BMA — Macro Bank Inc.

US Financials Banks equity
72.84 -0.04% today
USD · as of 2026-08-21

Price · 2024-08-26 → 2026-08-21

499 daily closes shown
52w low 39.27 · high 104.70

Anonymous view is capped at two years of history. A free account extends it to five, and Pro opens the whole archive back to 2016-01-04.

Performance

1 day-0.04%
1 week-6.15%
1 month-20.51%
3 months-7.01%
6 months-21.05%
Year to date-17.95%
1 year+9.50%
3 years+210.75%
5 years+402.00%

Technicals

RSI 149.7
vs 50-day avg-18.82%
vs 200-day avg-14.02%
Volatility 1y74.5%
Max drawdown 1y-40.76%
Avg volume 30d289.0K
Daily bars held2,674
History from2016-01-04

Dividends

Yield (trailing 12m)2.36%
Paid last 12m4.3379
Payments in 12m11
Paying since2016-03-23

⚠ Includes an irregular or special distribution — this yield is unlikely to repeat.

Measured signals that fired on BMA

datesignal measured base rate
2026-08-19Equal lows taken out
structure
-0.64% over 21 days · t = -4.75 · n = 55,661
statistically distinguishable from its control group
2026-08-07Bollinger bandwidth breaks out of its own compression
structure
-0.63% over 21 days · t = -2.80 · n = 7,196
statistically distinguishable from its control group
2026-06-25Fair value gap, bearish
structure
-0.45% over 21 days · t = -3.29 · n = 108,591
statistically distinguishable from its control group
2026-06-01Equal highs taken out
structure
-0.70% over 21 days · t = -8.28 · n = 68,636
statistically distinguishable from its control group
2026-05-22Fair value gap, bullish
structure
-0.67% over 21 days · t = -6.43 · n = 111,973
statistically distinguishable from its control group
2026-04-23Fair value gap, bearish
structure
-0.45% over 21 days · t = -3.29 · n = 108,591
statistically distinguishable from its control group

Excess return against a matched control group, on a point-in-time universe that includes delisted companies. Most families do not survive that. How the measurement works →

Largest institutional holders

managervalueshares
BlackRock, Inc.58.2M752.7K
PointState Capital LP55.0M710.5K
SAMLYN CAPITAL, LLC42.3M546.5K
Aquamarine Financial (Cayman) Ltd41.2M532.5K
MORGAN STANLEY37.6M485.4K
TT International Asset Management LTD37.1M480.0K
Cape Ann Asset Management Ltd36.4M470.9K
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.32.2M415.6K
Route One Investment Company, L.P.25.7M332.1K
Itau Unibanco Holding S.A.17.0M219.6K

13F positions as of 2026-03-31, filed up to 45 days after quarter end. Long-only US equity — shorts and derivatives never appear. What 13F does and does not show →

Latest SEC filings

formfiledperiod
6-K2026-08-192026-08-19on EDGAR ↗
6-K2026-08-192026-08-19on EDGAR ↗
6-K2026-06-242026-06-23on EDGAR ↗
6-K2026-06-172026-06-17on EDGAR ↗
6-K2026-06-042026-06-04on EDGAR ↗
6-K2026-05-272026-05-27on EDGAR ↗
6-K2026-05-272026-05-27on EDGAR ↗
6-K2026-05-202026-05-20on EDGAR ↗

Short selling

Avg short volume, 90d50.0% of tape
Days observed61

This is off-exchange short volume, not short interest: it is flow, not position, and 40–50% is normal because market makers short to fill your buy. Why that number misleads →

Recent headlines

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