indicates the strategy has a more attractive risk adjusted rate of return for this particular buy signal and stock over the chart's timeframe.

Metlife Analysis

Market sector: Financials.

External links: Seeking Alpha Research, Zacks Research.

These links may show useful information about why a stock's price has fallen significantly.

Most Recent Buy Signals
Date Signal Type Scores Performance
Signal Sector WR Speed Risk Overall 5% 6% 7.5%
24 June 2026 Gap Down 50 41 100 83 67 54 schedule schedule schedule
09 June 2026 Double Seven 42 64 100 83 67 57 schedule schedule schedule
08 May 2026 Double Seven 47 85 100 81 67 66 select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_bolt schedule
07 April 2026 Mega Dump Lite 60 79 100 81 69 73 select_check_box electric_boltelectric_boltelectric_bolt select_check_box electric_boltelectric_boltelectric_bolt select_check_box electric_boltelectric_boltelectric_bolt
30 March 2026 50 Day Low 60 69 100 81 69 71 select_check_box electric_boltelectric_boltelectric_bolt select_check_box electric_boltelectric_boltelectric_bolt select_check_box electric_boltelectric_boltelectric_bolt
27 March 2026 Gap Down 45 76 100 81 69 62 select_check_box electric_boltelectric_boltelectric_bolt select_check_box electric_boltelectric_boltelectric_bolt select_check_box electric_boltelectric_boltelectric_bolt
16 March 2026 Rate of Change 94 70 100 81 72 90 select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_bolt
05 March 2026 Mega Dump Lite 45 59 100 82 74 57 select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt
27 February 2026 26 Week Low 45 70 100 82 74 60 select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt
27 February 2026 Williams %R (Weekly) 45 70 100 82 74 60 select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt

52 Week Low Backtest Summary (Fixed Profits System)

This table summarises how profitable it would have been to have bought this stock at each 52 week low entry signal. Hover over the icons to see more details of the particular trade, including the maximum percentage drawdown and how long it took to reach the desired percentage profit.

Key:   disabled_by_default = profit point not achieved. select_check_box = profit point achieved with CAGR above 15%.
select_check_box = profit point achieved with CAGR of between 5% and 15%. select_check_box = profit point achieved but CAGR was less than 5%.

Date Buy Signal Price Scores Performance (mouseover for details)
Signal Sector WR Speed Risk Overall 5% 6% 7.5% 10% 20%
05 May 2023  bubble_chart 52 Week Low $ 52.99 59 60 100 69 90 65 select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt
15 March 2023  bubble_chart 52 Week Low $ 56.43 78 79 100 74 84 83 select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_bolt select_check_box electric_bolt select_check_box electric_bolt
06 March 2020 52 Week Low $ 38.47 77 85 100 61 67 84 select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt select_check_box electric_bolt
14 December 2018 52 Week Low $ 36.64 94 94 100 60 74 96 select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_bolt select_check_box electric_bolt
23 October 2018 52 Week Low $ 39.45 63 81 100 64 66 74 select_check_box electric_boltelectric_bolt select_check_box electric_boltelectric_boltelectric_bolt select_check_box electric_boltelectric_boltelectric_bolt select_check_box electric_bolt select_check_box electric_bolt

 

The data for Metlife Inc (exchange: XNYS symbol: MET) was last updated 13 Aug 2026 07:30. Data for this stock is available from 01 Dec 2015 - 12 Aug 2026.